Commercial Asset Management

Energy reconciliation and billing in
wind and solar parks

Automatic determination of all relevant electricity quantities in your wind or solar park.

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opti.node Cockpit

In-park reconciliation and billing can be easy

The correct billing of electricity in parks with multiple operators is very complex, as data often has to be obtained from different systems.

With the practical add-on for our opti.node Cockpit energy data platform, you can complete parking billing with just a few clicks in the future.

Transparency & overview

Always keep an eye on electricity output, costs and revenues – per investment, property or your entire portfolio.

Scalability & flexibility

No matter if it's 25, 50 or 500 wind turbines, opti.node  adapts to your needs.

Increase profitability

All relevant quantities are calculated automatically. Billing statements are available at the push of a button.

Centralized administration

Maintaining and synchronizing plant and market data is easy and digital with opti.node Cockpit. Data interfaces include SCADA systems and metering systems.

Parking statement

Allocate costs and revenues

In wind and solar parks with several operators, the correct billing of feed-in revenues and grid procurement costs per operating company must be carried out regularly. The necessary data is often distributed decentrally across various systems. Depending on the contract, different parking-specific regulations must be taken into account.
Electricity from the grid is correctly identified and separated for each operator.
Network procurement costs are correctly determined and distributed per operating company.

Germany's leading energy data platform for renewable asset managers.

140,000
+
Forms and documents
13,500
+
Wind turbines and photovoltaic systems

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