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C. INVENTORY RECONCILIATION <br /> The following information will be recorded on the inventory <br /> reconciliation form: <br /> Opening inventory <br /> Deliveries <br /> Metered sales <br /> Closing inventory <br /> Accumulated metered sales <br /> Measurable error <br /> Allowable variations <br /> D. WASTE OIL TANK GAUGING <br /> The following informat' will be recorded on the waste oil tank <br /> form: <br /> G ging period (from / to) <br /> Inventory (opening dipstick to closing dipstick <br /> reading) <br /> Variations (actual, allowable) <br /> E. QUARTERLY REPORT <br /> The following information will be recorded on the quarterly report: <br /> Actual quarter <br /> Start date / Ending date <br /> Tank # <br /> Tank capacity <br /> Tank product <br /> Dealers signature validating all recorded information <br /> Any variations which exceeded the allowable limits <br /> II. <br /> A. INSPECTION CONDUCTED BY DEALER <br /> The following information will be recorded upon inspection <br /> conducted by dealer: <br /> Daily reconciliation shall be made of the Inventory <br /> Control Records. <br /> Daily visual inspection for leaks shall be made in the <br /> areas of: <br /> -Submerged pumps <br /> -Tank fills <br /> Dealer must be aware that a reduction in product flow to <br /> 3 gallons per minute (gpm) indicates a potential <br /> leak. <br />