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How do you ensure that the data underlying the invoicing (for example re assets) is correct?

In order to provide accurate data, we take a three part approach:

  1. Requesting that you, as customer, help us by reporting differences between our Platform and what you see on site.
  2. Analysing information provided to us by our service partners on pickup volumes and weight.
  3. Randomised checks of various asset locations.
 

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Articles in this section

  • When will platform based invoicing start?
  • What is platform based invoicing?
  • When will I receive my invoice?
  • Why is part of my invoice based on estimates?
  • How will streams, collected outside the app, be invoiced? ( for example GGO, chemical waste,...)
  • How do you ensure that the data underlying the invoicing (for example re assets) is correct?
  • Will I get a correction at a later invoice when estimates change to actuals?
  • When will the pricing list be ready?
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