Automated Production Reconciliation for Oil & Gas Operators
Close your monthly production books in hours, not weeks. Collide automatically balances SCADA, production accounting systems, and plant statements — surfacing volume discrepancies and revenue leakage before they become audit problems.

Common Pain Points
Teams manually cross-reference SCADA historians, production accounting systems, and plant statements every month — a tedious, error-prone process that typically consumes 1–3 weeks of engineering and accounting time.
Volume imbalances between measurement points silently accumulate, often resulting in significant unaccounted-for production that translates directly to revenue loss and regulatory exposure.
Each measurement system reports different numbers with no automated logic to identify which source is correct or where a discrepancy originated — leaving teams to investigate manually every cycle.
Accounting teams scramble to close books on time, sacrificing accuracy for speed. Errors that go undetected for months create audit risks that are far more costly to resolve retroactively.
How It Works
Multi-Source Data Ingestion
AutomatedCollide automatically ingests production volumes from SCADA historians, production accounting systems, allocation models, and third-party plant statements — eliminating manual data pulls.
Rules-Based Volume Balancing
AutomatedConfigurable balancing rules are applied across all measurement points, accounting for unit conversions, shrinkage factors, and allocation percentages specific to your operations.
Discrepancy Detection & Attribution
AutomatedCollide identifies every volume imbalance and attributes it to its source — whether a meter drift, missing ticket, allocation error, or plant statement discrepancy — with full traceability.
Exception Review & Resolution
Human ReviewYour accounting and engineering teams review only the flagged exceptions. Collide presents the data needed to resolve each discrepancy quickly, without digging through multiple systems.
Audit-Ready Reporting
AutomatedFinalized reconciliation reports are generated automatically in regulator-ready formats, with a complete audit trail of every adjustment and resolution for every measurement point.
Real-World ROI
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