ASSET Listing

Auditable. Traceable. Guaranteed.

Asset Listing

For most customers, the production of a comprehensive and detailed asset summary is a must have when we handle their redundant assets. BTR's flexible auditing process allows us to capture specific information from assets and report these back in a number of ways.

What this means for our clients is accurate, detailed information in a timely and efficient manner.

At the heart of our business and our management data is BTR UK's bespoke and advanced software system.

The system provides item-by-item traceability of all of the products that we handle. Each item that is handled by BTR is given a unique barcode and reference number and it is this unique identifier that is used to trace the assets through all the various processes and at all stages.

Details that are typically logged include manufacturer, model, equipment type, project reference, date received, serial number, client asset number/tag and the unique reference.

The details are compared electronically against the expected delivery details and also against any defined client Service Level Agreements.

From this point onwards, each item has a unique identity within our system, which ensures complete accuracy of all of our auditable reports.

Furthermore equipment can then be channelled according to the requirement of the customer – be that lease return, redeployment within the organisation, resale or environmental disposal.

See our section on reporting for further detail on the valuable asset level information typically delivered to our clients.