Modern coastal petroleum terminal with tanks, marine berth and pipe racks

Petroleum operations & accounting cloud

Nordy controls every litre—from vessel receipt to the general ledger.

One governed operating system for terminal inventory, quality, pricing, sales, dispatch, reconciliation, finance and compliance—built for petroleum companies that need operational truth and financial control in the same place.

Marine to gate
ASTM-aware inventory
Double-entry finance
Tamper-evident audit

One continuous operating record

Follow product, value and accountability through the entire operation.

Nordy removes the gaps between operational logs, commercial approvals and accounting records. Each stage carries its evidence forward.

01

Marine receipt

Plan vessel arrivals, capture NOR and survey figures, monitor laytime, and flag ship-to-shore variance.

02

Tank control

Convert dip and temperature readings into standard volumes and mass using governed strapping and ASTM logic.

03

Quality release

Record specifications, test results, calibration status, incidents, alarms, and controlled product release.

04

Sales & dispatch

Control pricing, credit exposure, Authority to Lift, loading, weighbridge, seals, waybills, and gate exit.

05

Reconciliation

Tie receipts, transfers and dispatches to physical stock with daily gain/loss analysis and exception alerts.

06

Finance & reporting

Issue invoices, allocate payments, close periods, reconcile banks, manage tax, and report through the ledger.

Designed for control

Operational depth. Financial discipline. One source of truth.

Nordy is more than a stock dashboard. It connects the physical movement of petroleum to customer exposure, approvals, tax, cash and the ledger.

Secure by workspace

Each partner operates in an isolated environment with controlled roles, company settings, branded documents and its own financial records.

Live operations and alarm control

Bring tank telemetry, operational readings, alarm rules, escalation, incidents, handovers, equipment and calibration into one command view.

Petroleum accounting with control

Manage multi-currency receivables, payables, tax, cash, bank reconciliation, double-entry journals, periods and month-end checklists.

Independent company workspaces

Operate multiple petroleum companies or resellers with strict data separation, company branding, plans, usage, billing and local administrators.

Approval and audit assurance

Route price, discount, procurement and period decisions for approval while preserving a tamper-evident record of sensitive changes.

Management analysis

See stock position, product margin, landed cost, collections, aging, tax, currency exposure and performance by terminal, customer or period.

Controlled documents and integrations

Keep operational documents beside the transaction, print branded commercial records, and connect field gateways or external systems securely.

Built around petroleum work

A shared control system for every team that carries operational risk.

01

Terminal operators

A single operating picture for marine, tank farm, gantry, quality and shift teams.

02

Distributors & resellers

Pricing, customer allocation, credit guardrails and company-specific control from one platform.

03

Finance teams

A petroleum-aware accounting workflow from sales and procurement documents through settlement and reporting.

04

Management & audit

Live performance, approvals, traceable decisions and evidence that stands up to review.

See Nordy in your operation

Bring terminal operations and petroleum accounting into one controlled flow.

Tell us about your terminals, distribution business or reseller network. We’ll arrange a focused product demonstration.

Contact admin@nordyflow.com