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CrossConnectX Assets

Revenue assurance for utility and public asset infrastructure.

Reconcile occupancy, validate contracts and rates, detect missing billable usage, and manage back-billing and renewal workflows with traceable evidence.

What it covers

  • Occupancy reconciliation

    NJUNS joint-use tickets, GIS layers (GeoJSON, Shapefile, Esri), and CSV field surveys reconciled against the attachment ledger. Every import is content-hashed and replay-safe.

  • Contracts and rates

    FCC formula rates for investor-owned utilities, certified-state formulas, and municipal or co-op contract rates, versioned with effective dates and applied per attachment and period.

  • Missing billable usage

    Unbilled attachments, lapsed permits, and rate drift are raised as findings with the evidence that supports them, not as edits to the bill.

  • Back-billing and renewal

    A finding becomes an invoice or a notice only after an approval. Each posting is an append-only ledger entry; corrections are reversing rows.

Where it stands

Assets is the first vertical in build. The tenant, evidence, and ledger kernel is in place; import, detection, and the review queue are the current work. Design partners onboard against their own attachment records, with findings reviewed by their team before anything is billed.

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