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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