Resource Inventory & Reconciliation
Helping responsible executives, resource planners and technical directors accurately and efficiently report to stock exchanges and adhere to JORC, SK1300, SAMREC and other compliance requirements.
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Reporting and compliance simplified
Whether you are listed on one stock exchange or multiple, our Resource Inventory & Reconciliation solution enables you to capture the raw data, mineral resource, and reserve data once and report out to nominated stock exchanges and remain compliant with codes and regulations.
Protect your reputation
Reconciliation and resource inventory reporting is a very sensitive area. Errors can result in serious reputational damage which can carry severe implications. K2fly offers the only commercial off-the-shelf solution that manages the entire process from data capture, validation, and multi-level sign-off from competent persons and executives.
Introduce reliability and automation
Say goodbye to cumbersome in-house systems and manual, error prone databases, spreadsheets and back-and-forth emails. Now you can create and automate your own workflows, data capture and sign-off.
Silver star governance
Not only does our solution add assurance that the process is run properly with validation, but also adds multi-level governance to add greater visibility and reliability.
Hear from our experts
What you need to know about resource inventory and resource reconciliation
Report through to the major stock exchanges including JSE, ASX, LSX and NYSE
Complying with stock exchange rules and reporting codes including, but not limited to, SAMREC (JSX), JORC (ASX), SK-1300 (NYSE), PERC (Europe), NI-43101 (TSX) and CRIRSCO (International).
Administrator access to control user security and provide secure access to third parties including independent auditors
Workflows & governance
Create your own workflows with governance features, audit trails, stakeholder checklists and reporting
Manage multi-listed (stock exchanges) and multi-commodity requirements
Export & report
Export data to excel, view reports and integrated data dashboards
View data for validation and ad hoc queries and reconciliation reporting and validation
Maintain your competent/qualified person’s register
Store multiple and historical mineral planning and operational data
Create stakeholder checklists and entity relationship tracking
Add a layer of governance to everything you do
Manage the entire reconciliation and resource inventory process from start to finish in one platform
Link data sheets with block models
Use our Resource Inventory & Reconciliation solution with our Block Model Manager solution to link data sheets with block models to gain complete traceability and governance from the stock market reported figures right back to the original block model.