
Commercial & Revenue Management
We make sure energy turns into cash—accurately and on time. Our team validates meters, reconciles settlements, manages PPAs/CfDs and pursues curtailment/constraint claims, producing lender-grade reports.
Deliverables
Monthly management accounts and reconciliations
Settlement/imbalance checks and variance recovery
Curtailment/constraint claim files and outcomes
PPA/CfD administration and renewal plan
Case Studies
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FAQs
1) How is Asset Management different from O&M?
O&M runs the site day‑to‑day (technicians, work orders). Asset Management governs performance, revenue, compliance and lifecycle—holding operators to contract, ensuring accurate settlements, and planning medium‑term reliability and capex. Clear, concise and professional; human, not informal.
2) What do you need to start?
Access to SCADA and meter data, key contracts (PPA, O&M, warranties, leases), recent invoices/settlements, and a site list. We typically deliver a baseline KPI pack within 4–6 weeks.
3) Can you work with our existing operators and systems?
Yes. We integrate with CMMS, trading and finance tools; we keep operators in their lane and add governance, reporting and analytics on top—no rip‑and‑replace required.
4) What KPIs will we see each month?
Availability, PR (solar), yield vs P50/P90, lost energy and recoveries, curtailment/constraint MWh, settlement adjustments, safety metrics, and progress on actions. Short, useful, and business‑ready.
5) Do you support portfolio acquisitions or refinancing?
Yes. We provide technical and operational due diligence and lender‑grade reporting as an add‑on—using the same datasets and methods we use in ongoing management.

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