Crude Oil Vessels - Managing Accounts and Reconciliation-OG 8012

12th February - 23rd February 2018 (London, UK) 9th July - 20th July 2018 (Dubai, UAE) 15th October - 26th October 2018 (London, UK)

Course Overview

This is a bespoke course designed for officials of NNPC accounts and vessel reconciliation team who
work alongside officials of Nigeria Ports Authority with direct responsibilities for monitoring and
reconciling records kept and bills raised by commercial services department of NPA in relation to all
NNPC vessels and their contents.

Learning Outcome

 Discuss the activity chain from fuel importation to discharge at the ports
 Identify the relevant fees and, dues and charges applicable to the activity chain
 Conduct reconciliation exercise on the fuel importation and the invoicing process
 Appreciate the HSSE issues in being part of the activity chain
 Acquire general knowledge on modern development in port management

Indicative Contents

 Import of fuel and contract administration (Mode of Duty Exemption, Discharge certificates,
ownership of fuel , Maintenance of Insurance e.t.c)
 Handling of fuel i.e. quality & quantity checks
 Consumption monitoring
 Invoice verification & Processing
 Berthing, Wharfage & Demurrage
 Health safety & environment
 Business continuity & disaster planning
 Recent development in Port Management
More Detail
Duration 10 working days
Certification A certificate of completion is granted on successful completion of the programme.
Location Dubai-UAE, London-UK
Travel and accommodation Travel and accommodation to be paid for at source by delegates
Fees Course fees for tuition, materials and certification: £4,750 (Excl. VAT) per delegate for 2 weeks
Zenith Professional Training