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Achieving Predictive Maintenance and Compliance in Precious Metal Recycling

Published On October 27, 2025     |     5 Min Read

Client Overview

CompanyPetra Precious Metals Recycling
LocationSpain, United Arab Emirates (Global Operations)
Websitehttps://petra.net/
IndustryMetal Recycling, Refining & Commodity Trading
Solution UsedDreamzCMMS Supplier Material Processing, Hedging & Settlement Management System
Use CaseEnd-to-end workflow digitization for managing supplier hedging, material receipt, sampling, lab assay, payment, and final settlement with real-time visibility and reporting.

The Challenge

Petra Precious Metals Recycling is a leading recycler and refiner of precious metal-bearing materials such as catalytic converters. The company sources materials from multiple suppliers globally, processes them internally and via third-party labs, and settles payments based on final assay values.

Before DreamzCMMS implementation, Petra’s operations were managed through disconnected spreadsheets and email-based communications, leading to several issues:

  • Manual tracking of supplier hedges, receipts, and settlements.
  • Delayed updates on material processing, sampling, and lab results.
  • Lack of centralized visibility for inventory status and financial reconciliation.
  • Difficulty in notifying suppliers at key milestones (e.g., assay results or settlements).
  • Inconsistent document management and delayed internal coordination between production, lab, and back-office teams.

Petra required a unified and traceable system that could handle every stage of the supplier transaction lifecycle — from hedging to final settlement — with automation, transparency, and audit-ready reporting.

The DreamzCMMS Solution

DreamzCMMS developed and deployed a Supplier Material Processing and Settlement Management System designed specifically for Petra’s hedging and refining operations.
The system digitizes every stage of the material lifecycle and provides real-time visibility to both suppliers and internal teams, ensuring transparency, efficiency, and financial accuracy.

Core Modules Implemented

1. Hedging Management

  • Supports both bulk and lot-specific hedges, enabling suppliers to fix metal prices ahead of delivery.
  • Admins can also initiate hedging on behalf of suppliers, specifying metal type (Platinum, Palladium, Rhodium), quantities, and rates.
  • Automatic hedge confirmation documents are generated and shared with suppliers.
  • The system allows multiple hedges per lot, capturing comprehensive details for traceability.

2. Material Receipt & Valuation

  • On delivery, a Weight Report (NC-013) is issued to confirm lot receipt and gross weight.
  • The system automatically records the approximate lot valuation based on prevailing hedge or market prices.
  • Supplier and internal notifications are triggered at the time of material receipt.
  • Inventory is updated to reflect the new lot, enabling instant visibility for admin and production teams.

3. Processing & Sampling

  • Material processing follows a standardized workflow: De-canning → Milling → Sampling → Lab Preparation.
  • Each stage is timestamped, status-driven, and triggers notifications to respective departments.
  • Sampling results and internal lab readings are logged to track metal content and weight variations.
  • Processing queues and completion reports help monitor turnaround times and identify bottlenecks.

4. Lab Inspection & External Assay

  • Internal labs generate Preliminary Inspection Reports (AC-071) capturing sample weights, preliminary metal readings, and provisional assay values.
  • Samples are sent to an external third-party laboratory for final assay testing.
  • Once results are received, final assay data is entered into the system, including:
    • Precious metal concentrations
    • Settlement weights and payable quantities
    • Calculated values based on hedge rates
  • The assay data forms the foundation for final settlements and supplier payment adjustments.

5. Advance Payment & Final Settlement

  • Suppliers can request advance payments after sampling or at shipping (if hedged).
  • Admin calculates the Advance Payment (AYZ-047) based on the preliminary values and hedge type.
  • Upon receiving external assay results (typically within 10 business days), the system computes the Final Settlement (AYZ-046), factoring in:
    • Final assay results
    • Refining, treatment, and transport costs
    • Hedge prices and adjustments
  • Overpayments or underpayments are automatically reconciled via the Supplier Payment Ledger, maintaining accurate supplier balances and financial transparency.

6. Supplier & Admin Notifications

  • Automated alerts are sent at each key milestone:
    • Material received
    • Sampling completed
    • Reports uploaded
    • Advance calculated
    • Final assay and settlement issued
  • Internal team notifications ensure sequential task execution — e.g., after sampling, advance calculation is automatically queued for review, followed by payment authorization.
  • Two-week reminders ensure that pending assay or settlement processes are proactively followed up.

Reporting & Inventory Management

  • Inventory Reports: Track lot status (Received, Processing, Sampled, Shipped, Settled).
  • Lot Valuation Reports: Display estimated and final values per lot for financial analysis.
  • Supplier Payment Ledger: Dedicated ledger for every supplier showing all advances, settlements, and balance adjustments.
  • Stock Reconciliation Reports: Provide a clear overview of received vs paid vs pending materials.
  • Bottleneck Reports: Identify process delays in production, lab testing, or settlement.
  • All reports can be exported in Excel or PDF format, ensuring audit readiness.

Key Features Utilized

  • Supplier & Admin Portals with Role-Based Access
  • Hedge Creation (Bulk & Lot-Specific) and Confirmation Generation
  • Material Receipt & Gross Weight Recording
  • Processing & Sampling Workflow Management
  • Lab Inspection & External Assay Result Entry
  • Advance Payment & Final Settlement Automation
  • Supplier Payment Ledger with Auto-Reconciliation
  • Inventory Tracking & Lot Valuation Reports
  • Bottleneck Identification & Alert System
  • Automated Email & System Notifications

Key Results / Outcomes

  • 100% digital workflow for supplier-to-settlement lifecycle.
  • Full traceability of every transaction with auto-generated reports and ledgers.
  • Real-time inventory valuation with accurate stock and payment tracking.
  • Reduced manual entry by 50%, eliminating spreadsheet-based reconciliations.
  • Improved supplier transparency through timely notifications and milestone updates.
  • Faster payment cycle, with seamless advance and final settlement coordination.
  • Enhanced internal reporting enabling data-driven operational decisions.

Technology Stack

  • DreamzCMMS Cloud Platform
  • Supplier & Admin Web Portals
  • Secure Role-Based Access Management
  • Automated PDF Reporting Engine
  • Supplier Ledger & Financial Dashboard
  • Email & Notification Workflow Engine

Document (Optional)

SOW:
https://docs.google.com/document/d/1Tpq22UJ1eJXFrfuAqTxa3itC4APULhU7fje90jTdCUg/edit

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Business Benefits Achieved

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