Product Balance report
- Last UpdatedMar 16, 2026
- 2 minute read
Product Balance report provides the information about inventory and the flow of material through a logical tank in a model. This report includes input and output streams during a period for the logical tank. The report provides the following information based on which imbalance of each tank is calculated and published:
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Total input flow
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Total output flow
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Inventory for logical tank
The following procedure describes how to query a Product Balance report:
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Select Product Balance.
The Product Balance Report page appears.
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In the Product Balance Report page, select and specify the following details:
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From Date
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To Date
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Select Model
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Select Sub Model
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Select Get Report.
The Product Balance Report details for the selected attributes appear in a grid chart view in the Analytical View - 1 tab.

The percentage imbalances in the chart are represented using color gradients on severity:
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Green (darker for lower values): <0.2% imbalance
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Yellow (darker for higher values): 0.2–1% imbalance
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Red (darker for higher values): >1% imbalance
The %mass imbalance is calculated using the End Reconciled Mass value of the imbalance stream for each tank or the Total Reconciled Mass Imbalance of tank, based on whichever value is higher. The calculation formula is as follows:
%Imbalance = Abs (Mass Imbalance in Tank or Total Reconciled Mass Imbalance / Start Inventory Reconciled Mass) × 100
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If you want to see the stream details, in the chart view, select any relevant cell.

The Product Result Details pop-up window appears displaying the associated stream details.
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If you want to see a bar chart view of the product-wise closing inventory of a logical tank based on the total reconciled mass of each node, select the Analytical View -2 tab.

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If you want to see a tabular view of the report, select the Detailed View tab.

The Product Balance Report details for the selected attributes appear in a tabular view.