Glossary
Horizon Inspection Management
As part of the standard SkySpecs inspection delivery, customers will be provided with a Horizon account and have access to:
- View site and fleet data for inspections completed by SkySpecs
- View inspection results (images and damage annotations) for inspections completed by SkySpecs
- Create and modify damages and add comments
- Add unplanned tasks to damages
- Export reports
- Manage blade fleet, blade asset registry, swap blades/repowers, track asset history, manage blade add ons
Horizon Blade Management
Manage the complete blade management maintenance cycle from inspection through remediation and identify insights into your blade management program.
Includes everything from Horizon Inspection Management, plus:
Third Party Inspection Management & Advanced Blade Review
- Custom Blade Schema and Rules – Automatically reclassify blade findings and trigger actions, ability to change/customize damage schema.
- Third Party Blade Inspection Upload Tools – Upload internal and external blade inspections from multiple sources and analyze all inspection images. *Customer may upload historical data through the upload tool or request SkySpecs to provide this service for an additional charge.
- Damage Plotting & Saved Views – View blade damages on a blade schematic. Create custom filter, sorting and table views, and name and save those for reuse.
- Custom Damage Exports – Variations on the standard Horizon Damage and Observation PDF and Damage Excel report templates.
Work Management
Track time in the field related to blade tasks and create and manage detailed work instructions and data capture in the field on Blade related workflows.
Workflow includes:
- Blade Repair Planning and Blade Task Management – Create blade work campaigns, work orders, and tasks. Advanced blade repair planning tools.
- Blade Vendor Collaboration – Share blade task management campaigns, work orders, and tasks with external third party vendors.
- Blade Work Logging & Cost Management – Track project costs and time in the field related to blade tasks.
- Blade Tasks Steps – Create and manage detailed work instructions and data capture in the field.
- Horizon Mobile Application – Create and manage blade campaigns, work orders, tasks, work logs, task steps, and conduct inspections from a mobile device.
Analytics:
Workflow includes:
Analytics Editors (Ad Hoc) – Ad hoc user license for designer access to the BI tools.
- Designers have capability to modify and create dashboards.
Analytics Viewers (Ad Hoc) – Ad hoc user license for viewer access to the BI tools.
- Viewers have capability to view dashboards that have been shared with them.
Horizon CMS
Condition monitoring of renewable energy assets using sensor data streams.
The Horizon CMS workflow includes:
- System Configuration – Administrate account incl. user management, security settings, data ingestion and export. Manage fleet asset attributes, component installs, and data stream configurations. Configure and deploy alarm settings.
- Alarm Handling – Browse and review alarms across the fleet. Access alarm review history and details entered by users per review.
- Diagnostics Analysis – Data visualizations and analysis tools for diagnostics relevant to the fault detection domain and/or sensor data type.
- Notifications and Reporting – Integrations with other software systems for notification and reporting workflows e.g. Horizon Fleet Management.
Additional modules that can be purchased separately:
- Sensor Data Streams: Continuous ingestion of sensor data. Grouped per sensor data type e.g. Vibration sensor systems, Oil particle counters systems, SCADA data, etc.. Unlock relevant workflow functionality in Horizon CMS, where available.
- Kaleidoscope™ AI packages: Advanced fault detection model libraries grouped per detection-area and data stream available e.g. vibration-based drivetrain fault detection.
Horizon Finance
Financial management system purpose-built for the renewable energy industry.
The Horizon Finance workflow includes:
- Core Finance – Manage end-to-end financial workflows across multiple SPV’s at any level including full procure to pay functionality, journals, fixed asset register and bank reconciliation (includes bank feeds via TrueLayer). View financial statements and compare to uploaded project level budgets. Aggregate data into portfolios.
- Integrations – Integrate third party financial data to view all SPV financial data in one place and in a standardized format.
- Developer
- Projects – Use Earned Value Analysis methodology to track project schedules and budgets. Quickly drilldown and understand deviations from budget. Track spend to contract milestones and against the pre-defined project budget.
- Utilizations – Compile a drawdown from a lender or equity provider comprising of invoices, upload the form of drawdown certificate and digitally sign and manage the workflow to successful drawdown.
- Contracts – Upload and tag contracts with specific renewable energy contract specific metadata and bookmark this data within the contract for ease of reference. Organize and filter your contracts easily at an organizational level.
- Insights – Create tagging categories (e.g. site tagging) and allocate attributes to each category (e.g. location and technology type). Share these tagging categories across entities to allow for consolidated “slice and dice” BI reporting.
Analytics Editors (Ad Hoc) – Ad hoc user license for designer access to the BI tools. Designers have capability to modify and create dashboards.
Analytics Viewers (Ad Hoc) – Ad hoc user license for viewer access to the BI tools. Viewers have capability to view dashboards that have been shared with them.
In Development:
- Always on Budgets / Live Valuations / Live Cash Forecasting – Remove the need for the annual budgeting process and ensure live up-to-date rolling cash flow forecasts are always available. Understand your NAV in real time with a full DCF model built off the latest available data. Consolidate all information to a portfolio level.
- Compliance – Monitor all one-off or recurring compliance tasks directly from contracts or as inputted by the user. Stay on top of compliance tasks with compliance calendar.
- Financial Consolidation – Consolidate portfolio financials easily with full drilldown to the source transactions.