The Challenge: A Portfolio of Financial Contracts Running on Spreadsheets
You do not run the assets. You depend on what developers send you, in formats they choose, on the timelines they choose.
You are managing:
Multiple monthly settlements in several disparate formats
Strike prices, hourly LMPs, collar adjustments and meter data to reconcile by hand
Owner-reported P50s with no independent way to validate them
Contract-specific availability definitions to reconcile against every counterparty
Forward production and price curves spread across individual team spreadsheets
A portfolio that grows faster than the team
You need scalable, contract-aware intelligence that validates what counterparties send you and gives your team a number it can stand behind.
Independent Settlement Validation Across Every PPA
Monthly statements arrive in many formats from many counterparties. Clir's AI ingests them, runs an independent settlement calculation and surfaces every discrepancy with evidence and financial impact.
Settlement errors tend to favor the seller. Missed negative-price hours, LMP source mismatches and collar misapplications add up to six-figure annual overstatements on a single asset. Clir surfaces them in time to dispute before the next cycle closes.
Statement-by-Statement Reconciliation
Every seller statement compared automatically against Clir's independent calculation, with discrepancies classified and quantified.
Hourly Pricing Logic Applied Consistently
LMP source, strike, collar and meter logic applied the same way for every contract, every reporting period.
Auditable Evidence for Every Adjustment
Clear documentation behind every flagged discrepancy, ready for the seller call and the audit trail.
Contract-Specific Availability, Reconciled Continuously
Every service agreement defines availability differently. Exclusion clauses, irradiance thresholds, force majeure language and bonus or LD triggers all vary by contract.
Clir's AI encodes each contract's availability logic once and reconciles it continuously against operational data. Disputes resolve with clear evidence that holds up from the first conversation.
Encode Each Contract Once
Bespoke availability definitions captured in the platform and applied automatically every reporting period.
Independent Numbers Counterparties Trust
Calculations that hold up in counterparty disputes, backed by transparent logic and SCADA-level evidence.
Reduced Reconciliation Cycle Times
Reconciliation cycles that used to take quarters resolve in days, with auditable evidence ready from the start.
No bespoke reconciliations. No reopened disputes.
An AI Platform That Scales With Your Portfolio
New offtakes, new geographies and new counterparties keep arriving. Headcount does not. Manual processes do not scale with a portfolio of three, eight or thirty contracts.
Clir's AI scales with a lean team. Onboarding new assets follows a repeatable process. Contracts, logic and calculations stay with the platform when team members move on. As the portfolio grows, the operational burden does not grow with it.
Repeatable Onboarding
A systematic process for adding new renewables assets, counterparties and registries that keeps overhead flat.
Institutional Knowledge That Persists
Contract logic, settlement methodology and availability definitions live in the platform, not in someone's local file.
Accurate Generation Data Behind Every REC
The MWh figures that underpin your REC accounting are independently validated. The effective cost per REC is tracked across every VPPA in the portfolio.
From Manual Reconciliation to Confident Settlement
Stop Errors That Consistently Favor the Seller
Set Budgets and Procurement Strategy on a P50 You Trust
Resolve Availability Disputes Without Reopening the Contract
Scale Your Portfolio Without Growing Your Spreadsheet Estate
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Leverage AI to unlock actionable intelligence for your renewable energy investments.
- Investor Grade Portfolio Reporting
- Contractual Availability Reconciliation
- Portfolio Performance Monitoring
- Budget Reconciliation
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