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Discover a step-by-step formula for evaluating your IT asset disposition program
This guide has been created to help IT asset managers identify and correct performance gaps in their current asset disposition process. The guide includes a step-by-step formula for evaluating:
Alignement with corporate goals and requirements
Financial return
Data security
Environmental compliance
Program efficiency
Risk management
Six reasons to resell or reuse your old computers before your recycle
Download this free guide to learn why your company should resell or reuse before recycling how it can addresses your organisation's crucial concerns:
Improved profitability
Data security and compliance
Environmental stewardship
Download your copy now and find out what's the new best practise for your company's IT asset disposition.
Get tips on how to maximise the value of your used IT equipment
Find out more about IT management solution
Receive the latest information about e-waste and regulations
Get tips on how to minimise used IT asset environmental impact
Leasing Company
When IT equipment is leased, there are several activities and procedures that must be completed to terminate the lease agreement and retire the equipment from its original use.
Multi R IT Asset Recovery provides lease reconciliation services to leasing companies so they can terminate lease agreements and maximize the value of the retired equipment. Audit reports provided by Multi R IT Asset Recovery identify the products returned by serial number and lease schedule.
We use a strong and sophisticated asset management and reporting system, MultiManager, that is built to effectively handle the entire tracking process from receipt through disposal. The need to electronically scan asset data, reduce error, automate certain functions and connect electronically to our suppliers is paramount in the design of the system.
Many of our leasing clients tell us it has a positive impact on their profitability by:
Improving the return from their own clients
Providing accurate and consistent information from across the country
Delivering timely reporting for a fast turnaround
Allowing for reconciliation with their own asset data to minimise losses; and
MultiManager is based on a Microsoft SQL + .NET platform and can import a variety of data types. For example leased assets can be imported in an Excel spreadsheet, by schedule or return, and can include any fields the client requires, in addition to the normal serial/asset number, specifications, date, etc. You can keep your data together and have it reported back to you in the same format, thus reducing your processing time.
Client Return Reconciliation Report – This is a post-audit report that provides an asset component shortfall, and highlights “Serial Matches”, “Not Received” and “Received in Addition” data. The report can include a summary of damage or difference in value. For example, it can automatically price the components required to bring a system back to specification or working order, so that you can charge your client that amount, or require them to pay out the full residual value on the lease.