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EnergyTec -

Smart Utility Solutions for Retirement Living

Efficient and transparent Utility Management for your community.

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Simplifying Utilities for Better Living and Smarter Operations

EnergyTec’s utility solutions for retirement communities deliver accuracy, fairness, and simplicity, enhancing resident satisfaction while supporting cost control and sustainability.

Key Benefits:

  • Resident Billing Fairness – Individual metering ensures residents only pay for what they use
  • Simplified Utility Setup – Hassle-free readings, invoicing, and account management
  • Cost Control – aggregated purchasing, access to usage and costs via 24/7 Pharos analytics, visibility monitoring, and contract optimisation
  • Sustainability Solutions – Solar, EV charging, and energy waste reduction
  • Compliance Confidence – Meet Code of Practice standards and ESG reporting goals

With flexible service packages and advanced reporting via Pharos, EnergyTec helps retirement villages manage utilities more effectively while building a sustainable future.

Case Studies

How we set up your property:

Let us take care of the details—simply provide us with some key pieces of information, and we’ll handle the rest so you can focus on running your commercial property with confidence and ease.

1. Quote

EnergyTec will provide you with a quote based on a Service Package. In order to put together the quote  we will require the following information:

  • Utility type (gas, water, electricity) and number of meters
  • Service Package – Select, Essentials, Advantage, Advantage+
  • Frequency of service – monthly, bi-monthly etc

Quote acceptance  

If the quote meets your requirements, we will issue you with an agreement which is accepted via return of the signed agreement or provision of a work order. We will then request information from you to assist with the property set up including:

  • Current utility account and previous submeter readings
  • Tenancy names/Identifiers
  • On-sell rate/tariff
  • Property access information

2. Property Take-Up

Once we have the necessary information a Field Service Officer will be scheduled to attend the site to conduct a take-up of the meters. This involves:

  • Identifying all the meter details, locations and readings
  • Creating a reading file for the property

Following this, the property will be set up in our billing system and you will be sent a summary outlining any findings from our site attendance and any actions required. Following set-up, the regular, cyclical reading schedule will commence.

3. Data Acquisition – Meter Reading

If your service is manual readings of meters, a Field Service Officer will attend the property and acquire the meter readings. For automated readings the data will be acquired remotely. If your meter network is faulty or experiencing issues, we can assist with effective solutions to meet your requirements.

4. Utility Accounting

Meter data is imported into our billing engine (BillTec) and processed by our Client Services Team. This will incorporate the Utility Retailer Account (e.g. Synergy, Water Corp etc) and any cyclic changes such as tenant movements, meter changes, refurbishments etc occurring at your property.

5. Accessing your reports via Pharos

Once processed, your reports will be available for viewing in our Pharos Utility Portal. You will be set-up with a log-in and password and you will have access to all reporting analytics and insights that are available within your service package.

6. Invoicing

An invoice will be sent following the report publication on a cyclical basis.

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