Jim, gave an excellent start.
Commercial Support group:
Develop a format to best compare the volumes, margins and applicable expenses
of 2001 Actual and Current Estimates/Forecasts to 2001 Plan to 2000 Actual
for use by Danny McCarty as a Commercial GOAL.
Identify potential areas to monetize contracts or assets where feasible.
Improve Citrus/FGT Cash Flow forecasting by utilizing SAP as much as possible.
FYI: I participated in Super Saturday (12/9/00; very interesting).