Energy Manager combines automated control with a dedicated team of Enova energymanagers who run your energy chain daily from strategy to execution, from market positioning to real-time adjustment.
So you make full use of your energy flexibility and never leave value on the table due to volatility, complexity or limited capacity.
With Energy Manager, you have greater impact.
Energy Manager starts by sharpening your objectives and defining critical operational constraints.
We then make your assets and processes market-ready.
Next, our energymanagers operate your assets to ensure your flexibility generates maximum revenue. From there, we continuously optimise based on market data, performance and deviations, so your returns improve structurally over time.
This delivers three things:
For companies that:
Flexibility isn't something you just get with a good energy installation. Being flexible is a key part of the design. We take your goals (like ROI, growth, security) and turn them into a design that works: assets, key limits, markets and governance. Energy flexibility is key here: how much can your business adapt, react and respond to market signals? We work with you to define the scope, keep everything clear, and make sure it's built right. So that you can use your assets and be flexible. Not on paper, but in practice.
Not every market is accessible without restrictions. If you want to get involved in balancing markets (imbalance markets) such as aFRR and mFRR, you'll need to get certified as a Balance Service Provider (BSP).
Most organisations aren't keen on doing this themselves, so it's best to get it done by someone who knows what they're doing. Enova is a certified BSP and passes this market access directly on to its clients. We'll take care of everything from requirements to processes to agreements, so you can focus on what matters. You'll still have control of the framework. We're the ones who can open doors that would otherwise be closed.
We're there for you every step of the way, making sure that planning, adjustments, decisions and action always stay within your business-critical limits. Our main aim is to deploy your energy assets in the areas where they'll get the best returns at any given time. This usually leads to cost reductions and, in most cases, increased profits.
Flexibility is real-time. Our systems continuously monitor performance and market signals, and automatically intervene when parameters fall outside the specified range. Our energy managers keep an eye on the bigger picture: they analyse patterns, predict anomalies before they occur, and make adjustments where necessary.
This means you’re never reliant on manual corrections when the going gets tough.
We optimise flexibility and allocation across markets and timeframes, using a strategy that takes into account risk, conditions and returns. This allows you to avoid reliance on a single source of income and fully capitalise on price differentials and market movements.
We record what has been managed by asset, by market and by quarter. Suitable for internal accountability, audits and contract settlements. So that you know exactly what capacity has been deployed, in which markets, and what the impact was on your position.
Together, they form the revenue model behind your energy portfolio.
We’ll show you where you’re leaving value on the table today and how Energy Manager turns that into predictable execution.
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