Cash Flow Model, chemical vs. tubing replacement
Cash Flow Model, chemical vs. tubing replacement
(OP)
I'm trying to generate an Excel cash flow model to determine whether or not to use chemical to help slow down the corrosion of my tubing. I was hoping to be able to run a series of scenarios, i.e. continuous injection, batch treating monthly, bi-monthly, quarterly, etc. along with different times to tubing failure. I was just wondering if anybody would be willing to share their Excel model with me?




