Customs Clearance and LogisticsSAASServices




SAAS SERVICE FOR
CUSTOMS CLEARANCE LOGISTICS

Logistics and Warehousing Management System

9Special Features

  • Unrestricted by Geography/Network

    The system is unrestricted by geography and network, allowing simultaneous use in multiple locations both domestically and internationally.

  • Fine-Grained Authorization

    It allows for assigning different system permissions to different system accounts. Even on the same interface, different accounts can be granted different usage permissions.

  • Information Entry Verification Mechanism

    For the entry of standardized information, the system has a verification mechanism. When incorrect information is entered, a pop-up window will appear with a prompt.

  • Retrieve Previous Data

    When information that has already been entered into the system is entered again, the system will automatically match the previously entered data for quick operation.

  • Detailed Bill and Summary Bill Management

    It can provide a single detailed bill for each shipment for the same customer, as well as a summary of all bills under their name.

  • My Center

    In "My Center," there is an interface for "Unsettled Freight and Tax Management." Each responsible person can go to this page to query the settlement status of their fees.

  • Bank Statements

    It allows for assigning different system permissions to different system accounts. Even on the same interface, different accounts can be granted different usage permissions.

  • Tax Control Export and Import

    The invoice management interface can interface with the tax system. By clicking "Tax Control Export," invoicing information can be directly imported into the tax control system. After invoicing is completed, clicking "Tax Control Import" can directly return invoice/invoice number information back into the system.

  • File Sharing

    Files shared internally or externally within the company can be stored here and can be sent to the bound email address with one click at any time.

Freight Forwarder System Workflow Diagram

Administrative Department

Establish Customer Information

When there are new customers, customer files need to be established in the system, including basic customer information, customer customs inspection information, financial information, etc.

Business Department

Accept and Execute Customer Entrustments

Each entrustment needs to have a file (CASE) established in the system, recording detailed entrustment information, including transportation information, warehousing information, customs inspection information, insurance information, etc.

Business Department

Enter Fees

Based on the actual business-generated receivables and payables, each customer service department and salesperson will enter their respective fees in the CASE.

Business Department

Complete and Review Entrustments

When an entrustment is completed and the fees are entered and confirmed, customer service personnel will give a "completed" mark, followed by a review by the business leader.

Business Department

Fee Modification and Supplementary Review (if needed)

After the CASE is reviewed, the originally entered fees cannot be modified. If fees need to be adjusted at this time, customer service personnel need to add the fees on the CASE fee interface, followed by a supplementary review by the business leader.

Business Department

Invoice Review

For fees that need to be collected, the salesperson needs to confirm the invoicing type and apply for invoicing in the system invoice management interface.

Financial Department

Bank Detailed Account Import

Financial personnel will import yesterday's bank statement details into the "Bank Details" interface daily to facilitate querying arrivals and checking for any missed settlements.

Business Department

Receipt Application

Regarding information on funds that have been received, business personnel can complete the received application in the "My Center" - "Unsettled Freight and Tax" interface.

Business Department

Payment Application

Business personnel can apply for payment amounts in the system bill management interface or the "My Center" - "Unsettled Freight and Tax Management" interface, and manually fill out expenditure vouchers (including customer codes, payment amounts, etc.) to submit to the finance department.

Financial Department

Receipt/Payment Financial Review

Financial personnel will enter the approval management interface and review the completed receipt/payment applications, confirming them as correct and giving a "approved" mark.

Financial Department

Complete Payment

For payment entries that have completed financial review, the financial personnel will arrange for the payment to be completed.

Financial Department

Issue Invoice

The invoice management interface can interface with the tax system. By clicking "Tax Control Export," invoicing information can be directly imported into the tax control system. After invoicing is completed, the invoicing date/invoice number information can be automatically returned to the system by clicking "Tax Control Import."