In-Bond Status Notification Details Page (U.S. In-Bond Manager)
| This article is part of the BorderConnect Software User Guide |

The In-Bond Status Notification Details Page is a page in BorderConnect U.S. In-Bond Manager where users can view detailed QP in-bond status notification information received for an in-bond.
All information on the in-bond status notification is displayed here, along with navigation options.
In-Bond Status Notification Details section
The In-Bond Status Notification Details section is located at the top of the page. It displays the general information for the selected in-bond status notification.
This section may include:
- company name;
- date processed;
- filer code;
- entry type;
- U.S. in-bond destination;
- foreign in-bond destination;
- disposition code;
- master bill of lading number;
- quantity;
- action date;
- carrier code;
- in-bond entry number;
- port of transaction;
- FIRMS code; and
- remarks associated with the in-bond notification.
Detail groups
| Group | Example fields |
|---|---|
| Core details | Company name, date processed, filer code, entry type, and in-bond entry number. |
| Routing | U.S. in-bond destination, foreign in-bond destination, and port of transaction. |
| Shipment data | Master bill of lading number, quantity, carrier code, and container information where applicable. |
| Status information | Disposition code, action date, FIRMS code, and remarks from the notification. |
Page actions
| Button | Function |
|---|---|
| In-Bond Dashboard | Opens the In-Bond Dashboard Page. |
| Go Back | Returns to the In-Bond Status Notifications Page. |
| View | Opens the in-bond report details for this in-bond shipment. |
Containers on In-Bond Status Notification section
This section provides details for the container associated with the in-bond shipment. It displays the container number and seal numbers if they are included with the container.