Jump to content

In-Bond Status Notification Details Page (U.S. In-Bond Manager)

From BorderConnect Wiki
This article is part of the BorderConnect Software User Guide
Viewing the In-Bond Status Notification page

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.