Minimize waste generation and reduce carbon footprint.
Monitor asset utilization metrics like TAT and idle periods.
Reduces the risk of loss, theft, or damage.
Implement asset-sharing models and reduce expenses.
Centralized dashboard for location, movement and visibility.
Automate workflows and get real-time insights into OTC cycle.
Yes. system provides functionality to track inventory of your containers globally. You can get a consolidated view of the assets globally across different locations.
Based on the defined customer contracts in the system, the revenue invoice is generated either for the hired duration or for the locations/trade-lanes of the hired containers/assets. This can be set to auto creation of invoices and annexures.
While the assets are hired by the customers the billing has already started based on the contract and billing cycle however, when the order is created for the customer the hired timeline is defined. If the asset is not returned within the specified date the customer is automatically charged a different rate for extended hire defined in the contract.