Everything you need to run a global export business.
Inventory, containers, CFS, customs, accounting, FX — one platform, shared with every partner in your chain. Nothing glued together. No double-entry.
Purpose-built for cross-border car exports.
Not a generic ERP. Every feature here exists because a Korean trading desk or a Libyan importer asked for it.
Car Inventory
VIN-tracked records tied to photos, documents, and multi-currency cost basis. Watch real margin per vehicle evolve from the day you buy to the day it clears customs.
- VIN-level record with condition photos + docs
- Multi-currency cost basis (KRW · USD · destination)
- Per-vehicle P&L, live from invoice to release
Container & Shipping
Book capacity on the vessel, plan the loading, and track containers to the destination port. Allocation clicks to VINs — no more shipping manifests rebuilt in Excel.
- Vessel schedules & TEU-level capacity booking
- Drag-allocate vehicles to containers
- Live tracking · ETD, ETA, port holds
CFS Loading
Run the CFS floor without paperwork. Loading photos, shoring lists, and container confirmation all attach to the shipment — and your forwarder sees it the same second it happens.
- Required-photo checklist per vehicle
- Shoring & lashing plan with sign-off
- Gate-in / gate-out timestamps
Customs & Permits
수출면장 and destination permits linked directly to cars and containers. HS codes pre-attached, FOB auto-computed, holds flagged the moment they appear.
- 수출면장 drafts with HS code templates
- Duty & tax calculated per vehicle
- Hold · release alerts in real time
Full Accounting
IFRS-grade double-entry GL, trial balance, P&L, and period close — built in, not bolted on. Every shipment posts the right journal automatically.
- IAS 2 / IAS 21 / IFRS 15 compliant
- Automatic journal entries per shipment event
- Period-close lock · drill from TB to JE
Multi-Currency FX
KRW, USD, and destination currency sit side-by-side on every vault and ledger. Spot rates lock at booking; realized gain/loss posts when funds move.
- Per-vault cost basis in every currency
- Spot rates with source & timestamp
- Realized / unrealized FX gain·loss posting
One shipment, five companies, zero double-entry.
When the CFS uploads a loading photo, the trader sees it. When customs clears, the importer knows. No forwarded emails, no re-typing, no lost attachments.
Audit-grade accounting, built in.
Double-entry GL, period close, and automatic journal posting — not a sidecar, not an export. Every shipment event writes the right journal, signed and dated.
Four languages. Any currency. Any route.
Every layout flips cleanly to Arabic. Korean and Russian are first-class, not afterthoughts. Your Tripoli customer and your Busan ops team read the same record, side by side.
Audit-ready by default.
The features you don't brag about on a landing page but that stop your accountant from calling at 11pm on close day.
Period-close lock
Close a month and nobody — not even admins — can back-date entries without an auditable override with a reason code.
Double-entry GL
Every movement of cash, inventory, or receivable hits two accounts. Trial balance stays zero. Always.
IFRS compliance
IAS 2 write-downs. IAS 21 FX revaluation. IFRS 15 deposits. The standards your auditor asks for, built in.
Role-based access
Staff can record transactions but not create new vaults. Custom roles for every section. Owner-only destructive actions.
Daily off-site backups
Every company's data snapshotted daily to S3. Point-in-time restore on request.
Your data, exportable
Every car, invoice, journal entry, document — downloadable as Excel or PDF. No lock-in.
Start running exports through Export119.
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