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International SOPs

Document

Description

Link/Document

Ocean Pre-SOP

Baseline list of questions to complete the SOP

View file
namePre-SOP Ocean Import.docx

View file
namePre-SOP Ocean Export.docx

Ocean SOP

Standard Operational Procedure

View file
nameOcean Import SOP.docx

View file
nameOcean Export SOP.docx

Air Pre-SOP

Baseline list of questions to complete the SOP

View file
namePre-SOP Air Import.docx

View file
namePre-SOP Air Export.docx

Air SOP

Standard Operational Procedure

View file
nameAir Import SOP.docx

View file
nameAir Export SOP.docx

Drayage SOP

Standard Operational Procedure

View file
nameDrayage SOP.docx

International Onboarding Documents

Link to: USA Ocean Product Resources

Document

Description

Link/Document

CW1 Org Codes

For assistance to update ORGs please reach out to the Master Data Management Team by clicking --->

CW1 Organization Requests - Jira Service Management (atlassian.net)

Quote Requests

FCL LCL Spot Quotes are to be submitted to Quote Desk using the following link:

https://seko.atlassian.net/servicedesk/customer/portal/33

EDI Requests

IT Ticket Request Link --->

System Integration Overview

System Integration

https://seko.atlassian.net/servicedesk/customer/portals

MNDA

Mutual Non-Disclosure Agreement

View file
nameSEKO MNDA Template_2022.docx

Please send your requests to the team at legal.contracts@sekologistics.com. Please also include the legal intake form, attached here as reference, and include relevant details of the opportunity to help us with the review process.

View file
nameIntake Form_Rev April 2021 Form Fillable.pdf

Credit Application

Controlling Office to Setup/Creation of the customer code in CW1

Submit Credit Application Form: D&B Credit App

and provide the Account Owner’s name so they can add the ‘Sales Rep Name’ under the Org in CW1

  1.  The credit application must be filled out completely.

  2. If a company is not listed in D&B, we will need the customer to include supporting documentation (Financial Statement, W9, accurate trade references details with email addresses for those references).

  3. Customer code must be entered in the “Additional Comment” area when submitting the credit application (branches / sales to provide customer before submitting application).

  4. All “company” names that are in our CRM/Salesforce must match

Send an email to corp.arcodes@sekologistics.com if you have any questions about the credit application.      

  • ACH Payment

View file
nameSEKO Customer Payment Remittance Requirements.pdf

  • W9 Form

View file
nameW-9 SEKO Worldwide LLC.pdf

MSA

Master Service Agreement

ALL MODES: Remove if not applicable

View file
nameSEKO FF_MSA_Transportation - ALL modes.doc

Workstream Ownership

Scope of Work and Relevant Team Members

View file
nameWorkstream Ownership Document International.xlsx

FMC Compliance

(USA Import/Export)

Account Manager is responsible for NRA/TRI completion prior to cargo possession

NRA/TRI Instructions

Customs Brokerage POA

The Compliance department uploads electronic copies of POAs to CargoWise.

In addition to the POA, the CBP form 5106 is required in order to have the automatic inclusion in our Type 6 PMS Filings

View file
nameCBP Form 5106 Instructions.docx

All newly received POAs should be emailed to

poa@sekologistics.com

The email should include the following:

  1. A scanned, legible copy of the POA plus any other required attachments.

  2. The CargoWise1 (CW1)/Red Global (RG) Organization Code.

The POA and other related documents will be uploaded into the Organization code’s edoc tab in CW1. The POA record (“POC” category in CW1/RG, which designates Power of Attorney Customs) will be set for the Date Received and Valid To date.


To set up IOR’s ACH, SEKO Compliance requires the original letter from CBP to the IOR, giving the PUN before we can enact duty payment by the importer

Customs Continuous Bond

Application for new continuous bond

Note: If client has a continuous bond in place, SEKO would need their ACH payers unit number from US Customs or confirmation that their previous Broker was paying their duty on their behalf

Upon the duty statement authorization when duty is due to US Customs SEKO will require the email for our client’s accounting team to send the duty statement, as well as the Periodic Monthly Statement to ensure the funds are in our clients account

View file
nameCTB Application_Continuous Bond application.docx

Insurance

Client Insurance Elect Form

View file
nameWhite Paper Insurance Elect Form.pdf
Lref box file
urlhttps://seko.ent.box.com/folder/202909874466

Post Go Live Review

30/60 Day Post Go Live Review

View file
name{Client} 30_60 Day Post Go-Live Review Draft v1.xlsx

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