Define and govern the source records needed to establish lane and rate. Assign ownership and prevent duplicate identities.
Connect lane, carrier, rate, booking, shipment, charge, proof, invoice and settlement in one governed workflow. Give users a practical operating view while retaining the evidence behind every status, exception and approval.
{
"feature": "Freight Management",
"record": "governed",
"workflow": true,
"approval": "role based",
"evidence": ["source", "owner", "history"]
}
Use these five controls as a quick review before trusting a freight management status, recommendation or performance report.
Define and govern the source records needed to establish lane and rate. Assign ownership and prevent duplicate identities.
Route material actions through carrier control with explicit authority, reason and approval history.
Retain the source, status, date and user behind movement evidence so the operating position can be explained.
Monitor charge validation with a defined population, cutoff, owner and corrective action.
Keep freight accountability with authorised business users. Software supports control but does not replace professional judgement.
Freight Management software should help an authorised user decide carrier selection, freight estimate, route, exception, invoice validation and settlement from a record that can be explained and reconciled.
Disconnected spreadsheets and delayed updates create competing versions of status. Teams then spend time confirming what is current, who approved it and which downstream record should agree.
TradeX connects lane, carrier, rate, booking, shipment, charge, proof, invoice and settlement. Governed masters, role permissions, validation and approval rules establish the basis for reliable execution.
The result is a reviewable operating record for commercial, operations and finance teams. Exceptions can be assigned, decisions can be traced and reported outcomes can be tested against source transactions.
Implement freight management workflows around governed records, real operating scenarios and evidence-based acceptance.
Map the lane, carrier, rate, booking, shipment, charge, proof, invoice and settlement. Name the teams, records, boundaries and acceptance criteria.
Clean identifiers, define permissions and approve the workflow states that users may create or change.
Configure validations, approvals, alerts, print formats, reports and authorised integration points.
Run normal, partial, delayed, cancelled, corrected and unauthorised cases with the people who perform the work.
Compare source records with outcomes, assign exceptions and monitor adoption after go-live.
Assign ownership for the identities, classifications and rules used by freight management workflows.
Require source records, states, reasons and approvals before a material commitment or correction is accepted.
Route overdue, incomplete, duplicate or conflicting records to a named person with a due date.
Compare operational records with the accepted downstream result and retain approved differences.
State the company, branch, period, population and source used to describe the current position.
Separate missing, late, blocked, disputed and corrected records, then assign each material exception.
Record the decision, authorised user, reason, due date and evidence that confirms completion.
Measure accepted start and end events, excluded periods and the owner of delay.
Count defined exceptions against a stable transaction population and investigate recurring causes.
State the agreed date, completion evidence, tolerance and treatment of authorised changes.
Compare the governed source with the accepted destination at a defined cutoff.
Keep ownership, books, currency, taxes and authorised roles aligned with the correct legal entity.
Define local responsibility, shared services, escalation and consolidation without hiding branch-level exceptions.
Test create, read, approve, correct and export access using representative users and segregation requirements.
Configure the capabilities required by the accepted operating model, user roles and reconciliation process.
Connect the lane, carrier, rate, booking, shipment, charge, proof, invoice and settlement without losing the source or owner behind the current status.
Limit creation, approval, correction and cancellation to authorised roles with an audit trail.
Highlight missing, overdue and conflicting records so teams can act before period-end reconciliation.
Share accepted records with sales, purchasing, inventory, warehouse and finance workflows as required.
Review status, ageing, workload and variance from defined sources, filters and reporting cutoffs.
Retain user, timestamp, source document, change, reason and approval for material actions.
Reliable execution depends on the related records that create demand, supply, custody and financial value.
Validate workflows, evidence and permissions against the way each business buys, stores, sells and accounts.
Keep configuration, migration, user testing and go-live reconciliation inside one accepted plan.
Approve the operating model, masters, workflows, roles, measures and exception ownership.
Set up validations, approvals, reports, templates and authorised integration points.
Migrate approved records, run real scenarios, reconcile outputs and resolve exceptions.
Train users, apply cutover controls and monitor adoption, exceptions and posting discipline.
Bring representative records, user roles and exceptions. Quantbit will map the controls, integration points and evidence needed for a practical demonstration.
Book your free demonstration ↗