
CYMS Billing & Financial Automation connects yard activity with finance in real time. Every gate move, storage day, lift, and repair is translated into a clear, auditable charge without manual spreadsheets.
Operational events flow directly into storage billing, handling charges, repair costs, and overstay fees. Automated calculation applies your tariff rules by customer account, container type, zone, and billing period, keeping rating consistent and transparent.
- Automatic pricing of storage, moves, and services from live container status
- Configurable tariff structures for depots, terminals, inland depots, and CFS operations
- Accurate invoice creation with full charge breakdown and tax logic
- Visibility of open balances and aging per customer
- ERP export and accounting export options for downstream finance systems
Finance and operations use the same data set, so billing cycles shorten, disputes are fewer, and revenue loss from missed services or incorrect rates is reduced across the yard, depot, or intermodal terminal.
