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Managing Entries Using Available Tabs

The
Entry Summary
screen contains a number of available tabs, each serving a different role in managing key tasks specific to post- entry review and the full entry review process.
The available tabs are designed to manage entries as they progress through each step of the post-entry review process. Available tabs in the base version of the
Entry Summary
screen include:
  • Entry Management
  • Entry Data
  • Payment
  • Liquidation
  • Groups
  • Line Overview
  • Communication
  • Work Queue
Additional tabs available upon request or, if purchased, include:
Tabs
Description
NAFTA Reconciliation Summary & NAFTA Reconciliation Determination ($)
These tabs could support the NAFTA Reconciliation Process and generate a NAFTA Reconciliation Report.
important
The
NAFTA Reconciliation
process has been replaced by the
Entry Reconciliation
process. Going forward,
Entry Reconciliation
tabs shall be used for entry reconciliation activities. The
NAFTA Reconciliation
tabs will be provided for historical access of records only.
Entry Analysis ($)
Analyzes entry data for preferential trade agreement opportunities. Requires purchase of ONESOURCE Tariff Analyzer Module.
important
A standard workflow,
EV_Standard_UPS7501andB3_Import_v2025
, is available to receive information from the UPS broker and supports multiple HTS codes per product line.

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