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Export119 documentation

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I just signed up

Walk through the first hour on the platform — company setup, team invites, and the daily routine for traders.

Getting started →

I'm moving from another system

The 8-step Migration to Export119 wizard takes your existing balances and turns them into a clean opening trial balance.

Migration overview →

I run cars day to day

The Cars inventory page is where most operators live. Status workflow, saved views, consignment vs principal, marketplace publishing.

Cars inventory →

I'm a forwarder or customs broker

Publish container & RORO schedules, receive booking requests, and ride the document checklist through to delivery.

Shipping & logistics →

I keep the books

Chart of Accounts, general ledger, trial balance, FX cost basis under IAS 21, and the opening-balance reclassification flow.

Accounting →

I manage who can see what

Sections, RWED permissions, per-view and per-vault access, role presets, and how to debug “why can’t they see X?”

Team & permissions →

These docs are written for the people running an Export119 tenant — the trader logging cars, the forwarder publishing schedules, the bookkeeper closing the month. They’re task-oriented: each page assumes you have a real job to do, and tells you how to do it without burying the answer.

If you find a gap, the platform always wins over the docs. When in doubt, what the app does in front of you is the truth — please tell us and we’ll fix the page.