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IMOS - VC In

Home > Chartering > VC In

This is a Key Topic, with high value for all users.


Walkthrough: Scheduling a Voyage

These breadcrumbs show where you are in the walkthrough. To move to a different section, click its link:

Create a VC In > Create an Estimate or Voyage > Hand Off to Operations


A Voyage Charter In (VC In) looks similar to a Cargo, except that it has an Owner field instead of a Charterer field and other fields related to a purchase rather than a sale. You can use it to view and manage VC In contracts; for details, see information on the Cargo form. VC In contracts also appear on the Trading P&L Summary.

VC In List

The VC In List contains all VC In contracts that you have the right to view.

  • On the Trading menu, under Trades, next to VC In, click List.

  • On the Chartering menu, under Cargo, next to VC In, click List.

  • By default, the following filters are applied, but you can change them:

    • Status is not in the list CanceledWithdrawn

    • Laycan From is on or after 365 days in the past

Row and Card Colors

Row and card colors indicate the following:

Color

Description

Unacknowledged revision via the Messaging Service

Update warning (based on Chartering Lists Settings)

Unacknowledged revision and update warning

VC In

To view an existing VC In, in the VC In List, click its row or Cargo ID link.

To create a new VC In, do one of the following:

  • On the VC In List, click +.

  • Create VC Ins from a VC In COA.

  • On the Trading menu, under Trades, click VC In.

  • On the Chartering menu, under Cargo, click VC In.

  • To share a VC In contract, copy the URL and then share it with any signed-in users in your organization.

  • VC In details are in the center:

    • Complete all the sections, as on a Cargo.

    • You can access additional tools, forms, and information on the toolbar and right panel.

When an Alert is entered for an Owner, Vessel, or Port, the field is highlighted in light red.

Copying a VC In

To copy a VC In:

  1. Click  and then click Copy Existing.

  2. Enter the Number of CopiesTotal Period, and Start date and then click Create.

  3. Edit line items for the copies as needed and then click OK.

Copying a VC In to a Cargo

To copy a VC In to a Cargo, click the copy icon, and then click Copy to Cargo.

Copying a VC In to a Cargo and Linking Back

To copy relevant details from a VC In to a Cargo and Link them in a Relet connection (similar to clicking Relet on a Cargo), click the copy icon, and then click Copy to Cargo and Link Back. Pricing, demurrage, broker, and Extra Freight Terms details are not copied onto the Cargo.

Adding a VC In to an Estimate

To create an Estimate from a VC In, click Estimate and then click Add Cargo to New Estimate. An Estimate is created with the Cargo. If a vessel has been nominated, the new Estimate uses this vessel.

To add the Cargo to an existing Estimate, click Estimate and then click Add Cargo to Existing Estimate. Enter Estimate Search Criteria and select the Estimate.

Creating or Opening a Voyage Fixture from a VC In

To create a Voyage Fixture from the VC In, click Create Fixture.  If the VC In is linked to a Sale Cargo, the Voyage Operation Type is set to RELT; otherwise, it is set to SPOT.

After the Voyage Fixture is created, the button changes to Open Fixture.

Scheduling or Opening a Voyage from a VC In

To create a voyage from the VC In, click Schedule Voyage. All the information from the Cargo moves to the voyage.

After the voyage is created, the button changes to Open Voyage.

Bulk Updating VC Ins

NoteConfiguration flag CFGEnableCargoBooking must be set to N.

If you have the Bulk Update Cargo Contracts Module Right selected, under Actions in Chartering, a column of check boxes appears in the VC In List. To bulk update VC Ins, select the contracts you want to update and then click the Bulk Update action link at the top of the list. To select multiple consecutive rows, select the first row and then press and hold Shift. Select the last row and then release Shift.

Enable Cargo Emissions Allocation

 

Name/Flag

Description

Name/Flag

Description

Use Company Lob Trade Area Hierarchy
CFGUseCompanyLobTradeAreaHierarchy

Sets up a hierarchy between Company, LOB, and Trade Area on several forms.

Enable Contract Mirroring
CFGEnableContractMirroring

Enables the following types of intercompany contracts to be mirrored: Cargo COA, VC In COA, Cargo, VC In, Time Charter In, Time Charter Out, and FFA/Option/Bunker Swap Trade. When a contract of one of these types is created with internal counterparties, a mirrored contract is automatically created from the opposite perspective, so that users from both legal entities can manage the contract and include it in both their operational planning and their trading exposure and P&L.

  • When both CFGEnableContractMirroring and CFGEnableTCInvoiceMirroring are Y, and when a TC contract is mirrored, TCO invoices are mirrored from TCI invoices. Incremental invoice type is unavailable for such mirrored TC invoices.

  • If an **OV voyage has cargoes with multiple internal charterers, it can be mirrored with multiple RELT voyages, one for each internal charterer's company.

Show Remittance in Cargo
CFGShowRemittanceInCargo

Adds Remittance BankInvoice %Payment Terms, and Balance % fields to the CP Terms DetailsCargo COACargoVC In COA, and VC In forms. Also adds a Remittance Bank field to Time Charter Other Information. Remittance information flows between these places; for example, fixing an Estimate will transfer the remittance information.

  • On a Cargo COA, VC In, or Time Charter Out, changing the Company clears the remittance bank information, as this may change with a change to the Company.

  • On a VC In COA or Time Charter In, changing the Owner clears the remittance bank information, as this may change with a change to the Owner.

  • A default value for the Remittance Bank for each currency can be selected in the Address Bank Links tab for Cargo COA, Cargo, and Time Charter Out (Other Information) contracts, but it can be changed later.

Enforce Operations Ledger Code Commissionable Property
CFGEnforceOpsLedgerCodeCommissionableProperty

When enabled, the Commissionable setting of an Operations Ledger Code alone determines whether claim and freight adjustment line items are commissionable. When enabled, the commissionable setting cannot be overridden in invoices or per broker.

Default Claim Commission Invoice Setting
CFGDefaultClaimCommissionInvoiceSetting

This flag controls the default setting for broker commissions on Claims by setting the default value of M on TC InTC OutCargoCargo COA, VC In, and VC In COA broker grids. Possible values:

  • 0 (default): Claims are not commissionable.

  • 1: Claim commissions will be invoiced separately.

  • 2: Commissions will be deducted from the Claim Invoice.

Enable Commission Sharing
CFGEnableCommissionSharing

When enabled, you can share commissions between internal broker companies. For more information, see Sharing Commissions with Internal Brokers.

Also adds an Internal Counterparty column to the TCO Estimate Broker table.

Enable Broker Rules
CFGEnableBrokerRules

When enabled, Cargo Broker Rules and Time Charter Broker Rules can be defined to add default brokers to contracts.

Also adds Add Default Brokers to the TCO Estimate toolbar to default internal brokers by applicable rules.

Apply IC Adjustment to Xfrt
CFGApplyICAdjustmentToXfrt

If enabled, for a model B mirrored freight contract (Cargo / VC In and Cargo / VC In COAs), an Extra Freight Term is adjusted by IC Adj % in the same way as the base freight, if the Extra Freight Term type is Rate or Lumpsum (not Percent).

Enable Operations LOB
CFGEnableOpsLOB

If enabled, displays an LOB (Line of Business) field on the Address (Type W), Estimate, Voyage Fixture, Voyage, and contract forms.

Enable Standards
CFGEnableStandards

Hides the Port Expense field on some forms, enables standards for expenses, and adds a Port Expenses Details form and a Port Expenses Details button on the Port Expenses Summary to open it. When detail-level port expenses are being used, the PortExp column in the Voyage Itinerary behaves the same as the PortExp column in the Estimate itinerary:

  • For a port with no detail-level port expenses, you can edit its PortExp amount in the Voyage Itinerary Cargo Tab. The voyage P&L shows this amount as estimated expenses for that port.

  • For a port with a single detail-level expense, that amount appears and can be edited in the voyage itinerary PortExp field. An estimated expense entered before creating the detail-level expense is no longer displayed in the voyage P&L.

  • For a port with multiple detail-level expenses, the itinerary PortExp field shows the sum of the detail-level expenses for that port and cannot be edited.

  • When CFGVoyageExpenseAllocation is set to Y, a Voyage Expense Allocation section will be added to the Voyage Estimate Profit & Loss Report, and optionally to the Voyage Profit & Loss Report.

An ECA Factor field also appears on COA, Cargo/VC In, and CP Terms Details forms. When ECAFactor is used in an IMOS ECA Recovery Charge Results/Fee expression and an ECA Factor value is entered on a contract, an ECA Recovery Charge Extra Freight Term is generated on that contract.

  • When a COA is created from an Estimate, ECA Factor is copied from CP Terms to the COA.

  • When a COA Lifting is created, ECA Factor is copied from the COA to the Cargo.

  • When a cargo is scheduled, ECA Factor is copied from the cargo to the back-created Estimate.

Enable Shuttle Freight Invoicing
CFGEnableShuttleFreightInvoicing

Enables the Shuttle Tanker Workflow and master data forms necessary for freight invoicing of time and bunkers for both the actual voyage and theoretical return legs, most commonly used by shuttle tankers.

Enable VC In Booking
CFGEnableVCInBooking

Enables the VC In Booking form.

Adds an option to Keep Booking No. when copying a Cargo or VC In.

Enable Voyage Manager Cargo List
CFGEnableVoyManagerCargoList

Adds Cargo and Cargo Handling tabs to the Voyage Manager. The Cargo tab is similar to the Cargo List, but only includes cargoes associated with the voyage. The Cargo Handling tab is similar to the Cargo Handling form; it includes a list of all cargoes associated with the voyage, with a line for each load and discharge. Lines highlighted in yellow indicate transshipment cargoes, while lines highlighted in blue indicate interservice cargoes.

If a Cargo or VC In has at least one unacknowledged revision, its row is highlighted in the Cargo List.

Store Firming ETA on Cargo Trigger
CFGStoreFirmingETAOnCargoTrigger

When a voyage’s status is set to the configuration flag value (forecastscheduled, or commenced), a static Firming ETA field populates on the linked Cargo or VC In Itinerary/Options tab. You can compare this value with the actual ETA in a custom Report Designer report.

To disable this flag, leave the value blank.

Note:

Firming ETA will be cleared out if the voyage status is set to a status prior to the status of the configuration flag setting and will only be repopulated when the voyage status is set back to the one associated with the trigger type.

When the cargo is unscheduled from a voyage, the Firming ETA field will be cleared out as well so that it no longer shows a value

Enable Cargo Delivered
CFGEnableCargoDelivered

Enables you to save Cargoes, VC Ins, or bookings with only a load or discharge port.

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