Containers

The Containers tab displays the list of containers leased under the agreement.

  • Standard actions , , and are available for managing the list. However, editing existing entries is not allowed after the agreement is saved.

  • The button creates a new container and adds it directly to the lease agreement.

Available Actions (top-right corner)
  1. Copy to Clipboard — Copies the number of the currently selected container (one container only);

  2. Export to Excel — Exports the list to an Excel file using the same fields as shown in the table.

Adding a Container

When adding a container, a Select Container window opens.

  • In the upper part of the window, select a container from the list.

  • Click to proceed.

  • A lease details form for the selected container will appear.

The form includes the following fields:

  • On Hire Date: Date the container is received.

  • Off Hire Date: Date the container is returned.

  • Port: Port of receipt.

  • Terminal: Terminal of receipt.

  • Notes: Any additional comments.

Lease Status Tracking

The lease status of each container is based on related Events and is updated automatically after the lease agreement is saved.

  • When a container lease record is saved, the system automatically creates an event with the Lease In type. This marks the beginning of the lease period and sets the container’s status to Leased.

  • When an event with the Redelivery type is completed for a container (and the current lease agreement is specified in the event), the container’s status in the list is updated to Redelivered.

These event statuses help track the current leasing stage of each container linked to the agreement.