For Ship Agents & Maritime Operations Teams

Ship Agent Software for Vessel Call Management

The ship agent job is coordination-heavy and document-heavy. Vessel arrivals, charge logging, vendor payments, principal approvals, FDA reconciliation. Base puts all of it on one record so your agents stop switching between five tools to run a single vessel call. See port agency software for the agency-wide view, or port call software for the port call framing.

Ship Agent · Day View
Tuesday · 4 port calls active
ON TRACK
Today’s Priority Queue
MV Atlantic alongside · log berthing charges 14:30
MV Nordic · principal awaiting PDA approval 13:10
MV Helios FDA approved · sync to QB 11:44
MV Meridian · crew change at 22:00 09:22
MV Pioneer · customs clearance pending 08:50
Charges logged
23 today
Docs attached
14 today
Approvals
8 cleared

The pain points every ship agent knows.

These four pain points are what every ship agent runs into by Tuesday afternoon. Base replaces all of them with one shared port call record.

Stop the manual entry errors.

A charge typed into the spreadsheet does not match the vendor receipt. The FDA is off by $400. The principal asks what happened and no one remembers.

Stop patching tools together.

Email for the principal. Spreadsheet for the charges. Accounting for the invoicing. WhatsApp for the agent on scene. Nobody can answer a simple question about a vessel without opening four tools.

Stop waiting on status updates.

Vessel alongside at 14:00, berthing charge known at 14:02, principal finds out at 17:30 when the agent finishes the day. Every status check is an email thread.

Stop the invoicing lag.

PDA sent by email. FDA generated in Word. Invoice typed into QuickBooks. Payment chased by phone. Four tools, no automation, a week of delay per port call.

What go-live looks like, from day one to quarter one.

No rip-and-replace. Base imports your vessel and vendor list, then each week absorbs another piece of the manual work your team is doing today.

Day 1

Your agency tenant goes live

Base creates your tenant with your vessels, vendors, and chart of accounts imported. Port call templates mapped to your common service types. Nothing running in production yet.

Week 1

First real port call in Base

Your ship agent runs a real vessel call in Base. PDA generated from template. Charges logged from dockside. Principal invited to guest access. Base is now in the workflow for one agent.

Month 1

Your whole agency is on it

All active port calls live in Base. Principal reviewers invited. QuickBooks or Xero sync live. Spreadsheet workflow retired for new calls. Finance reconciliation moves to real time.

Quarter 1

Your books close faster

Port calls typically close in four days instead of two weeks. Month-end reconciliation drops from a week to a day. Your principals stop asking where their FDA is because they already have it.

The ship agent job, on one screen.

Your ship agent opens Base, sees the vessel they are running today, and logs charges, attaches documents, and updates the SOF from dockside. Everything they do attaches to the port call record the principal is watching. No tool-switching, no end-of-day catch-up, no parallel spreadsheet. Works with document generation for PDA and FDA output.

Ship Agent View · MV Atlantic
Santos · Berth 14 · Alongside
LOGGING
Quick actions
+ Add charge + Attach doc + Log SOF + Vendor invoice
Today on this call
Pilotage · $3,800 · logged 14:02
Tug assist · $5,250 · logged 14:44
Linesmen · $980 · logged 15:15
Launch service · $620 · logged 16:02

What to look for in ship agent software.

Integration with what you already run

Your accounting system, your document storage, your email. Ship agent software should connect to these, not replace them. If you have to learn a new invoicing tool on top of the ship agency tool, the vendor is doing it wrong.

Ease of use on a busy day

Your agents run port calls, not software training sessions. The tool has to be faster than the spreadsheet on the busiest day of the month or they will open the spreadsheet instead. Complexity dies in the first week of use.

Real-time updates across the team

Agent logs a charge from dockside. Finance sees it within seconds. Principal sees it within seconds. No waiting on a sync batch job or a nightly export. Real time is the whole point.

Automated invoicing and PDA/FDA generation

The PDA and FDA should generate from the port call record, not from a Word template the agent maintains by hand. Every charge on the record lands on the document automatically, with tax and currency handled.

One place for every document

Customs forms, pilot slips, vendor receipts, SOF prints, cargo manifests. All attached to the port call they belong to. Never attached to an email thread that someone else is going to forget to forward.

Scalable from 5 to 500 port calls a month

The tool that works for a single-port agency with five vessels a month has to keep working when you grow to a multi-office network running 500 calls. Base scales without switching products or tearing out data.

Accounting Sync · Last 7 days
QuickBooks Online
LIVE
Charges synced
247
Invoices issued
38
Match rate
99.6%
Per-principal breakdown
North Atlantic Cargo$142K
Offshore Energy Ops$98K
Bulk Charter Services$67K

Accounting that matches the port call, not the other way around.

Every ship agent wears a finance hat. Charges log against the port call, vendor invoices attach when they arrive, the PDA turns into the FDA, and the FDA syncs to your accounting system with the full cost breakdown intact. No double entry. No end-of-month reconciliation marathon. Per-principal breakdowns flow automatically because each port call already knows which principal it belongs to. See QuickBooks integration and Xero integration for the full field list that syncs.

What ship agents actually get out of running Base.

Fewer manual errors

Charges attach to the port call when they happen. No re-typing into a spreadsheet, no transcription mistakes, no month-end surprises when accounting finds a $400 gap.

One system to run the job

Email, spreadsheet, accounting, messaging all collapse into one port call record. The agent opens one tool, not five. Ship agents who switch to Base cut tool-switching time sharply in the first month.

Live status for everyone

Agent logs a charge. Finance sees it. Principal sees it. Ops sees it. No waiting on a status email that never gets sent because the agent is running three vessels at once.

Faster invoicing and payment

PDA, FDA, and invoice all generate from the port call record. No re-typing into accounting, no hunting for the vendor receipt, no waiting a week for the principal to approve. Port call to paid in days.

One place for every document

Customs forms, pilot slips, SOF scans, vendor receipts, cargo manifests. Attached to the port call they justify, not buried in an inbox three emails deep.

A tool that grows with the agency

Start with one agent and five vessels a month. Grow to a multi-office network running 500 calls. Base works for both. Configurable per principal, per office, per workflow.

$1B+

in port call charges tracked

19,940+

records synced to accounting

15

currencies captured per port call

62,595

PDAs and FDAs generated

What ship agents ask before switching tools.

"We run port calls on Excel and email. Why change?"

Excel works until the third principal asks a question about a charge you logged two weeks ago. Base replaces the spreadsheet with a live record your whole team reads from, including the principal. Agencies running Base on real port calls cut month-end close from a week to a day.

"Our agents will not adopt another tool."

Agents adopt Base inside a week because the port call template is faster than copying last week’s spreadsheet. The tool has to be faster than the workaround. Most agencies see the longest-tenured agent stop opening the spreadsheet first.

"We have an accounting system we like."

Keep it. Base pushes approved charges to QuickBooks or Xero on FDA approval. Your accountant never logs into Base. Your agents never touch the accounting system. No double entry, no parallel books.

"How much will principals actually use it?"

Principals get scoped guest access. They see only their vessels, only their charges, only their approvals. Most principal reviewers are approving line items within ten minutes of their first login. No training, no seat license, no daily check-in.

SEE SHIP AGENT SOFTWARE IN ACTION

Run a real port call in your demo.

Bring a real vessel call. One you are prepping for next week, one you just closed, or one that went sideways and you want to replay. We will set up the ship agent workspace, walk you through the PDA to FDA workflow, and show you what the principal sees, live, in your own tenant. No prep required.

See how Base runs your ship agency

Stop running ship agency work out of five tools.

Move the port calls, charges, documents, and principal approvals into one workspace your whole team reads from. See Base in a live demo with your own vessels and your own port call workflow.

Frequently Asked Questions

Ship agent software is the platform a ship agent or port agency uses to manage every vessel call from nomination to final disbursement. It captures the vessel, port, berth window, charges, vendor invoices, statement of facts, documents, and principal approvals in one port call record. Good ship agent software replaces the spreadsheet and email workflow with a shared record your whole team reads from, including the principal or charterer paying for the port call.
They describe the same category from different angles. “Ship agent” is the person who runs the port call for the vessel. “Port agency” is the business employing ship agents. Base supports both views: the agent running today’s vessel and the agency manager overseeing the full book of active calls. See port agency software for the agency-wide framing.
Six things: integration with your existing accounting and document tools, ease of use on a busy day, real-time updates across the team, automated PDA and FDA generation, one place for every document, and scalability from a handful of port calls to hundreds per month. Anything less and your agents will keep opening the spreadsheet.
Yes. Each principal can have its own custom fields, approval stages, reporting format, and scoped visibility. Principals only see the vessels and charges that belong to them. Your agency data stays separated per principal automatically.
Yes. Base syncs to QuickBooks Online and Xero. Approved charges flow with the vendor, rate, currency, tax, and port call reference intact. The sync triggers on FDA approval so nothing reaches accounting until the principal has signed off.
Base runs sanctions screening and license validation on every vendor and every charge on the port call. License expirations surface on the record before they bite. See sanctions screening and vendor compliance software.
Most ship agencies run their first real port call in Base within a week. Full roll-out to the whole agency usually finishes in two to four weeks. No IT project, no rip-and-replace. You keep your accounting system and your existing workflows where they work.
Yes. Disbursement accounting is the core of what ship agent software does: tracking advance funds from the principal, logging charges against them as they happen, generating the FDA at close-out, and reconciling the final disbursement. See disbursement accounting software for the full workflow.
A shipping agency represents a vessel owner or charterer at a port. The agency handles everything the vessel needs while calling at that port: arranging pilotage and tug services, clearing customs, coordinating crew changes, managing vendor payments, and generating the disbursement account the principal pays. Ship agents are the individuals who run these port calls day to day. Ship agent software like Base is the tool that replaces the spreadsheet and email workflow they used to run on.
Audits on a port agency are usually about the disbursement account trail: every charge, every vendor invoice, every approval, every payment. When this lives in a single port call record with timestamps and reviewer attribution, audit prep takes hours instead of weeks. You can show exactly who logged what, when it was approved, and what the principal paid. Base gives auditors the same view your finance team has.

Ready to get started?

See how Base works for your operation.