OUR CLIENTS
NetYield provides seafood-specific tools and workflows across the value chain
LOT-LEVEL CUSTOM ATTRIBUTES
Capture 7 free text and 3 dates per lot, customizable for each item
LOTTED INVENTORY
Receive multiple lots per line item purchased
THREE STEP TRANSACTIONS
Inventory valued when completing a purchase, including charges
SETTLEMENTS
Link sales and credits back to a purchase to understand profitability and set your price to settle with a vendor
REGULATORY REPORTING
Capture key information like vessel, port, VTR, fishing area, and more to make regulatory reporting easy
TRACK REUSABLE CONTAINERS
Keep track of pallets, crates, totes, bins exchanged between your vendors and customers
ATTACH DOCUMENTS TO TRANSACTIONS
Organize import paperwork, fish slips, or receiver directly within the purchase order
NetYield has developed a series of offloading tools after working with Alaskan fish plants, tuna floors in Miami, Maine lobster fishing piers, and HMS boats and groundfish trawlers across the country. We know that your arrangement with each captain could be different – some fishermen buy fuel and bait from you in the morning and want to net it off their catch at the end of the day, others want to accumulate a bonus paid out at the end of the season, others want to consign their catch to you and share in the profits after you recover your selling costs and any customer credits, others need an advance to fix their boat paid off over several catches. Our consultants have offloaded their fair share of boats and know a 100LB tote of fish is never 100LBs and paperwork needs to clean and simple.