Who it's for
A trade intelligence layer that pays off across the whole org
The Sentinel Flow gives finance, operations, procurement, compliance, and executive teams a shared view of duty recovery, duty-free eligibility, and trade risk — with the evidence behind every finding.
By team
Finance teams
Recover cash, quantify impact
Recover overpaid duties, estimate savings across historical entries, and quantify the financial impact of tariff exposure — with evidence that supports internal audit and CFO review.
Operations teams
Monitor supplier & lane exposure
Monitor supplier, lane, and shipment exposure to tariff changes and regulatory events. Surface issues before they become filed-entry problems.
Procurement teams
Find sourcing & duty-free opportunities
Identify sourcing shifts and duty-free eligibility under trade agreements. Compare landed cost across origins using structured rule-of-origin signals.
Trade compliance teams
Classification & regulatory oversight
Review classification risk, evidence trails, and regulatory change signals. Keep filings defensible with linked citations and versioned rule references.
Executives
Decision packages & trade war response
Review executive dashboards, exposure summaries, decision packages, and strategic responses to trade war events — with the underlying evidence one click away.
The measured value
Sentinel Flow does not promise a guaranteed ROI. It gives you the signals and evidence to quantify one for your own book.
Identify potential overpayments
Surface duty and fee lines that look recoverable, with the supporting invoice fields.
Surface duty savings opportunities
Screen entries for preferential-tariff and duty-free eligibility under active agreements.
Improve visibility into exposure
See supplier, lane, HTS, and country exposure across your book — not one entry at a time.
Reduce manual review time
Deterministic engines do the arithmetic; humans focus on judgment calls.
Buyer FAQ
How is this different from a customs broker?
We are not a customs broker. Sentinel Flow is trade intelligence software that surfaces recovery and risk signals from your own records. You still file through your broker or in-house team; we make the evidence easier to defend.
Do you guarantee refunds?
No. Refund outcomes depend on the authority, filing quality, and record accuracy. We surface opportunities and quantify them so your team can decide which to pursue.
How does the success fee work?
On eligible plans, a success fee applies only to recoveries you actually collect. See the Success Fee page for the schedule.
Can we start with a sample?
Yes — the Sample Report page walks through a real recovery analysis. You can also run your first audit directly in the app on a live invoice.
How is my data handled?
Uploads sit in an access-controlled workspace scoped to your account. We do not sell, share, or use your records to train third-party models. See the Security page.
Who owns the findings?
You do. Evidence packages, claims, and exports are your records — you can export them at any time from the Billing / Data controls.
See it against your own invoices
Walk through a Sample Report, or upload one of your entries and get a recovery analysis in minutes.