SAD BOXES
BOX 1 – DECLARATION
BOX 2 – EXPORTER/ SUPPLIER
BOX 3 – PAGE
BOX 4 – PLACE NA
BOX 5 – ITEMS
BOX 6 – TOTAL PACKAGES
BOX 7 – REFERENCE NUMBER
BOX 8 – IMPORTER/CONSIGNEE
BOX 9A – FREIGHT
BOX 9B – INSURANCE
BOX 9C – OTHER CHARGES
BOX 10 – PLACE NA
BOX 11 – PLACE NA
BOX 12 – PLACE NA
BOX 13 – TENTATIVE RELEASE CODE
BOX 14 – BROKER/ ATTY-IN-FACT
BOX 15 – COUNTRY OF EXPORTER
BOX 15 – A – COUNTRY OF EXPORT, CODE
BOX 15 B – PLACE NA
BOX 16 – COUNTRY OF ORIGIN
BOX 17, 17A, 17B – COUNTRY OF DESTINATION
BOX 18 – VESSEL/AIRCRAFT
BOX 19 – CONTAINER
BOX 20 – TERMS OF DELIVERY
BOX 21 – LOCAL CARRIER, IF ANY
BOX 22 – TOTAL CUSTOMS VALUE (ALL ITEMS)
BOX 23 – EXCHANGE RATE
BOX 24 – BANK CHARGES CODE
BOX 25 – PLACE NA
BOX 26 – PLACE NA
BOX 27 – TRANSSHIPMENT PORT
BOX 28 – FINANCIAL AND BANKING DATA
BOX 29 – PORT OF DESTINATION
BOX 30 – LOCATION OF GOODS
BOX 31 – MARKS AND NUMBERS, PACKAGES, CONTAINER NUMBERS,
NUMBER&KIND, DESCRIPTION OF GOODS
BOX 32 – ITEM NUMBER
BOX 33 – HS CODE (COMMODITY CODE)
BOX 34 – A – COUNTRY OF ORIGIN CODE
BOX 34 – B – PLACE NA
BOX 35 – ITEM GROSS WEIGHT (KG)
BOX 36 – PREFERENCE
BOX 37 – PROCEDURE
BOX 38 – ITEM NET WEIGHT (KG)
BOX 39 – VALUATION METHOD
BOX 40 – A – AIRWAY BILL/ BILL OF LADING
BOX 40 – B – PREVIOUS DOCUMENT NO.
BOX 41 – SUPPLEMENTARY UNITS
BOX 42 – ITEM CUSTOMS VALUE
BOX 43 – VALUATION METHOD
BOX 44 – ADDITIONAL INFORMATION, DOCUMENT SUBMITTED,
CERTIFICATE/AUTHORIZATION
BOX 45 – SECURITY
BOX 46 – DUTIABLE VALUE (PHP)
BOX 47 – CALCULATION OF TAXES
BOX 47B – ACCOUNTING DETAILS
BOX 48 – ACCOUNT NO.
BOX 49 – IDENTIFICATION OF CBW
BOX 50 – SIGNATURE AND NAME OF IMPORTER AND THE BROKER OR THE
IMPORTER’S ATTY-IN-FACT AS WELL AS DATE
BOX 50 – B – SUBSCRIPTION AND SWORN
BOX 51 – AUTHORIZATION
BOX 52 – CONTROL AT OFFICE OF THE DESTINATION (REVERSE SIDE)
BOX 53 – INTERNAL REVENUE TAX
BOX 54 – SECTION OF THE FED RESPONSIBLE FOR THE PROCESSING THE
ENTRY
BOX 55 – NO. OF PACKAGES EXAMINED
BOX 56 – DATE RECEIVED
BOX 57 – DATE RELEASED
BOX 58 – DESCRIPTION IN TARIFF TERMS ETC. (REVISED CHARGES)
BOX 59 – CHARGES
BOX 60 – (AS PER) DESCRIPTION
BOX 61 – (AS PER) FINDINGS
BOX 62 – DIFFERENCES
BOX 63 – ACTION DIRECTED/RECOMMENDED- DATE COOV
BOX 64 – DATE, COOIII
BOX 65 – LIQUIDATED AMOUNT PHP
BOX 66 – SHORTAGES/EXCESS PHP
BOX 67 – REMARKS
BOX 68 – COOIII, DATE
BOX 69 – COOV, DATE