HarborWrite®
This may be considered as history of trading business. After the end of World War 2, Nihon Word Data Co., Ltd. from Osaka and a certain company from Tokyo cooperated to purchase a large amount used typewriter from GHQ and sold to trading business. After that, IBM had produced typewriter with magnetic card. However, only major companies could use this new type of typewriter since its price is quite expensive. Later, United States had introduced new type of typewriter called CPT (Cassette Powered Typewriting) which became well-known and had high sales volume in Japan. Nihon Word Data Co.,Ltd. which was agency of CPT in Kansai area had developed from MS/DOS era and sell HarborWrite® when MS-Windows was just released. Therefore, we could say that HarborWrite® is the first Windows version of trading support system in Japan or maybe of the world.
As requested from Nihon Word Data Co.Ltd., that was intended to sell HarborWrite® in Tokyo, our company has debuted in trading software business as Eastern Japan and oversea agency in 1995 (March 1, 1995). In the era of CPT, it was "trading dedicated equipment", but from the era of Windows, it became the era of trading system software. That is why since 1999 our company has turned into software development company. On the other hand, Nihon Word Data Co.Ltd., has become sole agency for Western Japan and China instead.
HarborWrite® is a system that is developed based on knowledge and experience in trading industry for over 50 years. Our company, specialized in developing software for business, has developed HarborWrite® by using Java/EJB and sold in December 2000. (It's our proud to successfully develop the world's first trading software with Java/EJB object-oriented).
That's all for the history of HarborWrite® as well as the origin of word processing software which borned from trading industry. The name HarborWrite ® comes from HarborLight(light of harbor) by changing the word Light to Write with the idea of Kansai people. Even most of Arcadia staffs are Kanto people, we also like this name.
【Import system characteristics and flow diagram 】
① Excellent import cost calculation function
② Able to estimate import cost in order stage.
③ Tracking import status feature helps us acquire current situation.
④ Able to open L / C, make change request, send foreign remittance data to bank electronically.
⑤ Divide cost into multiple Invoices easily.
Business Flow Detailed description of business flow Output forms
(title name)
Purchase Order - Control remaining quantity deducted by purchase quantity from basic contract.
- Create document for Purchase Order both single and multi orders.
(Support partial and combine)
- Import contract (Import Purchase Contract)
- The formal statement of cost.
Arrival information registration - can register shipping documents(invoice data) got from suppliers (overseas). - Request for Customs
Customs Clearance - Able to control goods quantity in case of customs clearance with multiple (divided) invoices and calculate cost accurately from inputing necessary expenses for customs clearance each time.
Cost registration - Register each trader's billing information from import business. Able to divide billing amount to each invoice proportionally.
Cost Calculation - Calculate the cost of purchase based on arrival information registration and information that has been registered in the customs clearance process. - Statement of cost
Payment Process


- Payment process can be done by using advanced payment information and settlement information registered in Arrival menu based on trade partner, currency, payment method, and L/C number.

Remittance Process - Create a remittance request based on settlement information which has processed payment.
- Overseas remittance request
Import progress - Display list of import status including filtering search by date and invoice.


- List of import progress



【 Export system characteristics and flow diagram 】
① Able to output profit report for each menu (Estimate, Receiving Order, Shipping through customs, etc.)
② Able to set partial / combine for lading with no limit.
③ Support BENEFICIARY'S CERTIFICATE and Declaration Of No-Wood Packing Material(Chinese language).
④ Suppport each bank's application form format (Application for negotiation of draft, Bill of exchange).
⑤ L/C data is corresponding to Japanese Banker's Association data and SWIFT data.
Business Flow Detailed description of business flow Output forms
(title name)
Estimation - Create an estimate for customer(export).
- Can manage profit since estimation stage.
- Offer Sheet
- Proforma Invoice
- Profit List
Purchase Order Registration - Create purchase order for trade partners.
- By registering lading quantity for customs clearance, it's possible to manage remaining.
- Sales Contract
- Sales Note
- Profit List
Customs Clearance


- Register export information and output necessary documents for lading.

- Control lading quantity for purchase order without limit.
(Support partial and combine)

* When there is need to edit documents urgently, it's possible to copy customs clearance document and create the same document.
(Support discrepancy)

- Invoice
- Packing List
- Certificate of Origin
- Shipping Instructions
- Shipping Advice
- Declaration Of No-Wood Packing Material
- Beneficiary'S CERTIFICATE
Create Negotiation documents - In case there is need to create negotiation document, it's possible to create by editing document for customs clearance.
Negotiation documents - Output documents corresponding to each bank's document format as Negotiation documents of Bill of exchange.

- Negotiation documents attached L/C

- Negotiation documents without attached L/C

- Draft (Bill of Exchange)

Payment Process - Register Receipt information by gathering payment information from customs clearance menu classified by trade partners, currency, payment method. - Statement
Purchase Order

- Output Purchase Order documents.

- Support both single/multiple(divided) Purchase Order.
(Support partial and combine)

- Order Form
- Import Contract

Arrival Register


- Register Arrival information.

- Manage remaining quantity for ordered goods.