Home > CNFANS Spreadsheet: A Guide to Detecting Payment and Freight Log Discrepancies

CNFANS Spreadsheet: A Guide to Detecting Payment and Freight Log Discrepancies

2026-02-24

In the intricate world of logistics and supply chain management, ensuring billing accuracy is paramount. Discrepancies between payment records and freight logs can lead to significant financial loss, strained partnerships, and operational inefficiencies. The CNFANS Spreadsheet

The Core Challenge: Why Discrepancies Occur

Mismatches between payment invoices and freight logs typically stem from human data entry errors, miscommunication between shippers and carriers, fluctuating ancillary fees (like fuel surcharges or detention), or simply from outdated spreadsheet versions. Without a systematic check, these errors can go unnoticed, directly impacting the bottom line.

Step-by-Step: Cross-Verification with the CNFANS Spreadsheet

1. Data Consolidation and Standardization

Begin by importing or entering data from both your payment system (e.g., invoices paid) and your freight logs (e.g., carrier receipts, Bill of Lading details) into the dedicated sections of the CNFANS sheet. Ensure consistency in key fields:

  • Shipment/Reference ID:
  • Date of Service:
  • Carrier Name & SCAC Code:
  • Origin and Destination:
  • Weight, Dimensions, and Class:
  • Quoted Rate vs. Invoiced Rate:
  • Accessorial Charges:

2. Leveraging Formulas for Automated Comparison

The power of the CNFANS Spreadsheet lies in its calculated columns. Use formulas to flag inconsistencies automatically:

  • VLOOKUP / XLOOKUP:
  • IF Statements:=IF(Payment_Amount <    FreightLog_Amount, "CHECK", "OK").
  • SUMIFS:
  • Conditional Formatting:

3. Targeted Analysis of Common Discrepancy Areas

Focus your review on the most common sources of error:

  • Rate Deviations:
  • Accessorial Charge Validation:
  • Duplicate Billings:
  • Service Level Discrepancies:

4. Documentation and Resolution Workflow

Once discrepancies are identified, the CNFANS sheet becomes your audit trail. Create columns for:

  • Status:
  • Responsible Party:
  • Notes & Evidence:
  • Resolution Amount:

Best Practices for Ongoing Accuracy

  • Regular Reconciliation:
  • Centralize Data Entry:
  • Version Control:
  • Carrier Scorecard Integration:

Conclusion

The CNFANS Spreadsheet