Seller University

How to set up your store in TREX

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You will receive a TREX onboarding invitation from your iSC Account Manager after contract discussion.


1. You will receive an Okta Account Creation activation email. Follow the steps to set up your user account and log in to TREX. Once logged in, proceed to complete the Onboarding Form and fill in the Company Information.
2. Input the Company Name.
3. Input the UEN.
4. Under GST Registered Entity, select the most appropriate option.
5. Provide the GST Registration Number if you selected “Yes” in Step 4.
6. Input the Company Address.
7. Input the Postal Code.
8. Upload the first page of the ACRA document.

9. Provide the First Name of the Authorised Representative. Note: This representative will receive the contract via email and sign it electronically via Docusign.
10. Provide the Last Name of the Authorised Representative.
11. Provide the Designation of the Authorised Representative.
12. Provide the Email Address of the Authorised Representative.
13. Provide the Contact Number of the Authorised Representative.

14. Provide information on your Other Retail and/or Ecommerce channels.
15. Provide the Reference URL Links for the Other Retail and/or Ecommerce channels.
16. If you agree to the terms, check the box.
17. Click Submit.

The submission will be reviewed by the iShopChangi team and the onboarding status will change to Under Review. The Authorised Representative will receive a Docusign email to review and sign the contract electronically. Once the contract has been reviewed and signed, the store status will change to Draft, and you will gain access to additional TREX modules (e.g., Products, Orders, Insights, Administration).
Complete the store set-up by filling in all mandatory fields under Business Information.
18. Provide the Store Name.
19. Upload the Store Logo.

20. For the Order Mailing List, provide the email addresses to receive order-related notifications.
21. For the Product Mailing List, provide the email addresses to receive product-related notifications.
22. Click Submit. The status will change to Pending Approval.

Complete the store set-up by filling in all mandatory fields under Finance & Payments.
23. Provide the Bank Account Name.
24. Provide the Bank Account Number.
25. Select the Name of the Bank from the drop-down list.
26. Provide the Finance Email Address.
27. Click Save.
28. Download the DCA Form, complete and sign it, then upload a soft copy to TREX. Submit a hard copy to EP-Procurement for review and approval.
Send the original DCA forms to us via mail or courier:
✉️ By Mail:
60 Airport Boulevard
Changi Airport Terminal 2 #04-08
Singapore 819643
Attn: Finance Division (Procurement Team) for iSC Finance Matters

🚚 By Courier:
Changi Airport Group (Singapore) Pte Ltd
Corporate Reception
60 Airport Boulevard
#04-08, Changi Airport Terminal 2
Singapore 819643
Attn: Finance Division (Procurement Team) for iSC Finance Matters

Important Notes for Couriers:
Ensure delivery is made during office hours.
Use Lift #8 or #9 located at the CAG Corporate Entrance, Terminal 2, Departure Check-in Hall South, Level 2 (near Check-in Row 12).

29. Click Submit.

30. Download the DDA Form, complete and sign it, then upload a soft copy to TREX. Submit a hard copy to EP-Procurement.
Send the original DDA forms to us via mail or courier:
✉️ By Mail:
60 Airport Boulevard
Changi Airport Terminal 2 #04-08
Singapore 819643
Attn: Finance Division (Procurement Team) for iSC Finance Matters

🚚 By Courier:
Changi Airport Group (Singapore) Pte Ltd
Corporate Reception
60 Airport Boulevard
#04-08, Changi Airport Terminal 2
Singapore 819643
Attn: Finance Division (Procurement Team) for iSC Finance Matters

Important Notes for Couriers:
Ensure delivery is made during office hours.
Use Lift #8 or #9 located at the CAG Corporate Entrance, Terminal 2, Departure Check-in Hall South, Level 2 (near Check-in Row 12).

31. Click Submit.
32. Download the E-Invoicing Account Form, complete and sign it, then upload a soft copy to TREX.
33. Click Submit.

34. Download the 2c2p Agreement Form, complete and sign it, then upload a soft copy to TREX.
35. Download the LiquidPay Agreement Form, complete and sign it, then upload a soft copy to TREX.
36. Upload a soft copy of the Signatory’s ID.
37. Upload a soft copy of the Bank Statement (must include Company Name, Bank Name, and Bank Account Number).
38. Click Submit. The Finance & Payments section will be reviewed once all documents are submitted and processed.

Complete the store set-up by filling in all mandatory fields under the Logistics & Operations section.
39. Provide the Warehouse/Pickup Address Line 1.
40. Provide the Postal Code.
41. Provide the Ops Mailing List.
42. Provide the Ops Contact Number.
43. Click Save. You may begin uploading products in the Products module.

📝 Note: Your store will go Live once the all the necessary documentation (e.g., finance documents, contract etc.) and uploaded products have been reviewed and approved.

Please check the To-do List on the Homepage on the status of the tasks.

Frequently Asked Questions

DCA

Frequently Asked Questions

Why is the DCA required?
The DCA allows CAG to credit payments directly to your designated finance bank account, ensuring timely and accurate payment processing.

Is it mandatory for my bank to endorse the DCA form before I mail the hardcopy to you?
Yes, all sections of the DCA form must be fully completed, including the bank’s endorsement, before mailing the hardcopy over to CAG. CAG will only process payment to a bank account supported by a valid and duly endorsed DCA.

Note: The instruction given in this form is valid only if it is received by CAG within 3 months from the bank’s certified date in Part II.

What types of payments will be made by CAG?
You can expect to receive payments from CAG mainly for the reimbursement for the value of the CAG Funded Promotional Codes and Changi Reward Points. Please refer to Module 7: Insights & Reports > What are the types of payments that you will receive? for further details.

DDA

Frequently asked questions

Why is the DDA required?
The DDA will enable CAG to deduct authorized charges directly from your designated finance bank account. This streamlines the settlement of amounts due to CAG and avoid incurring any late payment interests.

Is it mandatory to submit a DDA?
Yes, a valid DDA is required as part of the onboarding process. Please mail the completed hardcopy over to CAG.

What types of deductions will be made by CAG?
Deductions are made to settle tax invoices and may include, but not limited to:
• Margin of Portal (Commission)
• Delivery charges
• Recovery of the value of previously reimbursed Promotional Codes and CR Points for customer refunds if there is insufficient payment to offset during the reimbursement period.
All applicable deductions are outlined in the retailer’s agreement or communicated in advance where necessary.

What do the Section Statuses mean?

  1. Draft: Information in this section has been saved  but has not been submitted it for approval.
  2. Pending Approval: Information has been submitted for approval. The respective iSC teams will review  accordingly.
  3. Rejected: The section has been rejected. Users with the Administrator role will be notified of the Rejection Reason through an email notification.
  4. Approved: The section has been approved.

What do the Store Statuses mean?

  1. Draft: Not all sections have been submitted for approval.
  2. Review in Progress: All sections have been submitted for approval. The iSC teams will approve the sections respectively.
  3. Pending Approval: All sections have been approved. Store is pending final approval before it goes “live”.
  4. Rejected: A section has been rejected. The overall store status will be Rejected.
  5. Open: All sections have been approved and the store is “live” on iSC.
  6. Suspended: Store has been manually suspended. This could be due to changes in key store information, if tenancy has expired etc.,

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