Cruise itineraries on the same platform and contracts
Cruise inventory from connected cruise lines with cabin categories, fare codes, deposits and payment schedules, plus pre- and post-cruise flights and hotels and group blocks through Cluster.
Cruise lives in another system
Cruise selling usually means separate tools, separate payment schedules and a manual join to the flights and hotels around the sailing. Groups add spreadsheets on top.
One itinerary from door to ship and back
Sailings, cabins and payment schedules are handled in the same order model as flights and hotels, so the whole journey is booked, invoiced and serviced together, and groups run through Cluster.
Cruise on the platform.
Sailings and itineraries
Ships, itineraries and departure dates from the connected cruise lines.
Cabin categories and fare codes
Categories, decks, occupancy and fare codes with inclusions shown consistently across lines.
Deposits and payment schedules
Deposit, instalment and final payment dates tracked against the booking with reminders through Pulse and receivables in Vector.
Pre- and post-cruise packages
Flights, hotels and transfers around the sailing in one itinerary and one invoice.
Group blocks through Cluster
Cabin blocks with release dates, traveller collection and manifests for group and incentive sailings.
Commission and reconciliation
Cruise line statements and commission matched to bookings in Vector.
8 suppliers, one integration.
Connected through Synapse and normalised into one schema. Enable them per market in your configuration. Your own contracts and fares join through Nexus.
Supplier names and logos are the property of their respective owners. Availability varies by market.
From search to the trip itself.
- 1
Find the sailing
Itineraries and cabins from connected lines; flights and hotels added around it.
- 2
Book with a deposit
Deposit taken, schedule set, documents issued.
- 3
Pay and sail
Instalments reminded and collected; final documents on the trip page.
Same basket, same schema.
Questions about cruise.
How are cruise deposits and instalments handled?
Payment schedules are stored against the booking. Pulse reminds the traveller before each due date and Vector tracks receivables and commission.
Can we sell flights and hotels with the cruise?
Yes. Pre- and post-cruise flights, hotels and transfers are booked in the same itinerary and invoice.
Does Elkanio handle group sailings?
Yes. Cluster holds cabin blocks with release dates, collects traveller details and produces manifests for the cruise line.
Ready to sell cruise on one platform?
Bring your current suppliers and your top routes or destinations. We will show the vertical live, with your contracts beside public supply.