当前位置:文档之家› 信用证范例.doc

信用证范例.doc

信用证范例.doc
信用证范例.doc

信用证范例四

FORM:THE HONGKONG AND SHANGHAI BANKING CORP. , DUBAI

TO:THE HONGKONG AND SHANGHAI BANKING CORP. , SHANGHAI

SEQUENCE OF TOTAL 1/1

FORM OF DOC. CREDIT IRREVOCABLE

DOC. CREDIT NUMBER DBS 268330

DA TE OF ISSUE 040202

EXPIRY DATE 040402 PLACE IN COUNTRY OF BENEFICIARY APPLICANT ABDULLAH SALEM AND CO.,

P.O.BOX 3472, DUBAI, U.A.E.

BENEFICIARY ZHEJIANG LIGT INDUSTRIAL PRODUCTS IMPORT

ANDEXPPORT CORP.,

191 BAOCHU ROAD, HANGZHOU, CHINA

CURRENCY AMOUNT USD AMOUNT 7,600,00

POS./NEG. TOL.(%) 05/05

A V AILABLE WITH/BY ANY BANK BY NEGOTIATION

DRAFT AT AT SIGHT

PARTIAL SHIPMENT ALLOWED

TRANSSHIPMENT NOT ALLOWED

LAODING IN CHARGE SHANGHAI

FOR TRANSPORT TO DUBAI

LATEST DATE OF SHIP. 040321

DESCRIPT. OF GOODS FLOWER BRAND PLAYING CARD

ART. NO. 778, 500 GROSS, USD15.20 PER GROSS

CFR DUBAI

DOCUMENTS REQUIRED

+ SIGNED COMMERCIAL INVOICE IN THREE COPIES SHOWING INDENT

NO. GG/NSN/04/07.

+ FULL SET OF ORIGINAL CLEAN ON BOARD MARINE BILL OF

LADING MADE OUT TO ORDER, BLANK ENDORSED, MARKED FREIGHT

PREPAID, NOTIFY GARGERN NASAMN CO., P.O. BOX 2926, DUBAI, U.A.E.

TEL:2-284321.

+ SHIPPING COMPANY’S CERTIFICATE CERTIFYING THAT THE

CARRYING VESSEL DOES NOT CALL AT ANY ISRAELI PORT NOR

ISRAELI NATIONALITY DURING HIS VOYAGE TO DUBAI U.A.E.

+ PACKING LIST IN THREE COPIES.

+ ORIGINAL CERTIFICATE OF ORIGIN ISSUED BY CHAMBER OF

COMMERCE SHOWING B/L NOTIFY PARTY AS CONSIGNEE

+ COPY OF FAX SENT BY BENEFICIARY TO DUBAI INSURANCE

COMPANY ON FAX ON: 02-571334 SHOWING GARGERN NASAMN CO.’S

OPEN POLICY NO., GG/04/325, EVIDENCING THAT THE DESCRIPTION OF

GOODS, QUANTITY AND NUMBER OF KINDS PACKAGE, NAME OF

VESSEL AND VOY AGE NUMBER, PORT OF LADING AND E.T.D., PORT OF

DESTINA TION AND E.T.A. TWO DAYS BEFORE SHIPMENT. THE

RELEV ANT FAX REPORT WILL BE PRESENTED FOR NEGOTIATION.

+ BENEFICIARY CERTIFICATE CERTIFYING THAT COPIES OF INVICE,

BILL OF LADING AND PACKING LIST HA VE BEEN FAXED TO

APPLICANT ON FAX NO. 02-384364 WITHIN 3 DAYS OF BILL OF LADING

DATE. THE RELEVANT FAX REPORT WILL BE PRESENTED FOR

NEGOTIATION.

ADDITIONAL COND.

+ A DISCREPANCY HANDLING FEE OF USD60.00 SHOULD BE DEDUCTED

AND INDICA TED ON THE BILL SCHEDULE FOR EACH PRESENTATION

OF DISCREPANT DOCUMENTS UNDER THIS CREDIT。

+ EXCEPT SO FAR AS OTHERWISE EXPRESSL Y STATE, THIS

DOCUMENTARY CREDIT IS SUBJECT TO UNIFORM CUSTOMS AND

PRACTICE FOR DOCUMENTARY CREDIT ICC PUBLICATION NO.500

+ 2 PCT OF INVOICE V ALUE WILL BE REMITTED TO M/S. ABDULLAH

SALEM AND CO. AS AGENTS COMMISSION AT THE TIME OF

NEGOTIATION BY US.

PRESENTATION PERIOD WHTHIN 12 DAYS AFTER THE DATE OF B/L BUT WITHIN THE V ALIDITY OF THIS CREDIT.

CONFIRMATION ALL BANK CHARGES OUTSIDE DUBAI, U.A.E. ARE FOR THE ACCORNT OF BNEFICIARY.

INSTRUCTION ON RECEIPT OF DOCUMENTS CONFIRMING TO THE TERMS OF THIS DOCUMENTARY CREDIT, WE UNDERTATE REIMBURSE TO YOU ON DUE

DATE IN THE CURRENCY OF THE CREDIT IN ACCORDANCE WITH YOUR

INSTRUCTIONS, WHICH SHOULD INCLUDE YOUR UID NUMBER AND

THE ABA CODE OF THE RECEIVING BANK.

SEND. TO .REC. INFO. DOCUMENTS TO BE DESPA TCHED BY COURIER SERVICE IN ONE LOT TO THE HONGKONG AND SHANGHAI BANKING CORP., DUBAI

BRANCH, FINANCIAL DEPARTMENT, 15TH FLOOR, 92 NASELA STREET,

DUBAI, U.A.E.

信用证样本及翻译

信用证样本(1) Name of Issuing Bank The French Issuing Bank 38 rue Francois ler 75008 Paris, France To: The American Exporter Co. Inc. 17 Main Street Tampa, Florida Place and date of issue Paris, 1 January 2006 This Credit is advised through The American Advising Bank, 486 Commerce Avenue, Tampa, Florida Dear Sirs, By request of account of The French Importer Co. 89 rue du Comnerce Paris, France we hereby issue an Irrevocable Documentary Credit No. 12345 for USD 100,000 (say US Dollars one hundred thousand only) to expire on March 29, 2006 in American available with the American Advising Bank, Tampa by negotiation at sight against beneficiary's draft(s) drawn on The French Issuing Bank and the documents detailed herein: (1)Commercial Invoice, one original and three copies. (2)Multimodal Transport Document issued to the order of the French Importer Co. marked freight prepaid and notify XYZ Custom House Broker Inc. (3)Insurance Certificate covering the Institute Cargo Clauses and the Institute War and Strike Clauses for 110% of the invoice value blank endorsed. (4)Certificate of Origin evidence goods to be of U.S.A. Origin. (5)Packing List Evidencing transportation of Machines and spare parts as per pro-forma invoice number 657 dated January 3, 2006 from Tampa, Florida to Paris, France not late than March 15,2006- CIP INCOTERMS 1990. Partial shipment is allowed. Transshipment is allowed. Documents to be presented within 10 days after the date of the transport documents but within the validity of the credit. We hereby engage with drawers and/or bona fide holders that drafts drawn and negotiated in conformity with the terms of Credit will be fully honored on presentation. The number and the date of the Credit and the name of our bank must be quoted on all drafts required. Bank to bank instructions :… Yours faithfully The French Issuing Bank, Paris (signature)

外贸单证实务 单据练习 信用证

27 /Sequence of Total:1/1 40A/ Form of Documentary Credit:IRREVOCABLE 20 / Documentary Credit Number:GDBDGYYLC1200122 31C/ Date of Issue:121204 40E/Applicable Rules: UCP LATEST VERSION 31D/+ Date and Place of Expiry:130125 IN THAILAND 51A/ APPLICANT BANK: GDBKCN22DG1 CHINA GUANGFA BANK CO.,LTD, (DONGGUAN BRANCH) 50 / Applicant:TOPSHIP CHEMICAL CO., LTD. 8/F., NEW CENTURY BUILDING, NO.288 QIFENG ROAD, DONGGUAN CITY, GUANGDDONG(CONTINUED BY 47A) 59 /+ Beneficiary PTT POLYMER MARKETING COMPANY LIMITED ADD: ENERGY COMPLEX, BUILDING A, 9TH FLOOR, 555/1, VIBHAVADI(CONTINUED BY 47A) 32B/+ Currency Code, Amount: USD441045,00 41D/+ Available With ... By ...: ANY BANK BY NEGOTIATION 42C/+ Draft at …: SIGHT FOR FULL INVOICE VALUE 42A/ Drawee: LC ISSUING BANK 43P/ Partial Shipments: ALLOWED 43T/ Transshipment: ALLOWED 44E/Port of loading: ANY PORT IN THAILAND 44F/Port of discharge: NINGBO, CHINA 44C/ LATEST DATE OF SHIPMENT: 130110 45A/Description of Goods and/or Services COMMODITY: PP MOPLEN HP400K QUANTITY: 297.OOMT ORIGIN: THAILAND UNIT PRICE: USD1485.00/MT PACKING: 25KGS NET IN STANDARD EXPORT BAG CONTRACT NO.: 1122007130 TRADE TERM: CIF NINGBO, CHINA 46A/Documents Required

信用证范本

第三节信用证付款 ?一、信用证的含义 ?二、信用证的当事人 ?三、信用证的内容 ?四、信用证的收付程序 ?五、信用证的性质和特点 ?六、信用证的种类 一、信用证的含义 UCP600 ?Credit means any arrangement, however named or described, that is irrevocable and thereby constitutes a definite undertaking of the issuing bank to honour a complying presentation. ?信用证是一种银行开立的有条件的承诺付款的书面文件。 Honour means: ?a. to pay at sight if the credit is available by sight payment. ?b. to incur a deferred payment undertaking and pay at maturity if the credit is available by deferred payment. ?c. to a ccept a bill of exchange (“draft”) drawn by the beneficiary and pay at maturity if the credit is available by acceptance. ?在国际贸易中,信用证通常是开证银行根据进口人的请求和指示,授权出口人凭所提交的符合信用证规定的单据,和开立以该行或其指定的银行为付款人的不超过规定金额的汇票(有的信用证可以不用汇票),向其或其指定的银行收款,并保证向出口人或其指定人进行付款,或承兑并支付出口人开立的汇票。 二、信用证的当事人 开证申请人(applicant) ?Applicant means the party on whose request the credit is issued. 开证行(opening bank; issuing bank) ?Issuing bank means the bank that issues a credit at the request of an applicant or on its own behalf.

信用证样本(中英文对照)

信用证样本(中英文对照) 信用证样本: 以下信用证内容源自华利陶瓷厂与一塞浦路斯客户所开立并顺利支付的信用证TO:BANK OF CYPRUS LTD LETTERS OF CREDIT DEPARTMENT NTCOSIA COMMERCIAL OPERATIONS CENTER INTERNATIONAL DIVISION ****** ****** TEL:****** FAX:****** TELEX:2451 & 4933 KYPRIA CY SWIFT:BCYPCY2N DA TE:23 MARCH 2005 APPLICATION FOR THE ISSUANCE OF A LETTER OF CREDIT SWIFT MT700 SENT TO:MT700转送至 STANDARD CHARTERD BANK UNIT 1-8 52/F SHUN NIND SQUARE O1 W ANG COMMERCIAL CENTRE,SHEN NAN ROAD EAST,SHENZHEN 518008 - CHINA 渣打银行深圳分行 深南东路5002号 信兴广场地王商业大厦52楼1-8单元 电话:82461688 :27: SEQUENCE OF TOTAL序列号 1/1 指只有一张电文 :40A: FORM OF DOCUMENTARY CREDIT跟单信用证形式IRREVOCABLE 不可撤消的信用证 :20OCUMENTARY CREDIT NUMBER信用证号码 00143-01-0053557 :31C: DATE OF ISSUE开证日 如果这项没有填,则开证日期为电文的发送日期。 :31DA TE AND PLACE OF EXPIRY信用证有效期 050622 IN CHINA 050622在中国到期 :50: APPLICANT 信用证开证审请人

信用证范例六(保险单)

中保财产保险有限公司 No. of Original, one 发票号码 保险单号次 Invoice No. 1687635 Policy No KC0597011457321 海 洋 货 物 运 输 保 险 单 MARINE CARGO TRANSPORTATION INSURANCE POLICY 被保险人 Shantou Fruits and Vegetables Imp. & Exp. Corp Insured: Guangdong Shantou China. 中保财产保险有限公司(以下简称本公司)根据被保险人的要求,及其所缴付约定的保险费,按照本保险单承保险别和背面所载条款志下列条款承保下述货物运输保险,特签发本保险单 This POLICY OF Insurance witnesses that The People's Insurance ( Property ) Company of China, Ltd. (hereinafter called "The Company" ), at the request of the Insured and in consideration of the agreed premium paid by the Insured, undertakes to insure the under-mentioned goods in transportation subject to the conditions of this Policy as per the Clauses printed overleaf and other special clauses attached hereon. Singapore NOS. 1-200 ② N/M 总保险金额 Total Amount Insured: SAY U. S. DOLLARS FOUR THOUSAND TWO HUNDRED AND NINETY ONLY 保 费 运 输 工 具 开航日期 Premium: as arranged Per conveyance S.S. DONGFENG V.37 Slg. On or abt. APRIL 5, 1994 起运港 目的港 From Shantou To Singapore 所保货物,如发生本保险单项下可能引起索赔的损失或损坏,应立即通知本公司下述代理人查勘.如有索赔,应向本公司提交保险单正本(本保险单共有 份正本)及有关文件.如一份正本已用于索赔,其余正本则自动失效. In the event of loss or damage which may result in a claim under this Policy, immediate notice must be given to the Company's Agent as mentioned hereunder. Claims, if any, one of the Original Policy which has been issued in Original(s) together with the relevant documents shall be surrendered to the Company, If one of the Original Policy has been accomplished, the others to be void. 中 保 财 产 保 险 有 限 公 司 THEPEOPLESINSURANCE(PROPERTY)COMPANY OFCHINALTD. 赔付地点 Claim payable at KUALA LUMPUR IN U. S. DOLLARS 日期 在 Date at 地址 Address

信用证样本SWIFT

信用证样本 Own BIC/TID :II: ICBKCNBJZJP BIC identified as: INDUSTRIAL AND COMMERCIAL BANK OF CHINA, JINHUA CITY BRANCH NO 500 BAY1 NORTH ROAD YIWU CITY 321000 ZHEJIANG PROVINCE, CHINA SWIFT Message Type :MT: 700 Issue of Documentary Credit Correspondents BIC/TID :IO: MIDLGB22 3757 401965 980710 2242 N MIDLAND BANK PLC LONDON, U.K. Sequence of Total : 27: 1/1 Form of Documentary Credit :40A: NON TRANSFERABLE Documentary Credit Number : 20: LCBR82791 Date of Issue. :31C: 070701 Applicable Rules. :40E: UCP LATEST VERSION Date and Place of Expiry :31D: 070908 CHINA Applicant : 50: DDD Co., Ltd. UNIT 2208 22/F LAFORD CENTRE 888 WAITER WEST ROAD LONDON SE7 8NJ, U.K. Beneficiary :59: ZHEJIANG YIWU AAA CRAFTS FACTORY NO. 666 BINGW ANG ROAD, YIWU, ZHEJIANG, CHINA P. C. 3211000 Currency code, Amount :32B: USD25000,00 Available with---by---- :41D: ANY BANK BY NEGOTIATION Drafts at ...... :42C: AT SIGHT Drawee :42D: MIDLAND BANK PLC LONDON, U. K. FOR NET INVOICE V ALUE Partial Shipments :43P.. ALLOWED Transshipment :43T: NOT ALLOWED

外贸单证信用证修改

一、根据下述合同内容审核信用证,指出不符之处,并提.出修改意见。合同: SALES CONTRACT The Seller: MAITY INTERNATIONAL CO., LTD. Contract No. MT13008 Address: NO.29 JIANGNING ROAD, SHANGHAI, CHINA Date: Dec 6,2012 Signed At: Shanghai China The Buyer: DESEN EUROPE GMBH Address: GIRARDETSTRASSE 2-38,EINGANG.4 D-45131 ESSEN, GERMANY This Sales Contract is made by and between the Seller and the Buyer, whereby the Seller agree to sell and the Buyer agree to buy the under-mentioned goods according to the terms and conditions stipulated below:

Packing: 40pcs are packed in one export standard carton Shipping Mark: RAIKOU MT13008 HAMBURG C/No.1-40 Time of Shipment: NOT LATER THAN FEB. 15,2013 Loading Port and Destination: From Shanghai, China to Hamburg,

信用证开证申请书范本

IRREVOCABLE DOCUMENTARY CREDIT APPLICATION 不可撤销信用证开证申请书 TO:HUA XIA BANK CO.,LTD.(开证行名称)L/C No.(信用证号码,由银行填写)Date: Jul.21., 2004(申请开证日期)

Credit available with 填写此信用证可由银行即期付款,承兑,议付,延期付款,即押汇银行(出口地银行)名称。如果该信用证为自由议付信用证,银行可用“ANY BANK IN …(地名/国名)“表示;如果该信用证为自由议付信用证,而且对议付地点也无限制,可用”ANY BANK“表示; ( ) by sight payment【开具即期付款信用证】(X ) by acceptance 【开具承兑信用证】( ) by negotiation【开具议付信用证】( )by deferred payment at【开具延期付款信用证】 即期信用证是指受益人根据开证行的指示开立即期汇票,或无须汇票仅凭运输单据即可向指定银行提示请求付款的信用证。 承兑信用证是指信用证规定开证行对于受益人开立以开证行为付款人或以其他银行为付款人的远期汇票,在审单无误后,应承担承担汇票并与到期日付款的信用证。 议付信用证是指开证行承诺延伸至第三当事人,即议付行,其拥有议付或购买受益人提交信用证规定的汇票/单据权利行为的信用证。如果信用证不限制某银行议付,可由受益人选择任何愿意议付的银行,提交汇票单据给所选银行,请求议付的信用证称自由议付信用证,否则为限制性议付信用证。 延期付款信用证是指不需汇票,仅凭受益人交来的单据,审核相符,指定银行承担延期付款责任起,延长直至到期日付款。该信用证能够为欧洲地区进口商避免向政府交纳印花税而免开汇票外,其他都类似于远期信用证。如果开具这类信用证,需要写明延期多少天付款,如at 60days from payment confirmation(60天承兑付款); at 60days from B/L date (提单日期后60天付款)。 against the documents detailed herein and beneficiary’s draft for 100 % of invoice value at 90 DAYS AFTER B/L DATE drawn on … BANK [指定付款人,汇票的付款人应为开证行或指定的付款行] 连同下列单据: 受益人按发票金额%,作为限制为天,付款人为的汇票,注

信用证格式范例

信用证举例(SWIFT格式信用证) 信用证格式范例: BOTKJPJTAXXX(开证行SWIFT代码) BANK OF TOKYO-MITSUBISHI LTD.,TOKYO(东京三菱银行有限公司) 27 SEQUENCE OF TOTAL : 1/1 40 FORM OF DOC. CREDIT : IRREVOCABLE(信用证类型) 20 DOC. CREDIT NUMBER : BT001588 31C DATE OF ISSUE : 001017 31D EXPIRY : DATE 001221 PLACE CHINA (效期、效地) 50 APPLICANT : ABC I/E CO.,LTD. TOKYO, JAPAN 59 BENEFICIARY : SHANGHAI GOOD TRADING CO.,LTD. SHANGHAI CHINA 32B AMOUNT : CURRENCY USD AMOUNT 100000,00 (币种、金额) 41D AVAILABLE WITH/BY : ANY BANK(限制议付行) BY NEGOTIATION 42C DRAFTS AT … : DRAFT AT SIGHT FOR FULL INVOICE VALUE 42D DRAWEE : ISSUING BANK 43P PARTIAL SHIPMENTS :PROHIBITTED(可否分批出运) 43T TRANSSHIPMENT : PERMITTED(可否转运) 44A LOADING IN CHARGE : SHANGHAI 44B FOR THANSPORT TO : OSAKA 44C LATEST DATE OF SHIP. :001130(最晚装运期) 45A DESCRIPT OF GOODS : 10000PCS SHIRTS UNIT PRICE USD10.00/PC CIF OSAKA(价格条款 CIF大阪) 46A DOCUMENTS REQUIRED : +SIGNED COMMERCIAL INVOICE IN 3 +FULL SET OF CLEAN ON BOARD OCEAN B/L

信用证开证申请书范文

信用证开证申请书范文 中国银行: 我公司已办妥一切进口手续,现请贵行按我公司开证申请书内容开出不可撤销跟单信用证,为此我公司愿不可撤销地承担有关责任如下: 一、我公司同意贵行依照国际商会第500号出版物《跟单信用证统一惯例》办理该信用证项下一切事宜,并同意承担由此产生的一切责任。 二、我公司保证按时向贵行支付该证项下的货款、手续费、利息及一切费用等(包括国外受益人拒绝承担的有关银行费用)所需的外汇和人民币资金。 三、我公司保证在贵行单到通知书中规定的期限之内通知贵行办理对外付款/承兑,否则贵行可认为我公司已接受单据,同意付款/承兑。 四、我公司保证在单证表面相符的条件下办理有关付款/承兑手续。如因单证有不符之处而拒绝付款/承兑,我公司保证在贵行单到通知书中规定的日期之前将全套单据如数退还贵行并附书面拒付理由,由贵行按国际惯例确定能否对外拒付。如贵行确定我公司所提拒付理由不成立,或虽然拒付理由成立,但我公司未能退回全套单据,或拒付单据退到贵行已超过单到通知书中规定的期限,贵行有权主动办理对外付款/承兑,并从我公司帐户中扣款。 五、该信用证及其项下业务往来函电及单据如因邮、电或其它方式传递过程中发生遗失、延误、错漏,贵行当不负责。 六、该信用证如需修改、由我公司向贵行提出书面申请,由贵行根据具体情况确定能否办理修改。我公司确认所有修改当由信用证受益人接受时才能生效。 七、我公司在收到贵行开出的信用证、修改书副本后,保证及时与原申请书核对,如有不符之处,保证在接到副本之日起,两个工作日内通知贵行。如未通知,当视为正确无误。 八、如因申请书字迹不清或词意含混而引起的一切后果由我公司负责。 开证申请人(签字盖章) 13-4-4

国内信用证样本

国内信用证样本 【世贸人才网:国际贸易商务人才门户更新时间:2006-12-15 】【打印】【关闭】 ××银行 信用证(正本)2 编号: 开证日期年月日 开户行申请人全称受益人全称 地址、邮编地址、邮编 帐号帐号 开户行开户行 开证金额人民币(大写)¥ 有效日期及有效地点 通知行名称及行号 运输方式:交单期: 分批装运:允许□不允许□付款方式:即期付款□延期付款□ 转运:允许□不允许□议付□ 货物运输起止地:自___至___ 议付行名称及行号: 最迟装运日期年___月___日___ 付款期限:即期□ 运输单据日后___天 货物描述: 受益人应提交的单据: 其他条款: 本信用证依据中国人民银行《国内信用证结算办法》和申请人的开正申请书开立。本信用证为不可撤销、不可转让信用证,受益人开户行应将每次提交单据情况背书记开证行地址及邮编: 电传: 电话: 传真:编押:开证行签章 注:1.信开信用证一式四联,第一联副本;第二联正本;第三联副本;第四联开证通知。用途及联次应分别印在“信用证”右端括弧内和括弧与编号之间。

2.电开信用证一式两联,第一联副本;第二联开证通知。用途及联次应按第1点的要求印在各联上。 3.货物描述、提交的单据等按开证申请书记载。 正本信用证背面 仪付或付款日期业务编号增额仪付或付款金额信用证金额仪付行名称备注仪付行或开征行签章 Issue of a Documentary Credit BKCHCNBJA08E SESSION: 000 ISN: 000000 BANK OF CHINA LIAONING NO. 5 ZHONGSHAN SQUARE ZHONGSHAN DISTRICT DALIAN CHINA-------开证行 Destination Bank : KOEXKRSEXXX MESSAGE TYPE: 700 KOREA EXCHANGE BANK SEOUL 178.2 KA, ULCHI RO, CHUNG-KO--------通知行 Type of Documentary Credit 40A IRREVOCABLE--------信用证性质为不可撤消 Letter of Credit Number 20 LC84E0081/99------信用证号码,一般做单时都要求注此号

外贸单证练习标准标准答案

《外贸英文制单教程》课后练习参考答案 第一章,出口单证概论 1,在单证工作中应注意哪些问题?我们所应遵循地国际惯例有哪些? 答:单证工作应做到“3一致,4要求”, 3一致:单证一致,单单一致,单货一致; 4要求:正确,完整,及时,整洁. 要遵循地国际惯例有: A, Uniform Customs and Practice for Documentary Credits (UCP), ICC Publication No.600 《跟单信用证统一惯例》(出版物600) B, Uniform Rules for Collection (URC), ICC Publication No.522 《托收统一规则》(出版物522) C, International Rules for the Interpretation of Trade Terms --- INCOTERMS 2000《2000年国际贸易术语解释通则》 2,为什么说信用证项下地结算变成单据买卖? 答:卖方交付合格单据意味着交付了货物,可以获得货款; 买方付款赎单代表买到货物 银行支付或拒付货款地依据是审核单据是否与信用证要求相符合. 3,信用证支付方式地开证申请人能否由于实际收到地货物地规格,数量与单证不符而提出拒付货款?为什么? 答,不能.因为在信用证支付方式下,只要受益人提交地单据符合信用证地要求,开证行就必须支付货款.银行支付货款地依据是单据是否与信用证相符,而不是货物是否合格. 4,银行是否接受出具日期早于信用证出具日期地单据,如果接受,前提条件是什么?答:银行一般不接受日期早于信用证日期地单据,除非另有约定. 5,试述下列单据日期地先后: (1)提单与保险单地日期保险单日期在先 (2)商检证和提单地日期商检证日期在先 (3)运费收据和提单地日期运费收据日期在先 (4)汇票和发票地日期发票地日期在先 6,在外贸工作中单据有哪几大类,各自有什么作用? 答:第一类,商业单据,用以说明或证明有关商品情况. 第二类,资金单据,用以取得货款,具有货币地属性. 第三类,官方单据,指政府机构,社会团体签发地各种证件. 第四类,其他证明 第二章,出口单据地工作程序 1,出口单据工作程序包括哪些内容?

开信用证步骤及样本

填制进口开证申请书的步骤为: 1、DATE(申请开证日期)。在申请书右上角填写实际申请日期。 2、TO(致)。银行印制的申请书上事先都会印就开证银行的名称、地址,银行的SWIFT CODE、TELEX NO等也可同时显示。 3、PLEASE ISSUE ON OUR BEHALF AND/OR FOR OUR ACCOUNT THE FOLLOWING IRREVOABLE LETTER OF CREDIT(请开列以下不可撤销信用证)。如果信用证是保兑或可转让的,应在此加注有关字样。开证方式多为电开(BY TELEX),也可以是信开、快递或简电开立。 4、L/C NUMBER(信用证号码)。此栏由银行填写。 5、APPLICANT(申请人)。填写申请人的全称及详细地址,有的要求注明联系电话、传真号码等。 6、BENEFICIARY(受益人)。填写受益人的全称及详细地址。 7、ADVISING BANK(通知行)。由开证行填写。 8、AMOUNT(信用证金额)。分别用数字和文字两种形式表示,并且表明币制。如果允许有一定比率的上下浮动,要在信用证中明确表示出来。 9、EXPIRY DATE AND PLACE(到期日期和地点),填写信用证的有效期及到期地点。 10、PARTIAL SHIPMENT(分批装运)、TRANSHIPMENT(转运)。根据合同的实际规定打“×”进行选择。 11、LOADING IN CHARGE、FOR TRANSPORT TO、LATEST DATE OF SHIPMENT(装运地/港、目的地/港的名称,最迟装运日期)。按实际填写,如允许有转运地/港,也应清楚标明。 12、CREDIT AVAILABLE WITH/BY(付款方式)。在所提供的即期、承兑、议付和延期付款四种信用证有效兑付方式中选择与合同要求一致的类型。 13、BENEFICIARY'S DRAFT(汇票要求)。金额应根据合同规定填写为:发票金额的一定百分比;发票金额的100%(全部货款都用信用证支付);如部分信用证,部分托收时按信用证下的金额比例填写。付款期限可根据实际填写即期或远期,如属后者必须填写具体的天数。信用证条件下的付款人通常是开证行,也可能是开证行指定的另外一家银行。

最新外贸单证案例

外贸单证案例

1.某出口公司向西亚某国出口日用品一批,见单60天付款,信用证结算方式,汇票的承兑银行为开证行。议付银行审核后“单证一致、单单一致”,单据寄到开证行后,开证行(进口国银行)即回电,承兑到期付款,并确定了到期日。不料,30天后,开证行发来电报,称,由于开证申请人遭遇法律诉讼,该国法院已下“止付令”,冻结开证人的所有财产,因而,开证行将服从法院的指令,不能履行到期付款的责任。请问,开证行的拒付理由能够成立吗?为什么? 答:开证行的拒付理由不能成立。因为,(1)、汇票的付款人是开证银行,而非开证人。即,由开证行承兑在六十天后付款,而不论开证申请人发生了什么情况,在信用证业务中,开证行“负第一性的付款责任”,而非开证申请人; (2)、《UCP600》规定:“在信用证业务中,各有关当事人所处理的只是单据,而不是单据所涉及的货物、服务或其它行为”。(3)在信用证业务中,开证行的“拒付”理由,只能是“单据上有不符合信用证要求地方,或者单单之间有不相符的地方,而非其他因素。 2.我河北某外贸公司向日本某公司出口一批红枣,双方签订的合同中规定:数量2,000公吨,单价CIP YOKOHAMA 150美元/公吨。不允许分批装运,没有数量增减幅度。对方如期开来信用证,信用证规定,总金额为320,000美元,数量2,000公吨。我河北的外贸公司未要求改证,直接发货2,100公吨。请问如果按发货数量制单,我方能否安全收汇?为什么? 答:我方可以安全收汇。根据《UCP600》规定,在信用证未以包装单位件数或货物自身件数的方式规定货物数量时,货物数量允许有5%的增减幅度,只要总支取金额不超过信用证金额。 本案的包装单位为“公吨”,不是以包装单位件数或货物自身件数的方式规定的货物数量,那么只要不超过信用证的总金额,就允许数量有5%的增减幅度。我河北的公司直接发货2,100吨,刚好5%范围之内,此时金额为315,000美元,没有超过信用证金额,因此开证行不能以“超装”或“超金额”拒付。 3.我国 A公司向加拿大B公司以CIF术语出口一批货物,合同规定4月份装运。B公司于4月10日开来不可撤销信用证。此证按《UCP600》规定办理。证内规定:装运期不得晚于4月15日。此时我方已来不及办理租船订舱,立即要求B公司将装运期延至5月15日。随后B 公司来电称:同意展延船期,有效期也顺延一个月。我A公司于5月10日装船,提单签发日5月10日,并于5月14日将全套符合信用证规定的单据交银行办议付。试问:我国A公司能否顺利结汇?为什么? 答:1)我A公司不能顺利结汇。 2)信用证是一项自足文件,一经开出,即独立于合同之外,买卖双方的权利和义务皆以信用证规定为准。(3)我方和B公司磋商展延船期,只停留在合同层面,并没有修改信用证中的对应条款。银行在审核信用证时一旦发现单单不一致或单证不一致就不会付款,而不会去顾及买卖双方之间如何约定。 4、甲公司向了国A公司买进生产灯泡的生产线。合同规定分两次交货、分批开证,买方(甲公司)应于货到目的港后,60天内进行复验,若与合同规定不符,甲公司凭所在国的商检证书向A公司索赔。甲公司按照合同规定,申请银行开出首批货物的信用证。A公司履行装船并凭合格单据向议付行议付,开证行也在单证相符的情况下,对议付行偿付了款项。在第一批货物尚未到达目的港之前,第二批的开证日期临近,甲公司又申请银行开出信用证。此刻,首批货物抵达目的港,经检验发现货物与合同规定严重不符,甲公司当即通知开证行,称“拒付第二次信用证项下的货款,并请听候指示”。然而,开证行在收到议付行寄来的第二批的单据,审核无误,再次偿付议付行。当开证行要求甲公司付款赎单时,该公司拒绝付款赎单。试分析此案中开证银行和甲公司的处理是否合理?为什么?

信用证(不可撤销)中英文范本

Letter of Credit, Irrevocable documentary Bank ALondon, International Division Address: Tel: Telex: Date: Irrevocable Letter of Credit Credit number Of issuing bank:16358 Of issuing bank 8536 Advising bank Applicant

Bank of china Guangzhou Joseph Smith & Sons 52XX Street, Southampton Beneficiary Amount Guang Arts & Crafts Corporation US$2000(US Dollars Two Thousand Only) Guangzhou, China Expiry 31 May 1986 at the counter of: Dear Sirs We hereby issue in your favour this Irrevocable Letter of Credit which is available by you drafts at……sight drawn on us For 100%......of invoice value accompanies by the following documents:

Signed Invoice in three copies certifying that goods are in accordance with Contract No. GA/JS-453 Insurance certifieate for invoice amount plus 10% Clean shipped Bills of lading in complete set issued to order and blank endorsed marked “Freight paid” Packing list Covering: 250 Cartons Porcelain Figures (CIF Southampton) Despatch/Shipment from China port to Southampton, Britain Partal Shipments Permitted Transhipment Permitted

(完整版)《外贸单证实务》课程设计范例

《外贸单证实务》课程整体设计 汪永幸 一、课程设计理念 图1《外贸单证实务》课程设计理念 二、课程设计思路 (一)课程特点 本课程是本学院的一门新课程。为了符合高职教学的特定需要,以“必需”、“够用”、“会用”为指导思想来设计本课程教学。本课程教学以能力为本位,强调对综合能力的培养,将学生由教学活动的客体、知识的被动接受者,转变为教学活动的主体。通过技能的训练,运用案例教学,启发式教学。在讲透基本原理的基础上,结合软件的操作,学会自主处理问题,解决问题。

1、知识理论以“必需”、“够用”为度 为适应高职教学要求,以能力为本位,知识目标服从、服务于职业能力目标,理论知识融入于实践操作过程中,以“必需”、“够用”为度。 2、以能力模块为核心原则 本课程根据自身课程特点结合其他课程的需要以及在职业能力需求分析的原则上,进行设计具有职业特点的能力模块。这种教学能力模块结构的设计,由浅入深循序渐进。该模块主要是结合了国际贸易实务和报关报检实务课程进行设计的。这种做法有利于学生理论知识不足的情况下,能通过实训操作进一步巩固其他相关课程知识。 3、以项目为导向、以任务为驱动 项目教学法,围绕核心培养目标,师生通过共同实施一个“项目”工作而进行教学活动。以具体进出口贸易项目为主线,经过具体业务项目,教师开始引导学生自主地交替进行各种真实业务背景下的操作和训练,学做合一,教师配合指导、答疑、评价、测试,将理论知识的运用置于一个真实的项目中展开,项目完成后学生能够牢固掌握相应进出口业务单证的制作与使用技能。在完成各个项目的过程中,学生成为“工作”的主体,教师则成为项目活动的组织者、引导者、咨询者和评价者。 (二)课程目标 1、课程能力目标: (1)根据进出口双方交易磋商的内容制作外贸合同 (2)分析信用证的各个条款,并根据外贸合同审核信用证,进行修改

信用证范本及详解(重点)

信用证详解 MT700-------------------ISSUE OF A DOCUMENTARY CREDIT------------------------- SEQUENCE OF TOTAL 27: 1/1 FORM OF DOCUMENTARY CREDIT 40A: IRREVOCABLE TRANSFERABLE DOCUMENTARY CREDIT NUMBER 20: LC51G4C087333324 DA TE OF ISSUE 31C: 041119 DA TE AND PLACE OF EXPIRY 31D: 050130 CHINA APPLICANT 50: HOPE TRADING EST., P.O. BOX 0000 DAMMAN 31491,SAUDI ARABIA TEL: 88888888 BENEFICIARY 59: XYZ CORPORA TION NO. 233, TAIPING ROAD, QINGDAO, CHINA TEL: +865320000000 CURRENCY CODE, AMOUNT 32B: USD26693,86 PERCENTAGE CREDIT AMT TOL. 39A: 05/05 A V AILABLE WITH …BY…41D: ANY BANK IN CHINA BY NEGOTIATION DRAFTS AT…42C: AT SIGHT FOR 100 PCT OF THE INVOICE V ALUE DRAWEE 42D: BSFRSARIAEST BANQUE SAUDI FRANSI PARTIAL SHIPMENT 43P: NOT ALLOWED TRANSHIPMENT 43T: ALLOWED LOADING/DISPATCH/TAKING IN CHARGE/FM 44A: ANY CHINESE PORT FOR TRANSPORTATION TO…44B: DAMMAN PORT,SAUDI ARABIA LATEST DATE OF SHIPMENT 44C: 041215 DESCRIPTION OF GOODS/SERVICES 45A: FROZEN CHICKEN BREAST MEAT , A GRADE, PACKING: 1KG X 12/CARTON, UNIT PRICE: USD1800.00/MT CIF HAMBURG, GERMANY QUANTITY: 2000CARTONS/24MTS DOCUMENTS REQUIRED: 46A: 1.MANUALL Y SIGNED COMMERCIAL INVOICE IN 5 COPIES, THE ORIGINAL MUST BE CERTIFIED BY CHAMBER OF COMMERCE AND LEGALIZED BY SAUDI CONSULATE/EMBASSY IN CHINA. THE COMMERCIAL INVOICE MUST SHOW THA T: -THE GOODS ARE LESS THAN 30 DAYS OLD AT THE TIME OF LOADING -NAME OF THE COUTRY OF ORIGIN TO BE SHOWED CLEARL Y ON EACH POL YBAG AND ON EACH OUTER

相关主题
文本预览
相关文档 最新文档