信用证分析单
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信用证案例分析含答案 TPMK standardization office【 TPMK5AB- TPMK08- TPMK2C- TPMK18】信用证的再转让I银行开立一张不可撤消可转让跟单信用证,以M作为受益人,A行为该证的通知行。
在A行将该证通知M后,M指示A行将此证转让给X,该转证的到期日比原证早1个月。
第二受益人X受到转证后,对于转证的一些条款与第一受益人M产生了分歧。
双方经过多次协商,终未达成协议。
而此时,该转证已过期。
于是M请求A行将已过期的未使用的转证恢复到原证。
鉴于原证到期日尚有1个月,M要求A行能将恢复到原证的金额再度转让给新的第二受益人Y。
A行认为它不能同意M 的做法。
因为将该证转让给Y构成了信用证的第二次转让,而这正违反了《UCP600》第38条的规定。
况且,A行未从第二受益人X处收到任何货物未出运.转证未被使用或者同意撤销转证之类的信息。
分析A行在认识上存有误区。
将未使用过的转证再次转让给另一新的第二受益人不能被视作为二次转让。
《UCP600》第38条规定:除非信用证另有规定,可转让信用证只能转让一次,因此,该信用证不能按第二受益人要求转让给随后的第三受益人。
根据此条文意,由第一受益人作出的再次转让并不构成二次转让,而视为一次同时转让给多个受益人的情形。
所以此等转让并非为《UCP600》所禁止。
在此案中,既然第二受益人X并未接受转证,第一受益人M当然可以自动地将该证转让。
当然A行也并未义务接受M再次转让的指示。
《UCP600》第38条又规定:除非转让范围和方式已为转让行明确同意,转让行并无办理该转让的义务。
倘若A行同意将该证转让给Y,比较谨慎的做法是:它从X处获取一份书面指示同意撤销未用的转证,同时退回转证通知。
开证行对议付行的偿付责任1992年10月,法国某公司(卖方)与中国某公司(买方)在上海订立了买卖200台电于计算机的合同,每台CIF上海1000美元,以不可撒销的信用证支付,1992年12月马赛港交货。
信用证案例分析含答案 HEN system office room 【HEN16H-HENS2AHENS8Q8-HENH1688】信用证的再转让I银行开立一张不可撤消可转让跟单信用证,以M作为受益人,A 行为该证的通知行。
在A行将该证通知M后,M指示A行将此证转让给X,该转证的到期日比原证早1个月。
第二受益人X受到转证后,对于转证的一些条款与第一受益人M产生了分歧。
双方经过多次协商,终未达成协议。
而此时,该转证已过期。
于是M请求A行将已过期的未使用的转证恢复到原证。
鉴于原证到期日尚有1个月,M要求A行能将恢复到原证的金额再度转让给新的第二受益人Y。
A行认为它不能同意M的做法。
因为将该证转让给Y构成了信用证的第二次转让,而这正违反了《UCP600》第38条的规定。
况且,A行未从第二受益人X处收到任何货物未出运.转证未被使用或者同意撤销转证之类的信息。
分析A行在认识上存有误区。
将未使用过的转证再次转让给另一新的第二受益人不能被视作为二次转让。
《UCP600》第38条规定:除非信用证另有规定,可转让信用证只能转让一次,因此,该信用证不能按第二受益人要求转让给随后的第三受益人。
根据此条文意,由第一受益人作出的再次转让并不构成二次转让,而视为一次同时转让给多个受益人的情形。
所以此等转让并非为《UCP600》所禁止。
在此案中,既然第二受益人X并未接受转证,第一受益人M当然可以自动地将该证转让。
当然A行也并未义务接受M再次转让的指示。
《UCP600》第38条又规定:除非转让范围和方式已为转让行明确同意,转让行并无办理该转让的义务。
倘若A行同意将该证转让给Y,比较谨慎的做法是:它从X处获取一份书面指示同意撤销未用的转证,同时退回转证通知。
开证行对议付行的偿付责任1992年10月,法国某公司(卖方)与中国某公司(买方)在上海订立了买卖200台电于计算机的合同,每台CIF上海1000美元,以不可撒销的信用证支付,1992年12月马赛港交货。
信用证分析表第一局部一、主题引入各位同学,大家好。
这次我们要一起学习的是信用证分析表的第一局部,信用证分析表中关于信用证基本信息,运输条款,有效期,交单期和货物描述的填制。
二、理论解释Ppt2:信用证分析表(Analysis of L/C),是指把信用证的内容用表格形式进行业务分析的工作单。
为了加速信用证在出口企业内部的流转,供有关部门和人员备货、出运、收证、制单、统计等工作需要,将信用证中主要内容,分门别类地列成表格进行分析,制作信用证分析表一式数份,分发有关部门和人员应用。
三、方法例如Ppt3:今天我们先来学习信用证分析表的第一局部。
第一栏信用证号:填写信用证号码,一般为SWIFT信用证代码“20” 条款的内容。
(2)合约号:填写销售确认书(SALES CONFORMATION)或外销合同(SALES CONTRACT)的编号。
一般情况下,从SWIFT信用证代码“45A” 条款内容中可以找到合约号。
(3)受益人:填写信用证中受益人的详细名称、地址,一般为SWIFT信用证代码“59”条款的内容。
(4)开证银行:填写信用证中开证银行的名称,在SWIFT信用证中,一般为开头局部内容或SWTFT信用证代码“51A”条款的内容。
(5)开证申请人:填写信用证中开证申请人的详细名称、地址, 一般为SWIFT信用证代码“50”条款的内容。
(6)开证日期:填写信用证开证的时间,一般为SWIFT信用证代码“31C”条款的内容。
(7)兑付方式:根据信用证类型填写付款信用证或议付信用证, 一般参照SWIFT信用证代码“41A/41D”条款的内容。
(8)金额:填写信用证出口货物的总金额,一般为SWIFT信用证代码“32B”条款的内容。
(9)汇票付款人:填写汇票上的付款人信息,一般为SWIFT信用证代码“42A/42D”条款的内容。
(10)汇票付款期限:填写信用证下支付汇票的付款时间,一般根据SWIFT信用证代码“42C”条款的内容填写。
信用证分析单合同号码XL-MON-SC0330信用证号码CB9545310008565填表日期填表人王文博【信用证存在的问题】1、信用证条款与合同规定不符1)存在问题:受益人地址有误修改意见:改为:NO.2115,SICHUAN(N)ROAD2)存在问题:修改意见:3)存在问题:修改意见:4)存在问题:修改意见:5)存在问题:修改意见:6)存在问题:修改意见:7)存在问题:修改意见:8)存在问题:到期地点与合同规定的 VAILD FOR NEGOTIATION IN CHINA 不符因为是以CIF成交,因此运费由受益人承担改为:…AS PER CONTRACT NO.XL-MON-SC0330 DATED…DOCUMENT REQUIRED: OCEAN BILL OF LADING …MARKED´FREIGHT TO COLLECT' ...改为:OCEAN BILL OF LADING …MARKED ´FREIGHT PREPAID' ... PRESENTATION PERIOD: …WITHIN 10 DAYS AFTER DATE OF改为: AT 30 DAYS AFTER SIGHTTRANSSHIPMENT...: ALLOWED允许转运与合同规定的 PROHIBITED 不符宽于合同规定,无需修改DESCRIPT. OF GOODS: …AS PER CONTRACT NO. X-MON-0330…与合同号 XL-MON-SC0330 不符EXPIRY: PLACE NEGOTIATION BANK'COUNTERAVAILABLE WITH/BY: ANY BANK IN SPAIN将 AVAILABLE WITH/BY 改为:ANY BANK IN CHINADRADT AT: AT 90 DAYS AFTER SIGHT汇票的付款期限与合同规定的 PAYABLE AT 30 DAYS AFTER SIGHT 不符2010-4-12 BENEFICIARY:…NO.1215,SICHUAN(N)ROADAMOUNT: …AMOUNT 83074.00金额与合同规定的 92304.00 不符改为:92304.00。
Notification of Documentary Credit------信用证通知书ADDRESS:上海市青浦镇青安路206号Date 日期:This L/C consists of 2 sheet(s),including the covering letter and attachments(s).该信用证连同本面函及附件共2页。
If you find any terms and conditions in the L/C which you are unable to comply with and/or anyError(s),it is suggested that you contact applicant directly for necessary amendment(s) so as to avoid any difficulties which may arise when documents are presented.如该信用证中有无法办到的条款及/或错误,请泾与开证申请人联系,进行必要的修改,以排除交单时可能发生的问题。
Please credit RMB200.00 as advising fee to our A/CNo. 091113 with Agricultural Bank Of China,shanghai Br.International Dept.本通知费200.00 请划入我行开户于国际部的帐户。
帐号091113。
REF: A/556419 ON 16-NOV-2004 A T 19:57.12TO: ABOCCNBJ090FROM: SHBKKRSERE: MT700 M42T7411NS123XX+:+:+:+{4::27:1/1 #Sepuence of total这份信用证共有1页:40A:IRREVOCABLE #Form of documentary这是一份不可撤消的信用证:20:M42T7411NS123XX #Documentary Credit No信用证号码:31C:041115 #Date of Issu信用证开证日期04年11月15日:31D:050114 IN THE BENEFICIARY COUNTRY #Date and Place of有效期到05年1月14日(中国时间):50:LAR CO.,LTD. 1355-21 SEOCHO-2DONG,SEOCHO-GU, #Applicant SEOUL,KOREA.申请人公司名字和地址(韩国LAR公司)即买方:59:SHANGHAI XXXX STATIONERY COMPANY LTD. #Beneficiary 131ZHAOCHONG ROAD,QINGPU DISTRICT,SHANGHAI受益人公司名字和地址(上海某公司)即卖方:32B:USD8800. #Currency Code,Amount信用证金额8800美圆:42C:A T SIGHT #Drafts at …见汇票即付款:42D:SHINHAN BANK,SEOUL #Drawee付款人为韩国新韩银行:43P:ALLOWED # Partial Shipments允许分批运输:43T:PROHIBITED #Transhipment不允许转运:44A:SHANGHAI SEA PORT CHINA #Load on Board in启运港是上海港:44B:BUSAN,KOREA PORT #For Transportation目的港是韩国釜山港:44C:050103 #Latest Date of shipment最晚出运日是05年1月3日即船期不能晚于这一天:45A:CP001 2,000GROSS A T USD4.4/GROSS #Description of Goods ORIGIN CHINAFOB SHANGHAI SEA PORT CHINADETAILS AS PER OFFER NO.PI0410046货物描述如上:46A:SIGNED COMMERCIAL INVOICE IN TRIPLICATE #Documents Require单据要求PACKING LIST IN TRIPLICATE三份正本商业发票,三份正本装箱单FULL SET OF CLEAN ON BOARD OCEAN BILLS OFLADING MADE OUT TO THE ORDER OF SHINHANBANK SEOUL MARKED FREIGHT COLLECT ANDNOTIFY APPLICANT全套海洋运输清洁提单,注明收货人TO THE ORDER OF SHINHAN BANK SEOUL(待韩国新韩银行的命令)被通知人是信用证申请人即韩国LAR公司。
3-31分析信用证11 3.3.1 分析信用证 LETTER OF CREDIT TRN: 1111510768 COURIER REFERENCE: A/888692 RECEIVED FROM: BANK OF TOKYO_ MITSUBISHI, LTD., THE OSAKA JAPAN DESTINATION: BANK OF CHINA, NINGBO BRANCH SEQUENCE OF TOTAL: 1/1 FORM OF DOC. CREDIT: IRREVOCABLE DOC. CREDIT NUMBER: H486-2001689 DATE OF ISSUE: 070606 EXPIRY DATE : 070625 PLACE: COUNTERS OF NEGOTIATING BANK APPLICANT : TOKO TRADE CORPORATION OSAKA 2-6-7, KAWA RAMACHI, 1-CHOME, OSAKA, JAPAN. BENEFICIARY : NINGBO HUADONG FOOD CO., LTD. NO. 18 DONG SHAN ROAD, NINGBO, CHINA AMOUNT : CURRENCY USD AMOUNT 30 600.00 AVAILABEL WITH /BY: ANY BANK ON SIGHT BASIS BY NEGOTIATION DRAFTS AT SIGHT FOR FULL INVOICE VALUE DRAWEE: BANK OF TOKYO_MITSUBISHI, LTD., THE NEW YORK, NY (NEW YORK BRANCH) PARTIAL SHIPMENT: PROHIBITED TRANSHIPMETN : PROHIBITED LOADING IN CHARGE: CHINA FOR TRANSPROT TO: OSAKA, JAPAN. LATEST DATE OF SHIP.: 070615 DESCRIPT. OF GOODS: 30 M/T FROZEN PEAPODS CIF OSAKA, JAPAN AS PER S/C NO.JP070525 DOCUMENTS REQUIRED: 1.SIGNED COMMERCIAL INVOICE IN 3 ORIGINALS AND 3 COPIES 2.FULL SET OF CLEAN ON BOARD OCEAN BILLS OF LADING MADE OUT TO ORDER AND BLANK ENDORSED MARKED ??FREIGHT PREPAID?? NOTIFY APPLICANT 3.PACKING LIST IN TRIPLICATE 4.BENEFICIARY??S CERTIFICATE STATING THAT 1 ORIGINAL INSPECTION CERTIFICATE OF QUALITY AND 1 ORIGINAL B/L ONE ORIGINAL INSURANCE POLICY HAVE BEEN SENT TO APPLICANT BY COURIER 5.INSURANCE POLICY IN DUPLICATE ENDORSED IN BLANK, COVERING ALL RISKS AND WAR RISK FOR 110% OF INVOICE VALUE. CLAIM PAYABLE AT OSAKA, JAPAN IN THE CURRENCY OF DRAFTS 6.INSPECTION CERTIFICATE ISSUED BY MANUFACTURERS ADDITIONAL CONDITION: DETAILS OF CHARGES: ALL BANKING CHARGES OUTSIDE JAPAN ARE FOR ACCOUNT OF BENEFICIARY PRESENTATION PERIOD: DOCUMENTS MUST BE PRESENTED WITHIN 10 DAYS AFTER THE DATE OF SHIPMENT BUT WITHIN VALIDITY OF THE CREDIT. 11 CONFIRMATION: WITHOUT INSTRUCTIONS: ① REIMBURSEMENT BY TELECOMMUNICATION IS PROHIBITED. ②NEGOTIATING BANK MUST SEND ALL DOCUMENTS TO US, I.E. THE BANK OF TOKYO_MITSUBISHI, LTD., 2-3, KITAHAMA 4-CHOME, CHUO-KU, OSAKA 541-8535 AND/OR C.P.O. POX 388, OSAKA 530-8692 IN ONE LOT BY COURIER SERVICE AND REIMBURSE YOURSELVES FROM REIMBURSING BANK FOR EACH PRESENTATION OF DISCREPANT DOCUMENTS UNDER THIS CREDIT. END OF L/C THIS CREDIT IS ISSUED SUBJECT TO UNIFORM CUSTOMS AND PRACTICE FOR DOCUMNETARY CREDITS (1993 REVISION) ICC PUBL. 500. 有关资料:发票号码:07GESP3298 发票日期:2007 年6 月6 日提单号码:CANE090318 提单日期:2007 年6 月12 日船名:PRESIDENT V.006 运费:USD1600 保单号码:9076521 保险费:USD150.00 货物装箱情况:20KGS/CTN H.S.编码:8712.1000 商品情况:30M/T FROZEN PEAPODS 净重:20KGS/CTN 毛重:21KGS/CTN 尺码:(50X40X60)CM/CTN 唛头:TOKO MADE IN CHINA NO.1-UP 生产单位:宁波华东食品有限公司(221089763214) 报检单位登记号:4478633213 集装箱号码:CGHU2332159(40??) 封号:HD20071221 11 3.3.2 分析信用证 KRUNG THAI BANK PUBLIC COMPANY LIMITED BANGKOK USER HEADER SERVICE CODE 103: BANK. PRIORITY 113: MSG USER REF . 108: INFO. FROM CI 115: SEQUENCE OF TOTAL *27:1/1 FORM OF DOC. CREDIT *40A:IRREVOCABLE DOC.CREDIT NUMBER*20:BL120197 DATE OF ISSUE 31C: 070123 EXPIRY *31D: DATE 070422 PLACE CHINA APPLICANT BANK 51D: KRUNG THAI BANK PCL.,SUANMALI IBC. APPLICANT *50 :METCH THAI CHEMICAL COMPANY LIMITED 45-7 MAITRICHITR RD., BANGKOK,THAILAND. BENEFICIARY *59:SINOCHEM GUANGDONG IMPORT AND EXPORT CORPORATION 58, ZHAN QIAN ROAD, GUANGZHOU,CHINA. AMOUNT *32B:CURRENCY USD AMOUNT 16,264 AVAILABLE WITH/BY *41D:ANY BANK BY NEGOTIATION DRAFTS AT … 42C:30 DAYS AFTER SIGHT DRAWEE 42D:KRUNG THAI BANK PCL., SUANMALI IBC, PARTIAL SHIPMENTS 43P:PROHIBITED TRANSHIPMENT 43T:ALLOWED LOADING IN CHARGE 44A:GUANGZHOU, CHINA FOR TRANSPORT TO … 44B:BANGKOK, THAILAND LATEST DATE OF SHIP. 44C:070412 DESCRIPT. OF GOODS 45 A: 42.80 M/T LITHOPONE 30PCT ARROW BRAND USD380 PER MT DETAILS AS PER PRO FORMA INVOICE NO.01TH44GD176A3-032 DATED JAN. 22, 2007 CIFBANGKOK, THAILAND DOCUMENTS REQUIRED 46 A: + SIGNED COMMERCIAL INVOICE IN 3 COPIES SHOWING SEPARATELY FOB VALUE, FREIGHT CHARGE, INSURANCE PREMIUM, CIFVALUE AND COUNTRY OF ORIGIN + FULL SET OF CLEAN ON BOARD OCEAN BILLS OF LADING TO ORDER OF KRUNG THAI BANK PUBLIC COMPANY LIMITED MARKED FREIGHT PREPAID NOTIFY APPLICANT + MARINE INSURANCE POLICY OR CERTIFICATE IN DUPLICATE, ENDORSED IN BLANK, FOR FULL INVOICE VALUE PLUS 10 PERCENT STATING CLAIM 11 PAYABLE IN THAILAND COVERING INSTITUTE CARGO CLAUSES (A) AND WAR RISKS. + PACKING LIST IN 5 COPIES. + ONE FULL SET OF NON-NEGOTIABLE SHIPPPING DOCUMENTS MUST BE SENT TO THE APPLICANT BY AIR COURIER WIHTIN 3 DAYS AFTER SHIPMENT AND BENEFICIARY??S CERTIFICATE TO THAT EFFECT IS REQUIRED. + BENEFICIARY??S CERTIFICATE CERTIFYING THAT ONE COPY EACH OF INVOICE, B/L HAVE BEEN FAXED TO BUYER TO FAX NO.662-225 WITHIN 3 DAYS AFTER SHIPMENT. + INSPECTION CERTIFICATE OF QUALITY ISSUED BY COMPETENT AUTHORITIES. ADDITIONAL COND. 47A : + ALL DOCUMENTS MENTIONING THIS L/C NO. + BOTH AMOUNT AND QUANTITY PLUS OR MINUS 5PCT ACCEPTABLE + IF ANY DISCREPANCY, WE SHALL DEDUCT USD50 BEING OUR FEE FROM THE PROCEEDS. + THE NAME, ADDRESS, TELEPHONE NUMBER OF SHIPPING AGENT IN BANGKOK MUST BE MENTIONED ON B/L. DETAILS OF CHARGES 71 B:ALL BANK CHARGES OUTSIDE THAILAND INCLUDING COST OF WIRE AND REIMBURSEMENT CHARGES ARE FOR BENEFICIARY??S ACCOUNT. CONFIRMATION *49:WITHOUT CONSTRUCTIONS 78: + UPON RECEIPT OF SHIPPING DOCUMENTS IN STRICT CONFORMITY WITH L/C TERMS, WE WILL COVER YOUR ACCOUNT AND LESS OUR COST OF WIRE IF ANY ACCORDING TO YOUR INSTRUCTION. + DRAFT(S) AND DOCUMENTS TO BE SENT TO US BY COURIER SERVICE MAILING ADDRESS SUANMALI IBC, 20YUKHON 2 RD, POMPRAB, BANGKOK 10100, THAILAND. + THIS ADVICE IS OPERATIVE WITH NO CONFIRMATION TO FOLLOW AND SUBJECT TO ICC 1993 REVISION PUB 500. 有关资料:发票号码::01A30676-032A 发票日期:FEB.06, 2007 提单号码:COSU298000081 提单日期:MAR.01, 2007 船名:CHAO HE V.036 运费:USD300.00/CONTAINER 保单号码:01-78963 保险费:USD158.00 货物装箱情况:IN 25KGS PLASTIC WOVEN BAG, TOTAL 1712BAGS 总净重:42.80MT 总毛重:42 971.2KGS 总尺码:41.944M 3 唛头:P.T.C 商品名称:箭牌立德粉30% BANGKOK 集装箱:TTNU3112933 (20??) 封号:062472 (20GP) FCL TGHU2115222 (20??) 封号:062478 (20GP) FCL 出口口岸:广州海关 (5100) 核销单号码:44MO58868 生产厂家:湖南湘潭华荣厂(66893214412) 计量单位:千克 11 报检单位登记号:8876544721 11 3.3.3 分析信用证 VolksbankSchorndorf MEMBER OF THE GENO GROUP GERMANY FAX MESSAGE From: Volksbank Schorndorf, Joh-Phil.-Palm-Str.39, D-73614 Schorndorf / Germany To: DG-Bank, Hong Kong/Hong Kong Test: / USD 67.200.-/ 19.11.2007 Issue of a Documentary Credit Kindly note that we hereby establish our irrevocable documentary Credit No.4.1520 Date of Issue :November18, 2007 Expiry Date :January18, 2008, Place China Applicant :LUCKY FREUND VICTORIA INTERNATIONAL STUTTGAURTE STR. 5D-84618 SCHORNDORF/GERMANY Beneficiary :GUANGDONG MACHINERY IMPORT & EXPORT CORPORATION (GROUP) 720 DONG FENG ROAD EAST GUANGZHOU CHINA. Amount :USD 67200.00 Say U.S.Dollars sixty seven thousand two hundred exactly Available with/by :Any bank by negotiation against the documents detailed herein and beneficiary??s drafts at sight drawn on us under L/C No.4.1520 for 100 percent of the invoice value. Partial Shipments :Allowed Transshipment :Allowed Loading in Charge :China ports For Transport to :Rotterdam port by seafreight Latest Date of Shipment :January 3, 2008 Descript. of Goods: 4500 pcs of Stainless Steel Spade Head S821/29099 USD9.60/pc 2500 pcs. of Stainless Steel Spade Head F807/22199 USD9.60/pc according to Sales Contract No. A97DE23600256 dd.Nov.12, 2007 and Fax Order dd.Oct.9, 2007/knr-sche .CIF Rotterdam (Incoterms 2000) Documents required: 1. Signed commercial invoice 3-fold 2. Full set of clean on board marine Bills of Lading made out to order of Wim Bosman BV, P.O.Box 54064, NL-3008 JB Rotterdam, Netherlands.Marked ??Freight Prepaid?? Notify Applicant (as indicated above) 3. GSP Certificate of Origin, Form A, certifying goods of origin in China issued by competent authorities 4. Packing List, 3-fold 5. Insurance Policy/Certificate, issued to the applicant (as 11 indicated above), covering risks as per ??Institute Cargo Clauses (A)??and ??Institute War Clause (Cargo)?? including Warehouse to Warehouse Clause up to final destination at Schorndorf, for at least 110 pct of CIF-Value, marked ??Premium Paid??, showing claims if any payable in Germany, naming settling agent in Germany. Additional Conditions :If an amendment to that credit is not accepted by the beneficiary the beneficiary??s signed statement to that effect is required. Details of Charges :All banking charges outside the issuing bank are for account of beneficiary. USD60.00 being our handling charges for documents not in conformity with L/C terms are also for account of beneficiary. The advising charges for the first Advising Bank for USD80, will be deducted from proceeds upon payment。
信用证分析表第二局部一、主题引入各位同学,大家好。
这次我们要一起学习的是信用证分析表第二局部,信用证分析 表对单据的要求,以及提单和保险局部。
(话音末尾展示PPT1)二、信用证对单据的要求Ppt2:信用证分析表要求我们找出信用证DOCUMENTS REQUIRED 46A 单据要求这个工程中涉及到的所有单据以及这些单据需要提供给 银行和客户的份数,请注意,我们只需要在表格中相应单据的空格处 写上正确份数即可。
Ppt3:下面我们一起来复习下常用单据的英文表达。
提单:BILL OF LADING,商业发票:COMMERCIAL INVOICE,装箱单:PACKING LIST, 保险单:INSURANCE POLICY,产地证:CERTIFICATE OF ORIGIN,普 惠制产地证:GSP FORM A,装船通知书:SHIPPING A DVICE,受益人 证明:BENEFICIARY' S CERTIFICATE,品质证明书:CERTIFICATE OF QUALITYo Ppt4:信用证中关于单据份数的提法,一般有三种方法:第一种, 如IN 3 COPIES, 一式三份;第二种跟第一种类似,如IN 3 FOLDS;第三种方法(ppt5),同学们需要记住特定的英文单词,如一式两份IN DUPLICATE, 一式三份 IN TRIPLICATE, 一式四份 IN QUADRUPLICATE, 一式五份IN QUINTUPLICATE,这几个要重点掌握,6到10份遇到不多,请大家了解。
(怕时间不够,建议6T0份的英语读一下)在总体把握单据名称和份数的基础上,我们来详细解读日本 NICHI贸易公司开给奥利集团的信用证(PPT 6), DOCUMENTS REQUIRED 单据要求,代码46A,首先我们圈出加号,每一个加号代表需提交银 行的一种单据,该信用证需提交银行7种单据。
Ppt7:具体解读,第一个“ + 找出单据名称COMMERCIAL INVOICE,商业发票,IN 3 copIES,一式三份。
项目二任务一---制作信用证分析表一、教材名称《外贸制单》(高等教育出版社)二、课时2课时(45分钟×2)三、学情分析教学对象为国际商务班高二学生。
经过一年的专业学习,已具备一定的理论基础,初步掌握了一些专业课学习的方法和技能,具备了进行角色模拟和小组合作探讨的学习能力。
另一方面,部分学生抽象思维能力相对较弱,对知识的主动学习能力较差。
在知识应用上,学生难以自发地实现知识向能力的迁移,与企业实际需求有一定的距离。
四、教学目标1.知识和技能目标(1)掌握信用证分析表的用途已经各个栏目的填制内容;(2)根据信用证正确制作信用证分析表。
2.过程和方法目标(1)通过自主学习,培养学生的自学能力和独立思考能力;(2)通过小组合作学习,提高学生的分析问题、解决问题的能力;(3)通过成果展示,锻炼学生的语言组织和表达能力;(4)通过学生自评和互评,让学生了解自己的学习效果,同时能正确评价合作伙伴。
3.情感、态度和价值观目标(1)通过制单练习,培养学生的实践动手能力和业务操作能力;(2)通过小组合作学习,培养学生小组合作意识和团队竞争意识。
五、教学重点与难点教学重点:信用证分析表个栏目的填制内容教学难点:准确解读信用证单据要求条款中对单据种类和份数的要求六、教学方法和学习方法指导1.教学方法:情境教学法;任务驱动法2.学习方法:小组合作学习法;实战演练法;自主探究法七、教学准备教师准备:多媒体设备、多媒体课件分组原则:按照“组间同质,组内异质”的原则,5人一组,每组选定一名项目经理负责整组的协调工作,其余为单证员。
八、教学过程(一)案例导入引出主题首先沿用贯穿整本书的情境:奥利集团陈诚收到信用证后,立刻与生产部门主管李茂沟通货物生产进度,并得知货物将会按期、按质、按量完成。
之后,陈诚将信用证转交给单证员李虹,吩咐她跟进这份信用证的出口单据工作。
李虹为加速信用证在温州奥利集团内部的流转,供相关部门及人员备货、出运、制单、统计等工作需要,首先制作完成信用证分析表。
方正进出口公司审证实例IRREVOCABLE DOCUMENTARY CREDITFORM OF DOC,CREDIT *40 A: IR REVOCABLE 信用证形式DOC. CREDIT NUMBER *20 : XT173 信用证编码DATE OF ISSUE 31 C: 110430开证日期APPLICABLE RULES *40 E : UCP LA TEST VERSIONDATE AND PLACE OF EXPIRY *31 D: DATE 110620A T BENEFICIARY’S COUNTRYAPPLICANT *50 : TKAMLA CORPORATION6 KAWARA MACH OSAKA JAPANISSUING BANK 52A :FUJI BANK66 SAKULA OTOLIKINGZA MACHI OSAKA JAPANBENEFICIARY *59: FANGZHENG I/ E TRADE CORPORA TIONT222 ZHONGSHAN ROAD SHANGHAI CHINAAMOUNT *32 B: CURRENCY USD AMOUNT 60 00.00A VAILABLE WITH / BY *41 D:ANY BANK IN CHINA BY NEGOTIATIONDRAFT S AT … 42 C:DRAFTS AT SIGHT FOR FULL INVOICE COSTDRAWEE 42 A:FUJI BANKPARTIAL SHIPMENTS 43 P: ALLOWEDTRANSSHIPMENT43 T:NOT ALLOWEDLOADING ON BOARD 44 A:SUZHOU PORTFOR TRANSPORTATION TO … 44 B:OSAKA PORTLA TEST DATE OF SHIPMENT 44 C:110620DESCRIPT OF GOODS 45 A:T-SHIRT AS PER S/C NO. TXT2642 CIF OSAKADOCUMENTS REQUIRED 46 A:+ SIGNED COMMERCIAL INVOICE, 2 ORIGINAL AND 4 COPIES.+ PACKING LIST, 1 ORIGINAL AND 4 COPIES.+ CERTIFICATE OF ORIGIN GSP CHINA FORM A, ISSUED BY THE CHAMBER OF COMMERCE OR OTHER AUTHORITY DULY ENTITLED FOR THIS PURPOSE.+ FULL SET OF NEGOTIABLE INSURANCE POLICY OR CERTIFICATE BLANK ENDORSED FOR 120 PERCENT OF THE INVOICE VALUE COVERING ALL RISKS+ FULL SET OF B/L CLEAN ON BOARD, MADE OUT TO ORDER OF SHIPPER AND BLANK ENDORSED AND MARKED “ FREIGHT PREPAID ”AND NOTIFY APPLICANT.+ QUALITY INSPECTION TO BE EFFECTED BEFORE SHIPMENT AND THE RELATIVE CERTIFICATEIS REQUIRED FROM THE INPECTING AGENCY DESIGNATED BY THE BUYER..CHARGES 71B: ALL BANKING CHARGES OUTSIDE ISSUING BANK ARE FORACCOUNT OF BENEFICIARY.PERIOD FOR PRESENTATION 48: DOCUMENTS MUST BE PRESENTED WITHIN 15 DAYS AFTER THE DATE OF SHIPMENT BUT WITHIN THE VALIDITY OF THE CREDIT.。
信用证分析材料一:SEQUENCE OF TOTAL *27: 1/1FORM OF DOC. CREDIT *40A: IRREVOCABLE TRANSFERABLEDOC. CREDIT NUMBER *20: 540370DA TE OF ISSUE 31C: 08/03/18EXPIRY *31D: DATE 08/05/15 PLACE HONG KONGAPPLICANT *50: ORCHID TRADING LTD.UNIT 513, CHINACHEM BLDG.,78 MODY ROAD, TST, KOWLOON,HONG KONGAPPLICANT BANK 51: BANCA INTESA S.P.A., HONG KONGBENEFICIARY *59: HANGZHOU HOPESHOWIMP. AND EXP. CO., LTD.358 MOGANSHAN ROADHANGZHOU CHINAAMOUNT *32B: CURRENCY USD AMOUNT 18096.00POS. / NEG. TOL. (%) 39A: 05/05A V AILABLE WITH/BY *41D: BANCA INTESA S.P.A., HONG KONGBY NEGOTIATIONDRAFT AT … 42C: AT SIGHTFOR FULL INVOICE V ALUEDRAWEE 42D: BANCA INTESA S.P.A., HONG KONGPARTIAL SHIPMENT 43P: NOT ALLOWEDPORT OF LOADING 44E: SHANGHAIPORT OF DISCHAGE 44F: ROTTERDAMLATEST DATE OF SHIPMENT 44C: 08/04/30DESCRIPT. OF GOODS 45A:LADIES WEARSSTYLE NO. P/O NO. DESCRIPTION QUTY. UNIT PRICE184020 10020 ROUND NECK 130DOZ USD64.80/DOZ184521 10021 JACKET 130DOZ USD74.40/DOZCIF ROTTERDAMDOCUMENTS REQUIRED 46A:+SIGNED COMMERCIAL INVOICE IN QUADRUPLICATE IN THENAME OF LERROS MODEM (HOLLAND) GMBH, IMTAUBENTAL 35, D-41468 ROTTERDAM, THE NETHERLANDSSHOWING SEPARATEL Y THE CREDIT NO., P/O NO., STYLE NO.,FREIGHT CHARGE, INSURANCE PREMIUM AND COUNTRY OFORIGIN+FULL SET OF CLEAN ON BOARD OCEAN BILL OF LADINGMADE OUT TO ORDER BLANK ENDORSED MARKED FREIGHTPREPAID AND NOTIFY LERROS MODEM (HOLLAND) GMBH,IM TAUBENTAL 35, D-41468 ROTTERDAM, THE NETHERLANDS,FAX: 33-131-3600999+PACKING LIST IN TRIPLICATE+CERTIFICATE OF ORIGIN IN ORIGINAL+INSURANCE POLICY IN DUPLICATE ENDORSED IN BLANKFOR AT LEAST 110 PERCENT OF THE INVOICE VALUECOVERING ALL RISKS AS PER OCEAN MARINE CARGOCLAUSE OF PICC+BENEFICIARY’S LETTER EVIDENCING THAT ONE SET OF N/NDOCUMENTS HAS BEEN DISPATCHED TO APPLICANTIMMEDIATEL Y AFTER SHIPMENTADDITIONAL COND. 47A:+DOCUMENTS PRESENTED WITH DISCREPANCY WHETHERINDICATED OR FOUND IS SUBJECT TO A HANDLING FEE FORUSD65.00 WHICH IS PAYABLE BY THE BENEFICIARY ANDWILL BE DEDUCTED FROM PROCEEDS UPON NEGOTIATION+THIRD PARTY SHIPMENTS AND DOCUMENTS ARE ALLOWED+THIS L/C IS TRANSFERABLE AND L/C ADVISING BANK ISNOMINA TED AS THE TRANSFERRING BANK+THIS CREDIT IS SUBJECT TO THE U.C.P. FOR DOCUMENTARYCREDITS (2007 REVISION) I.C.C., PUBLICATION NO. 600.+5 PCT MORE OR LESS BOTH IN CREDIT AMOUNT ANDQUANTITY ARE ACCEPTABLEDETAILS OF CHARGES 71B: ALL BANK CHARGES OUTSIDE HONG KONG ARE FORTHE ACCOUNT OF THE BENEFICIARYPRESENTATION PERIOD 48: WITHIN 15 DAYS AFTER THE DA TE OF SHIPMENT BUTWITHIN THE VALIDITY OF THE CREDITCONFIRMATION *49: WITHOUTADVISED THROUGH 57: BANK OF CHINA, HANGZHOU BRANCHINSTRUCTION 78: ON RECEIPT OF DOCUMENTS IN ORDER A T OUR COUNTERWE SHALL REMIT IN ACCORDANCE WITH THE NEGOTIATINGBANK’S INSTRUCTION IN THE SAME CURRENCY OF THECREDIT有关资料:发票号码:08DL0F015 发票日期:2008年4月18日出口商中文名称:杭州红袖进出口有限公司,法人代表:张三海关十位数代码:3301910043 托运联系人:王洁提单号码:DL930800899 提单日期:2008年4月28日集装箱箱/封号:COCU5627621/2856309 1×20’ LCL,CFS/CFS提单签署:DE-WELL SHIPPING COMPANY 法人代表:李四船名航次:APL CORAL V. 034W 出口口岸:吴淞海关(2202)海运费:USD304.00 保险费:USD40.00产地证号码:ZC/08/12345 保险单号码:08HZ-54321合同号:HS08E0315 合同日期:2008年3月15日海关第一计量单位:件海关第二计量单位:千克核销单号码:8976543 DE-WELL代理报关完全国产报关员:唐月华要许可证不要商检许可证号码:08-33-032468圆领衫,ROUND NECK,商品编码:6109.1000.22,5打/箱,共26箱,箱号:1-26 纸箱尺码:56×38×25cms,毛重:8KGS/箱,净重:6.5KGS/箱。
信用证分析单
合同号码LD-DRG-SC0330信用证号码834LC43690341填表日期2010-04-12填表人熊艳
【信用证基本信息】
信用证开立方式电开信用证
信用证号码834LC43690341
开证日2010年04月10日
到期日2010年06月15日
到期地点议付银行柜台
费用负担
【当事人信息】
开证申请人名称及地址DRAGON TOY CO., LTD
158 EAST 43RD STREET, SUITE 1052, NEW YORK,
NY 10017, U.S.A.
受益人名称及地址上海利达贸易有限公司
中国上海市淮海中路389号中海大厦24楼 200020
开证银行美国银行
通知银行中国银行
【付款信息】
币种美元
金额89856.00
兑付方式(付款/承兑/议付)在中国任一银行议付
兑付银行中国银行
是否需要出具汇票是
付款期限见票之后30天内付款
受票人DRAGON TOY CO., LTD
158 EAST 43RD STREET, SUITE 1052, NEW YORK, NY 10017,U.S.A.
, CHINA。