2006年-2009年《国际商务单证缮制与操作试题》分析

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2009年国际商务单证员《缮制与操作》真题-中大网校

2009年国际商务单证员《缮制与操作》真题-中大网校

2009年国际商务单证员《缮制与操作》真题总分:100分及格:60分考试时间:120分一、根据合同内容审核信用证,指出不符之处并提出修改意见。

(本题共36分)(1)根据以下资料,回答题。

二、根据已知资料指出下列单据中错误的地方。

(本题共24分)(1)根据以下资料,回答{TSE}题。

(2)三、请根据银行来证及货物明细,缮制出口单据。

(每小题8分,共40分)(1)根据以下资料,回答{TSE}题。

(2)(3)(4)(5)答案和解析一、根据合同内容审核信用证,指出不符之处并提出修改意见。

(本题共36分)(1) :二、根据已知资料指出下列单据中错误的地方。

(本题共24分)(1) :一般原产地证本题主要考查根据销售合同和已知资料审核一般原产地证的内容。

经审核,该一般原产地证缮制错误的地方有:(1)出口商(Exporter)栏填写有误,应修改为:“NANJING JINLING TEXTILE C0.,LTD.UNIT A l8/F,JINLING TOWER,N0.118 JINLING ROAD,NANJING,CHINA”。

解析:此栏填写出口商的名称、详细地址和国家(地区)名。

在填写和审核时,出口商名称要完整。

信用证项下,一般填写为受益人;托收项下,一般填写为托收人。

本题中,此栏应填写合同卖方的名称和地址,而不是合同买方的名称和地址。

(2)收货人(Consignee)栏填写有误,应修改为:“DEXICA SUPERMART S.A.BOULE —VARD PACHEC0 44,B一1000 BRUSSELS,BELGIUM”。

解析:此栏填写收货人的名称、详细地址和国家(地区)名,收货人通常是外贸合同的买方或信用证规定的提单通知人。

本题中,此栏应填写合同买方的名称和地址,而不是合同卖方的名称和地址。

(3)运输方式和路线(Means of transport and route)栏填写有误,应修改为:“FROM NINGBO PORT,CHINA TO BRUSSELS,BELGIUM BY SEA”。

单证考试真题分析-2009年《单证缮制与操作》

单证考试真题分析-2009年《单证缮制与操作》

2009年《国际商务单证缮制与操作》真题分析一、根据合同内容审核信用证,指出不符之处并提出修改意见。

(本题共36 分)SALES CONTRACTISSUE OF DOCUMENTARY CREDIT27: SEQUENCE OF TOTAL:1/140A: FORM OF DOC.CREDIT :IRREVOCABLE20: DOC.CREDIT NUMBER :103CD13727331C: DATE OF ISSUE :08121540E: APPLICABLE RULES :UCP LATEST VERSION31D: DATE AND PLACE OF EXPIRY :DATE 090202 PLACE IN SPAIN51D:APPLICANT BANK:BANCO SANTANDER, S.A.28660 BOADILLA DEL BARCELONA, SPAIN50: APPLICANT :LINSA PUBLICIDAD, S.A.V ALENCIA, 195 BAJOS. 08011 BARCELONA, SPAIN59: BENEFICIARY :SHANDONG YIHAN IMP. & EXP. CO., LTD.NO. 51 JINSHUI ROAD, QINGDAO, CHINA32B: AMOUNT :CURRENCY EUR AMOUNT 19250.0041A: A V AILABLE WITH…BY ANY BANK IN CHINA BY NEGOTIATION42C: DRAFTS AT… 30 DAYS AFTER SIGHT42A:DRAWEE :LINSA PUBLICIDAD, S.A.43P:PARTIAL SHIPMTS:NOT ALLOWED43T:TRANSSHIPMENT:NOT ALLOWED44E:PORT OF LOADING:ANY CHINESE PORT44F:PORT OF DISCHARGE :V ALENCIA, SPAIN44C:LATEST DATE OF SHIPMENT:09011545A: DESCRIPTION OF GOODSGOODS AS PER S/C NO. YH08036 DA TED ON DEC.1, 2008CARDHOLDER DYED COW LEATHERBLACK COLOUR/8000PCS AT USD1.45/PC FOB QINGDAOBROWN COLOUR/5000PCS AT USD1.50/PC FOB QINGDAOPACKING: 200PCS/CTN46A: DOCUMENTS REQUIRED1. SIGNED COMMERCIAL INVOICE IN 3 COPIES2. CERTIFICATE OF ORIGIN GSP FORM A ISSUED BY OFFICIAL AUTHORITIES3. PACKING LIST IN 3 COPIES4. FULL SET CLEAN ON BOARD BILLS OF LADING MADE OUT TO ORDER MARKED FREIGHT PREPAID AND NOTIFY APPLICANT5. INSURANCE POLICY/CERTIFICATE IN DUPLICATE ENDORSED IN BLANK FOR 110% INVOICE V ALUE COVERING ALL RISKS AND WAR RISK AS PER CIC.47A: ADDITIONAL CONDITIONSBILL OF LADING ONL Y ACCEPTABLE IF ISSUED BY ONE OF THE FOLLOWING SHIPPING COMPANIES: KUEHNE-NAGEL (BLUE ANCHOR LINE) VILTRANS (CHINA) INT’L FORWARDING LTD. OR VILTRANS SHIPPING (HK) CO., LTD.71B: CHARGES:ALL CHARGES ARE TO BE BORN BY BENEFICIARY48: PERIOD FOR PRESENTATION:WITHIN 5 DAYS AFTER THE DA TE OF SHIPMENT, BUT WITHIN THE V ALIDITY OF THIS CREDIT49: CONFIRMATION INSTRUCTION:WITHOUT经审核信用证需要修改的内容如下:1.31C: 开证日期比合同规定晚了半个月(2 分)解析:信用证开证日期DA TE OF ISSUE是081215,按照合同规定应该在装运日期即2009年1月前30天开到卖方。

全国国际商务单证专业考试国际商务单证缮制与操作试题答案

全国国际商务单证专业考试国际商务单证缮制与操作试题答案

NATIONALE P ARIS (9)大写金额不对,不是SAY EURO EIGHTY THREE THOUSAND FOUR HUNDRED AND THIRTYONLY .,应为:SAY EURO EIGHTY THREE THOUSAND THREE HUNDRED AND FORTY ONLY.(10) TO 受票人(付款人) BANQUE NATIONALE PARIS 不对,应为开证行: BANK OF CHINA, TIANJIN BRANCH (11) 出票人 GUYENNOISE GROU P(12)签字人不对,应为卖方公司的MAITY操作试题参考答案一、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。

(1.31C 开证日期与合同不符,应为: 2013年 5月31 日之前2. 31D 有效期与合同不符,应为: 2013年 8月15日及该日之后3. 31D 到期地点与合同不符,应为: CHINA 36分)4. 50开证申请人名称与合同不符,不是5. 59受益人名称与与合同不符,不是 HAZZE ABC HOLDING ,应为:HAZZE AB HOLDING SHANGHAI ANDY TRADING CO., LTD. ,应为:SHANGHAI ANDYS TRADING CO., LTD. USD6. 32B 货币名称与合同不符,应为:7. 32B 信用证金额与合同不符,应为:8. 42C 付款期限与合同不符,应为:即期(写成 AT SIGHT 也得分)9. 42A 受票人(写“付款人”也可)不应为开证申请人,应为: SWEDBANK (写“开证行”或“ ISSUING BANK ”也可) 2750010. 44P 不允许分批与合同不符,应为:允许( ALLOWED ) 11.44T 不允许转运与合同不符,应为:允许( ALLOWED ) 12. 44E 装运港与合同不符,应为: SHANGHAI 13.44C 最迟装运期与合同不符,应为: 130731 14. 45A 数量与合同不符,不是 1000PCS,应为:100PCS 15. 45A 贸易术语与合同不符,I 不是 CIF STOCKHOLM ,应为:FOB SHANGHAI 16. 合同采用的贸易术语为 FOB ,46A 不应该要求受益人提交保险单,应为:删除此条17. 46A 海运提单要求注明 “FREIGHT PREP AID ”,与 FOB 术语不符,应为:FREIGHT COLLECT 18. 71B 所有的费用和佣金由受益人负担不妥,应为: ALL CHARGES AND COMMISSIONS OUTSIDE SWEDEN ARE FOR ACCOUNT OF BENEFICIARY. 二、根据下面相关资料指出下列进口单据中错误的地方,并改正。

国际商务单证员《国际商务单证缮制与操作》模拟试题及详解(一)

国际商务单证员《国际商务单证缮制与操作》模拟试题及详解(一)

2016年国际商务单证员《国际商务单证缮制与操作》模拟试题及详解(一)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。

(36分)1.合同资料This contract is made by and between the Sellers and Buyers, whereby the sellers agree to sell and the buyers agree to buy the under-mentioned goods according to the conditions stipulated below:(5)Packing:8pc Double Offset Ring SpannerPacked in 1 plastic carton of 16 sets each;9pc Extra Long Hex Key Set,12pc Combination Spanner, 10pc Combination Spanner Packed in 1 plastic carton of 10 sets each;12pc Double Offset Ring SpannerPacked in 1 plastic carton of 8 sets each.Packed in THREE 40’ CONTAINER(6)Delivery From TIANJIN,CHINA to BARCELONA,SPAIN(7)Shipping marks MAMUTBARCELONAC/NO.1-UP(8)Time of Shipment: Latest Date Of Shipment Sept.10,2011(9)Partial Shipment: Allowed(10)Transshipment: Not Allowed(11)Terms of Payment: By 100% Confirmed Irrevocable Letter of Credit to beavailable at 60 days after sight draft to be opened by the sellers.L/C must mention this contract number L/C advised by BANK OF CHINA TIANJIN BRANCH. All banking Charges outside China(the mainland of China)are for account of Drawee.(12)Arbitration: Any dispute arising from the execution of or in connection with contract shall be settled amicably through negotiation. In case no settlement can be reached through negotiation, the case shall then be submitted to China International Economic & Trade Arbitration Commision in Tianjin (or in Beijing)for arbitration in accordance with its arbitration rules The arbitration award is final and binding upon both parties. The fee for arbitration shall be borne by losing party unless otherwise awarded.The Seller: The Buyer:TIANJIN TOOL IMPORT & EXPORT CO.,LTD MAMUT ENTERPRISESAV2.信用证资料经审核信用证后存在的问题如下:答:本题主要考察受益人根据合同和《UCP600》条款对信用证的审核。

2009年国际商务单证缮制与操作试题(连答案) (1)

2009年国际商务单证缮制与操作试题(连答案) (1)

2009年国际商务单证员专业考试国际商务单证缮制与操作试题(考试时间:6月14日下午2:00—4:00)一、根据下述合同内容审核信用证,并指出不符之处(36分)。

SALES CONTRACTThe Seller: No. YH08039 SHANDONG YIHAI IMP. & EXP. CO., LTD. Date: DEC. 01, 2008NO. 51 JINSHUI ROAD, QINGDAO, CHINA Signed at: QINGDAO, CHINAThe Buyer:LINSA PUBLICIDAD, S. A.VALENCIA, 195 BAJOS, 08011, BARCELONA, SPAINThis Sales contract is made by and between the Sellers and Buyers, whereby the sellers agree to sell and the buyers agree tobuy the under-mentioned goods according to the conditions stipulated below:Packing: 1PCS/POLYBAG, 500PCS/CTN Shipping Mark:Time of Shipment: DURING JAN. 2009 BY SEA BARCELONA Loading Port and Destination: FROM QINGDAO TO BARCELONA NOS. 1-26Partial Shipments and Transshipment: ALLOWEDInsurance: TO BE EFFECTED BY THE BUYERTerms of Payment: THE BUYER SHALL OPEN THROUGH A BANK ACCEPTANCE TO THE SELLER AN IRREVOCABLE SIGHT LETTER OF CREDIT TO REACH THE SELLER 30DAYS BEFORE THE MONTH OF SHIPMENT AND TO REMAIN VALID FORNEGOTIATION IN CHINA UNTIL THE 15TH DAY AFTER THE FORESAID TIME OFSHIPMENTISSUE OF DOCUMENTARY CREDIT27: SEQUENCE OF TOTAL: 1/140A: FORM OF DOC. CREDIT: IRREVOCABLE20: DOC. CREDIT NUMBER: 103CD13727331C: DA TE OF ISSUE: 08121540E: APPLICABLE RULES: UCP LATEST VERSION31D: DA TE AND PLACE OF EXPIRY : DATE 090202 PLACE IN SPAIN51D: APPLICANT BANK: BANCO SANTANDER, S.A.28660 BOADILLA DEL BARCELONA, SPAIN50: APPLICANT: LINSA PUBLICIDAD, S.A.V ALENCIA,195 BAJOS, 08011, BARCELONA, SPAIN59: BENEFICIARY: SHANDONG YIHAN IMP. & EXP. CO., LTD.NO.51 JINSHUI ROAD, QINGDAO, CHINA32B: AMOUNT: CURRENCY EUR AMOUNT 19250.0041A: A V AILABLE WITH…BY: ANY BANK IN CHINA BY NEGOTIATION42C: DRAFTS AT…30 DAYS AFTER SIGHT42A: DRAWEE: LINSA PUBLICIDAD, S. A.43P: PARTIAL SHIPMTS: NOT ALLOWED43T: TRANSSHIPMENT: NOT ALLOWED44E: PORT OF LOADING: ANY CHINESE PORT44F: PORT OF DISCHARGE: V ALENCIA, SPAIN44C: LATEST DATE OF SHIPMENT: 09011545A: DESCRIPTION OF GOODSGOODS AS PER S/C NO.YH08036 DA TED ON DEC.1, 2008CARDHOLDER DYED COW LEATHERBLACK COLOUR / 8000PCS AT USD1.45/PC FOB QINGDAOBROWN COLOUR / 5000PCS AT USD1.50/PC FOB QINGDAOPACKING: 200PCS / CTN46A: DOCUMENTS REQUIRED1. SIGNED COMMERCIAL INVOICE IN 3 COPIES2. CERTIFICATE OF ORIGIN GSP FORM A ISSUED BY OFFICIAL AUTHORITIES3. PACKING LIST IN 3 COPIES4. FULL SET CLEAN ON BOARD BILLS OF LADING MADE OUT TO ORDER MARKED FREIGHT PREPAID AND NOTIFY APPLICANT5. INSURANCE POLICY / CERTIFICATE IN DUPLICATE ENDORSED IN BLACK FOR 110 % OF INVOICE V ALUE COVERING ALL RISKS AND W AR RISK AS PER CIC.47A: ADDITIONAL CONDITIONSBILL OF LADING ONL Y ACCEPTABLE IF ISSUED BY ONE OF THE FOLLOWING SHIPPING COMPANIES:KUEHNE-NAGEL (BLUE ANCHOR LINE)VILTRANS (CHINA) INT’L FORWARDING LTDVILTRANS SHIPPING (HK) CO., LTD71B: CHARGES: ALL CHARGES ARE TO BE BORN BY BENEFICIARY48: PERIOD FOR PRESENTA TION: WITHIN 5 DAYS AFTER THE DATE OF SHIPMENT, BUT WITHINTHE V ALIDITY OF THIS CREDIT49: CONFIRMATION INSTRUCTION: WITHOUT经审核信用证需要修改的内容如下:1.开证迟了,按照合同,应该在12月1日前开到受益人所在地,但是这是无法更改的。

国际商务单证缮制与操作模式试题及答案(一)

国际商务单证缮制与操作模式试题及答案(一)

国际商务单证缮制与操作模式试题及答案(一)-卷面总分:60分答题时间:30分钟试卷题量:30题一、单选题(共31题,共62分)1.信用证规定“CertificateoforiginG.S.P.FormAinduplicate”,根据要求,该产地证的签发机构是()。

A.贸促会(商会)B.出境地海关C.生产地公证处D.出入境检验检疫局正确答案:D您的答案:本题解析:暂无解析2.在进料加工贸易中,经常由我方先向外商购买原材料或配件,加工产品后再卖给该外商。

为了避免届时外商不履行合同,我方应采用()比较稳妥。

A.对开信用证B.保兑信用证C.转让信用证D.循环信用证正确答案:A您的答案:本题解析:暂无解析3.信用证中关于运输:“Transshipmentpermitted,partialshipmentallowed,butpartial shipmentofeachitemnotallowed”的中文意思是()。

A.允许转运、允许分批,但每个品种的货物不得分批B.允许转运、允许分批,每个品种的货物也必须分批C.不允许转运,允许分批,但每个品种的货物不得分批D.允许转运、不允许分批,但每个品种的货物不得分批正确答案:A您的答案:本题解析:暂无解析4.某商品单价每个CIFC5伦敦3.55英镑,数量6120个,根据惯例保险金额应是()。

A.22704.00英镑B.22703.00英镑C.23899.00英镑D.23898.00英镑正确答案:C您的答案:本题解析:暂无解析5.根据《中华人民共和国海关法》,进口货物的收货人向海关申报的时限是()。

A.自运输工具申报进境之日起7日内B.自运输工具申报进境之日起10日内C.自运输工具申报进境之日起14日内D.自运输工具申报进境之日起15日内正确答案:C您的答案:本题解析:暂无解析6.根据《UCP600》的解释,开证行开立的信用证不会是()。

A.可撤销信用证B.议付信用证C.跟单信用证D.转让信用证正确答案:A您的答案:本题解析:暂无解析7.汇票的抬头有三种填写方式,根据我国票据法规定,签发()的汇票无效。

2009年《国际商务单证员考试真题及答案》

2009年《国际商务单证员考试真题及答案》

一、单项选择题(每小题1 分,共40 分。

单项选择题的答案只能选择一个,多选不得分,请在答题卡上将相应的选项涂黑)1.以下有关发盘表述错误的是()。

A.畅销货一般发盘的有效期较短B.滞销货一般发盘的有效期较长C.市场价格变动剧烈的商品一般发盘的有效期较长D.贸易术语与运输、保险的逻辑关系要一致2.唛头一般不包括以下哪项内容()。

A.收货人简称或代号B.参考号C.件号D.装运港3.对产地和报关地相一致的出境货物,经检验检疫合格的,出具()。

A.《出境货物通关单》B.《出境货物换证凭单》C.《出境货物换证凭条》D.《出境货物不合格通知单》4.一般出口商品应在出口报关或装运前()天报检。

A.3 B.5C.7 D.95.下列哪种单证不是在所有出口报检时都要提供的单证()。

A.信用证B.商业发票C.合同D.出境货物报检单6.根据《UCP600》的规定,开证行的合理审单时间是收到单据次日起的()个工作日之内。

A.5 B.6C.7 D.87.“单单一致”的纵审时,以()为中心。

A.保险单B.商业发票C.海运提单D.装箱单8.下列哪项不属于“正确”制单要求的“三相符”?()A.单据与信用证相符B.单据与货物相符C.单据与单据相符D.单据与贸易合同相符9.装货港和卸货港的表示方法,发票、产地证、海关发票等单据的这两部分内容的表达方法较简单,一般按()。

A.托运人的意愿填B.合同和信用证价格条款以及实际情况填C.买方的意愿填D.开证行的意愿填10.出口退税申报时间是报关单上注明的出口日期起()天内。

A.60 B.90C.120 D.18011.当L/C 规定INVOICE TO BE MADE IN THE NAME OF ABC…,应理解为()。

A.一般写成××(中间商)FOR ACCOUNT OF ABC(实际购货方,真正的付款人)B.将受益人ABC 作为发票的抬头人C.议付行ABC 作发票的抬头D.将ABC 作为发票的抬头人12.根据联合国设计推荐使用的用英文字母表示的货币代码,如下表示不正确的是()。

国际商务单证员《国际商务单证缮制与操作》模拟试题和详解(一)

国际商务单证员《国际商务单证缮制与操作》模拟试题和详解(一)

2016年国际商务单证员《国际商务单证缮制与操作》模拟试题及详解(一)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。

(36分)1.合同资料This contract is made by and between the Sellers and Buyers, whereby the sellers agree to sell and the buyers agree to buy the under-mentioned goods according to the conditions stipulated below:(5)Packing:8pc Double Offset Ring SpannerPacked in 1 plastic carton of 16 sets each;9pc Extra Long Hex Key Set,12pc Combination Spanner, 10pc Combination Spanner Packed in 1 plastic carton of 10 sets each;12pc Double Offset Ring SpannerPacked in 1 plastic carton of 8 sets each.Packed in THREE 40’ CONTAINER(6)Delivery From TIANJIN,CHINA to BARCELONA,SPAIN(7)Shipping marks MAMUTBARCELONAC/NO.1-UP(8)Time of Shipment: Latest Date Of Shipment Sept.10,2011(9)Partial Shipment: Allowed(10)Transshipment: Not Allowed(11)Terms of Payment: By 100% Confirmed Irrevocable Letter of Credit to beavailable at 60 days after sight draft to be opened by the sellers.L/C must mention this contract number L/C advised by BANK OF CHINA TIANJIN BRANCH. All banking Charges outside China(the mainland of China)are for account of Drawee.(12)Arbitration: Any dispute arising from the execution of or in connection with contract shall be settled amicably through negotiation. In case no settlement can be reached through negotiation, the case shall then be submitted to China International Economic & Trade Arbitration Commision in Tianjin (or in Beijing)for arbitration in accordance with its arbitration rules The arbitration award is final and binding upon both parties. The fee for arbitration shall be borne by losing party unless otherwise awarded.The Seller: The Buyer:TIANJIN TOOL IMPORT & EXPORT CO.,LTD MAMUT ENTERPRISESAV2.信用证资料经审核信用证后存在的问题如下:答:本题主要考察受益人根据合同和《UCP600》条款对信用证的审核。

2006年国际商务单证员《国际商务单证基础理论与知识》真题及详解

2006年国际商务单证员《国际商务单证基础理论与知识》真题及详解

2006年国际商务单证员《国际商务单证基础理论与知识》真题及详解一、单项选择题(每题1分,共35分。

单项选择题的答案只能选择一个,多选作废,请在答题卡上将相应的选项涂黑)1.信用证修改书的内容在两项以上时,受益人()。

A.要么全部接受,要么全部拒绝B.必须全部拒绝C.必须全部接受D.只能部分接受【答案】A【解析】信用证在修改时,如果修改内容在两项以上,受益人只能全部接受或全部拒绝,不允许部分接受。

2.信用证未规定交单期,出口商交单应在信用证有效期内但不得晚于提单签发日后()。

A.5天B.10天C.15天D.21天【答案】D【解析】信用证如未规定交单期,银行将拒收迟于运输单据出单日期21天后提交的单据,但无论如何,单据也不得迟于信用证到期日提交。

3.创造“套合一致”单据形式的国家是()。

A.美国B.英国C.瑞典D.日本【答案】C【解析】瑞典是最早进行单据简化工作的国家,于1975年创造了“套合一致”的单据形式。

★4.根据《2000通则》的解释,FOB和FCA的主要区别是()。

A.适合的运输方式不同B.办理出口手续的责任方不同C.办理进口手续的责任方不同D.负责订立运输合同的责任方不同【答案】A【解析】FOB与FCA主要有两点区别:①FOB以货物在装运港越过船舷为风险分界点,而FCA以货物在指定地点交给承运人为风险分界点;②FOB仅适用于海洋或内河运输,而FCA 适用于任何运输方式。

说明:按照最新版《2010通则》,FOB术语下,买卖双方风险划分界限为货物装上船后。

5.《1932年华沙-牛津规则》只对下列哪个贸易术语给予详细的规定?()A.FOBB.CFRC.CIFD.FCA【答案】C【解析】《1932年华沙-牛津规则》由国际法协会专门为解释CIF术语而制定,对CIF 买卖合同的性质作了说明,并具体规定了在CIF合同中买卖双方所承担的费用、责任和风险。

6.使用循环信用证的目的在于简化手续和减少开证押金,这种信用证一般适用于()。

国际商务单证缮制与操作模式试题(二)

国际商务单证缮制与操作模式试题(二)

国际商务单证缮制与操作模式(二)国际商务单证缮制与操作模式(二)一、单选题(共20题,共40分)1.根据海关法规定,滞报金的日征收金额为进口货物的完税价格的( )。

A.0.5%B.0.05%C.5%D.50%2.报关单位是指办理了( )手续,取得办理进出口货物报关资格的境内法人。

A.工商注册登记B.税务登记C.企业主管部门登记D.海关报关注册登记3.某纺织品进口公司在国内购一批坯布运出境印染,复运进境后委托服装厂加工成服装,然后回收出口。

前后两次出口适用的报关程序分别是:()A.暂准出境和一般出口B.一般出口和进料加工C.出料加工和一般出口D.出料加工和进料加工4.请指出下列哪一项货物或物品不适用暂准进出口通关制度:()A.进口待转口输出的转口贸易货物B.在展览会中展示或示范用的进口货物、物品C.承装一般进口货物进境的外国集装箱D.来华进行文艺演出而暂时运进的器材、道具、服装等5.根据《中华人民共和国海关法》的规定,进口货物的收货人向海关申报的时限是:()A.自运输工具申报进境之日起7日内B.自运输工具申报进境之日起10日内C.自运输工具申报进境之日起14日内D.自运输工具申报进境之日起15日内6.郑州某企业使用进口料件加工的成品,在郑州海关办妥出口手续,经天津海关复核放行后装船运往美国。

此项加工成品复出口业务,除按规定已办理了出口手续外,同时,还要办理的手续的是:()A.境内转关运输手续B.货物过境手续C.货物登记备案手续D.出口转关运输手续7.某服装进出口公司自日本进口一批工作服,在向海关申报时,其报关单“贸易方式”栏应填报为:()A.一般贸易B.货样广告品C.货样广告品D.货样广告品B8.()是海关接受申报时给予报关单的编号。

A.预录入编号B.海关编号C.备案号D.项号9.英国生产的产品,中国购自新加坡,经香港转运至中国,填写报关单时起运地为()A.英国B.新加坡C.香港D.不用填写10.报关单备注栏目应该选填下列哪项内容。

2009年国际商务单证缮制与操作真题参考答案

2009年国际商务单证缮制与操作真题参考答案

2009年国际商务单证缮制与操作真题参考答案一.根据合同审证,指出不符之处并提出修改意见(共36分)(备注:如果写成“XX行错,应该改为XXXXX”,也给全分)1.31C: 开证日期比合同规定晚了半个月;(2 分)2.31D: 有效期规定为“090202”与合同规定不符;(1 分)应改为“090215”;(1 分)3.31D:到期地点“SPAIN”与合同规定不符;(1 分)应改为“CHINA”;(1 分)4.59: 受益人名称与合同规定不符;(1 分)应改为“SHANDONG YIHAI IMPORT AND EXPORT CO.,LTD”;(1 分)5.32B: 货币名称与合同规定不符;(1 分)应改为“USD”;(1 分)6.42C: 汇票付款期限与合同规定不符;(1 分)应改为“AT SIGHT”;(1 分)7.42A: 汇票付款人为开证申请人不妥;(1 分)应改为“BANCO SANTANDER, S.A”;(1 分)8.43P: 不允许分批与合同规定不符;(1 分)应改为“ALLOWED”;(1 分)9.43T: 不允许转运与合同规定不符;(1 分)应改为“ALLOWED”;(1 分)10.44F: 目的港与合同规定不符;(1 分)应改为“BARCELONA”;(1 分)11.44C: 最迟装运期与合同规定不符;(1 分)应改为“090131”;(1 分)12.45A: 合同号与合同规定不符;(1 分)应为“YH08039”;(1 分)13.45A: 数量与合同规定不符;(1 分)应分别改为“BLACK COLOUR/5000PCS”和“BROWN COLOUR/8000PCS”;(1 分)14.45A: 每箱的件数不符;(1 分)应为“500PCS/CTN”;(1 分)15.46A: 海运提单的运费项目不符;(1 分)应为“Freight Collect”;(1 分)16. 46A: 要求提供保险单与FOB 术语不符;(1 分)应要求取消;(1 分)17.71B: 所有的费用由受益人负担不妥;(1 分)应改为“ALL CHARGES OUTSIDE SPAIN ARE TO BE BORN BY BENEFICIARY ”;(1 分)18.48: 交单期规定不合适;(1 分)应改为“WITHIN 15 DAYS AFTER THE DATEOF SHIPMENT”;(1 分)二.根据已知资料指出下列单据中错误的地方:(共24分)(如果学生只是指出错误不改正,不给分,必须修改)1.一般原产地证(12 分)⑴.Exporter 栏应填写“NANJING JINLING TEXTILE CO., LTD.UNIT A 18/F,JINLING TOWER,NO. 118 JINLING ROAD, NANJING, CHINA”(1 分)⑵.Consignee 栏应填写“DEXICA SUPERMART S.A.BOULEVARD PACHECO 44 B-1000BRUSSELS, BELGIUM” (1 分)⑶.Means of transport and route 栏应填写“FROM NINGBO PORT, CHINA TO BRUSSELS, BELGIUM (1 分) BY SEA”(1 分)⑷.Country/region of destination 栏应填写“BELGIUM”(1 分)⑸.Marks and Numbers 栏应填写“N/M” (1 分)⑹.Number and kind of packages 应填写“PACKED IN(108) ONE HUNDRED AND EIGHT CARTONS ONLY.”; (1 分)description of goods 应填写“GIRLS GARMENTS” (1 分)⑺.Quantity 栏应填写“10800(1 分) PCS”(1 分)⑻.Number and date of invoices 栏应填写“NJT090218-09(1 分)APR.10,2009”(1 分)2.保险单(12 分)⑴信用证号(L/C NO.) 栏应填写“CMKK9180205” (1 分)⑵标记MARKS&NOS 栏应填写“N/M” (1 分)⑶包装及数量QUANTITY 栏应填写“10800PCS”(1 分)⑷保险货物项目DESCRIPTION OF GOODS 栏应填写“GIRLS GARMENTS” (1 分)⑸保险金额AMOUNT INSURED栏应填写“USD59400.00”(1分)⑹总保险金额 TOTAL AMOUNT INSURED 栏应填写:“US DOLLARS FIFTY NINE THOUSANDS FOUR HUNDRED ONLY”(1 分)⑺启运日期DATE OF COMMENCEMENT 栏应填写:“APR.19,2009” (1 分)⑻自From 栏应填写:“NINGBO PORT CHINA” (1 分)⑼承保险别CONDITIONS 栏应填写:“All Risks and War Risks” (1 分)⑽赔款偿付地点CLAIM PAYABLE AT 栏应填写:“BRUSSELS IN USD” (1 分)⑾出单日期ISSUING DATE 应早于装期2009.04.19(1 分)⑿应由中国人民保险公司江苏省分公司签发保险单(1 分)三.缮制出口单据(每单8分,共40分)1.质量证明DALIAN TAISHAN SUITCASE & BAG CO., LTD.66 ZHONGSHAN ROAD DALIAN 116001, CHINATEL:0086-0411-********QUALITY CERTIFICATE (1 分)AUG.23,2008 之前的一个日期都可以(1 分)INVOICE NO. TSI0801005(1 分) 或者: L/C:N5632405TH11808DATE: AUG.5,2008(1 分) DATE:JUL.15,2008TO WHOM IT MAY CONCERN: (1 分)WE HEREBY CERTIFY THAT THE COMMODITY IS IN GOOD ORDER. (1 分)DALIAN TAISHAN SUITCASE & BAG CO., LTD. (1 分)张平(1 分)(备注:如果将张平写成英文或者“XXX”也给全分)(2)商业发票TOTAL VALUE IN WORDS: SAY U.S.DOLLARS TWENTY TWO THOUSAND FOUR HUNDRED AND TWENTY TWO ONLY(0.5 分)WE HEREBY CERTIFY THAT THE CONTENTS IN THIS INVOICE ARE TRUE AND CORRECT. (0.5 分)DALIAN TAISHAN SUITCASE & BAG CO., LTD.张平(0.5 分)(备注:如果将张平写成英文或者“XXX”也给全分)一、根据合同内容审核信用证,指出不符之处并提出修改意见。

国际商务单证缮制与操作真题2007年解析

国际商务单证缮制与操作真题2007年解析

国际商务单证缮制与操作试题(A) 一、根据合同审核信用证三、根据已知资料改正下列单据中错误的地方(二)补充资料:发票号码:761N-C001,发票日期:2006年9月8日提单号码:NSD220055,提单日期:2006年12月5日船名:FENGLEI V.66026H 装运港:青岛港集装箱:2×20'FCL CY/CY 出口口岸:青岛海关TRIU 1764332 SEAL05003 合同号:HA1101KHLU1766888 SEAL 05004 SHIPPING MARKS(唛头)出口商:青岛华瑞贸易公司MQ净重:12.00KGS/CASE HA1101毛重:14.00KGS/CASE OSAKA尺码:(20×10×10)CM/CASE NOS1-3400四、根据已知资料制单(一)合同资料(二)补充资料发票号:ET335制作发票和装箱单的日期:05.04.10报检单位联系人:张敏电话:67678333船名:SPRING V.011,开船日:05.04.15集装箱数量和编号:3*40',APLU 1234501,1234502,1234503商品编码:8204.1100包装情况:Style 1018 10套装一纸箱每箱毛重12公斤净重10公斤体积0.2m3/箱1019 8套装一纸箱每箱毛重10公斤净重8公斤体积0.1m3/箱假定此货物属法定检验范围报检随附单据为合同、发票、装箱单托收银行:中国银行江苏分行船唛GREEN05SUG0012OSLOCTN.1/1125国际商务单证缮制与操作试题一、经审核信用证存在如下问题:1.开证时间过晚(合同要求在装运月前30天开到;信用证最迟装运期为10月31日,开证日为10月2日。

实践中如果真出现这种情况也属正常,但从理论上根据合同审核信用证则不可以)。

2.信用证大小写金额中的币别错误(不是HKD,应为美元—USD)。

2006年国际商务单证员《缮制与操作》真题-中大网校

2006年国际商务单证员《缮制与操作》真题-中大网校

2006年国际商务单证员《缮制与操作》真题总分:100分及格:60分考试时间:120分一、根据合同审核信用证(20分)(1)根据以下资料,回答问题。

(2)二、根据第一大题已经全部修改正确的信用证和以下补充资料,审核下列装箱单、提单和保险单,指出这些单据中的错误之处(30分)(1)根据以下资料,回答{TSE}题。

(2)(3)三、根据第一大题已经全部修改正确的信用证和第二大题的补充资料用英文制作商业发票、托运委托书和产地证(50分)(1)根据以下资料,回答{TSE}题。

(2)(3)答案和解析一、根据合同审核信用证(20分)(1) :(2) :二、根据第一大题已经全部修改正确的信用证和以下补充资料,审核下列装箱单、提单和保险单,指出这些单据中的错误之处(30分)(1) :装箱单(1)单据名称应为“Assortment List”而不是“Packing List”。

解析:包装单据是记载或描述商品包装情况的单据,是商业发票的补充。

包装单据种类较多,根据不同商品有不同的包装单据。

本题中,根据装箱单记载情况,单据名称应为花色搭配单(Assortment List)。

(2)信用证号应去掉不填。

解析:信用证规定所有单据不得显示L/C号(ALL DOCS MUST NOT SHOW THIS L/C NO,),此装箱单上显示L/C号,应该去掉不填。

(3)货物名称有误,应按修改后的信用证填写,应将“LADIES SHIRTS”修改为“LADIES SKIRTS”。

解析:货物名称应与合同和信用证相符,装箱单中货物名称应按修改后的信用证填写,而不能照着原先错误的信用证填写。

(4)箱号第一栏1—240右边的箱数填写错误,应将“200”修改为“240”。

解析:根据补充资料,一共是740箱,按照箱号和其他两种的箱数可推算出第一种商品是240箱。

所以花色搭配单箱数(CTNS)一栏应填写240,而不是200。

在填写箱数一栏时,必须注意应和此栏左边的箱号一栏相对齐,并且不得有误。

09年单证员考试操作部分真题与答案

09年单证员考试操作部分真题与答案

2009年国际商务单证缮制与操作试题一、根据合同容审核信用证,指出不符之处并提出修改意见。

(本题共 36 分)SALES CONTRACTTHE SELLER: SHANDONG YIHAI IMP. & EXP. CO.,LTD. NO. YH08039DATE: DEC.1, 2008NO. 51 JINSHUI ROAD, QINGDAO, CHINA SIGNED AT: QINGDAO,CHINA THE BUYER:LINSA PUBLICIDAD, S.A.VALENCIA, 195 BAJOS. 08011. BARCELONA, SPAINThis Sales Contract is made by and between the Sellers and the Buyers, whereby the sellers agree to sell and the buyers agree to buy the under-mentioned goods according to the terms and conditions stipulated below:Loading Port and Destination: FROM QINGDAO TO BARCELONA Partial Shipment and Transshipment: ALLOWED Insurance: TO BE EFFECTED BY THE BUYER.Terms of Payment: THE BUYER SHALL OPEN THROUGH A BANK ACCEPTABLE TOTHE SELLER AN IRREVOCABLE SIGHT LETTER OF CREDIT TO REACH THE SELLER 30 DAYS BEFORE THE MONTH OF SHIPMENT AND TO REMAIN VALID FOR NEGOTIATION IN CHINA UNTIL THE 15th DAY AFTER THE FORESAID TIME OF SHIPMENT.ISSUE OF DOCUMENTARY CREDIT27: SEQUENCE OF TOTAL :1/140A: FORM OF DOC.CREDIT :IRREVOCABLE 20: DOC.CREDIT NUMBER :103CD137273 31C: DATE OF ISSUE :08121540E: APPLICABLE RULES :UCP LATEST VERSION31D: DATE AND PLACE OF EXPIRY :DATE 090202 PLACE IN SPAIN 51D:APPLICANT BANK :BANCO SANTANDER, S.A.28660 BOADILLA DEL BARCELONA, SPAIN50: APPLICANT :LINSA PUBLICIDAD, S.A.VALENCIA, 195 BAJOS. 08011. BARCELONA, SPAIN59: BENEFICIARY :SHANDONG YIHAN IMP. & EXP. CO., LTD.NO. 51 JINSHUI ROAD, QINGDAO, CHINA32B: AMOUNT :CURRENCY EUR AMOUNT 19250.0041A:AVAILABLE WITH…BY ANY BANK IN CHINA BY NEGOTIATION 42C:DRAFTS AT… 30 DAYS AFTER SIGHT 42A:DRAWEE :LINSA PUBLICIDAD, S.A. 43P:PARTIAL SHIPMTS :NOT ALLOWED 43T:TRANSSHIPMENT :NOT ALLOWED44E:PORT OF LOADING :ANY CHINESE PORT 44F:PORT OF DISCHARGE :VALENCIA, SPAIN 44C:LATEST DATE OF SHIPMENT :09011545A:DESCRIPTION OF GOODSGOODS AS PER S/C NO. YH08036 DATED ON DEC. 1, 2008CARDHOLDER DYED COW LEATHERBLACK COLOUR/8000PCS AT USD1.45/PC FOB QINGDAOBROWN COLOUR/5000PCS AT USD1.50/PC FOB QINGDAOPACKING: 200PCS/CTN46A:DOCUMENTS REQUIRED1. SIGNED COMMERCIAL INVOICE IN 3 COPIES2. CERTIFICATE OF ORIGIN GSP FORM A ISSUED BY OFFICIAL AUTHORITIES3. PACKING LIST IN 3 COPIES4. FULL SET CLEAN ON BOARD BILLS OF LADING MADE OUT TO ORDER MARKEDFREIGHT PREPAID AND NOTIFY APPLICANT5. INSURANCE POLICY/CERTIFICATE IN DUPLICATE ENDORSED IN BLANK FOR110% INVOICE VALUE COVERING ALL RISKS AND WAR RISK AS PER CIC.47A: ADDITIONAL CONDITIONSBILL OF LADING ONLY ACCEPTABLE IF ISSUED BY ONE OF THE FOLLOWING SHIPPING COMPANIES: KUEHNE-NAGEL (BLUE ANCHOR LINE)VILTRANS (CHINA) INT’L FORWARDING LTD. OR VILTRANS SHIPPING (HK) CO., LTD.71B: CHARGES:ALL CHARGES ARE TO BE BORN BY BENEFICIARY48: PERIOD FOR PRESENTATION:WITHIN 5 DAYS AFTER THE DATE OF SHIPMENT, BUT WITHIN THE VALIDITY OF THIS CREDIT49: CONFIRMATION INSTRUCTION:WITHOUT经审核信用证需要修改的容如下:二、根据已知资料指出下列单据中错误的地方。

国际商务单证员《国际商务单证缮制与操作》模拟试题及详解(二)(圣才出品)

国际商务单证员《国际商务单证缮制与操作》模拟试题及详解(二)(圣才出品)

国际商务单证员《国际商务单证缮制与操作》模拟试题及详解(二)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。

(36分)1.合同资料This Contract is made by the Seller;whereby the Buyers agree to buy and the Seller agrees to sell the under-mentioned commodity according to the terms and conditions stipulated below:(1)COMMODITY:UNBLEACHED KRAET LINEBOARD.UNIT PRICE:USD390.00/PER METRIC TON,CFR BUSAN KOREATOTAL QUANTITY:100METRIC TONS,±10%ARE ALLOWED.PAYMENT TERM:BY IRREVOCABLE L/C90DAYS AFTER B/L DATE(2)TOTAL VALUE:USD39000.00(SAY U.S.DOLLARS THIRTY NINE THOUSANDONLY.***10%MORE OR LESS ALLOWED.)(3)PACKING:To be packed in strong wooden case(s),suitable for long distance ocean transportation.(4)SHIPPING MARK:The Seller shall mark each package with fadeless paint the package number,gross weight,measurement and the wording:“KEEP AWAYFROM MOUSTURE”,“HANDLE WITH CARE”,etc.and the shipping mark:ST09-016BUSAN KOREA(5)TIME OF SHIPMENT:BEFORE OCTOBER02,2011(6)PORT OF SHIPMENT:MAIN PORTS OF CHINA(7)PORT OF DESTINATION:BUSAN,KOREA(8)INSURANCE:To be covered by the Buyer after shipment.(FOB Terms)(9)DOCUMENT:+Signed invoice indicating L/C No.and Contract No.+Full set(3/3)of clean on board ocean Bill of Lading marked“Freight to Collect”/“Freight Prepaid”made out to order blank endorsed notifying the applicant.+Packing List/Weight List indicating quantity/gross and net weight.+Certificate of Origin.+No solid wood packing certificate issued by manufacturer.(10)OTHER CONDITIONS REQD IN L/C:+All banking charges outside the opening bank are for beneficiary’s a/c.+Do not mention any shipping marks in your L/C.+Partial and transshipment allowed.(11)REMARKS:The last date of L/C opening:20August,2011.2.信用证资料(1)COMMERCIAL INVOICE IN3COPIES INDICATINC L/C NO.&CONTRACT NO.ST09-018(2)FULL SET OF CLEAN ON BOARD OCEAN BILL OF LADING MADE OUT TO ORDER AND BLANK ENDORSED,MARKED FREIGHT TO COLLECT,NOTIFYING THEAPPLICANT.(3)PACKING LIST/WEIGHT LIST IN3COPIES INDICATING QUANTITY/GROSS AND NET WEIGHTS(4)CERTIFICATE OF ORIGIN IN3COPIES+WE HEREBY UNDERTAKE THAT DRAFTSDRAWN UNDER AND IN COMPLY WITH THETERMS AND CONDITIONS OF THIS CREDITWILL BE PAID MATURITY.经审核信用证后存在的问题如下:答:经审核,信用证存在以下问题:1.信用证开证日期有误,晚于合同要求,应将“20110825”修改为2011年8月8日到2011年8月20日之间的某天。

2006年国际商务单证员《国际商务单证缮制与操作》真题及详解

2006年国际商务单证员《国际商务单证缮制与操作》真题及详解

2006年国际商务单证员《国际商务单证缮制与操作》真题及详解一、根据合同审核信用证(20分)售货确认书SALES CONFIRMATIONNO.LT07060DATE:AUG.10,2005The sellers: AAA IMPORT AND EXPORT CO. The buyers: BBB TRADING CO.222 JIANGUO ROAD P.O.BOX 203DALIAN,CHINA GDANSK,POLAND下列签字双方同意按以下条款达成交易:The undersigned Sellers and Buyers have agreed to close the following transactions according to the terms and conditions stipulated below:TOTAL USD45600.00 总值TOTAL VALUE:U.S.DOLLARS FORTY FIVE THOUSAND SIX HUNDRED ONLY.装运口岸PORT OF LOADING: DALIAN目的地DESTINATION:GDANSK转运TRANSSHIPMENT:ALLOWED分批装运PARTIAL SHIPMENTS:ALLOWED装运期限SHIPMENT:DECEMBER,2005保险INSURANCE:BE EFFECTED BY THE SELLERS FOR 110%INVOICE VALUE COVERING F.P.A.RISKS OF PICC CLAUSE付款方式PAYMENT:BY TRANSFERABLE L/C PAYABLE 60 DAYS AFTER B/L DATE,REACHING THE SELLERS 45DAYS BEFORE THE SHIPMENT一般条款GENERAL TERMS:1.合理差异:质地、重量、尺寸、花型、颜色均允许合理差异,对合理范围内差异提出的索赔,概不受理。

国际商务单证缮制与操作试卷二及答案

国际商务单证缮制与操作试卷二及答案

《国际商务单证缮制与操作》试卷二题目要求:根据下列信用证内容及相关资料缮制汇票(40分)和提单(60分)ISSUING BANK: CYPRUS POPULAR BANK LTD, LARNAKAADVISING BANK: BANK OF CHINA, SHANGHAI BRANCH.SEQUENCE OF TOTAL *27: 1/1FORM OF DOC. CREDIT *40A: IRREVOCABLEDOC. CREDIT NUMBER *20: 186/04/10014DA TE OF ISSUE 31C: 040105EXPIRY *31D: DATE 040229 PLACE CHINAAPPLICANT *50: LAIKI PERAGORA ORPHANIDES LTD.,020 STRATIGOU TIMAGIA A VE.,6046, LARNAKA,CYPRUSBENEFICIARY *59: SHANGHAI GARDEN PRODUCTS IMP.AND EXP. CO., LTD.27 ZHONGSHAN DONGYI ROAD, SHANGHAI,CHINAAMOUNT *32B: CURRENCY USD AMOUNT 6115.00A V AILABLE WITH/BY *41D: ANY BANKBY NEGOTIATIONDRAFT AT … 42C: AT SIGHTDRAWEE *42D: LIKICY2NXXX*CYPRUS POPULAR BANK LTD*LARNAKAPARTIAL SHIPMENT 43P: ALLOWEDTRANSSHIPMENT 43T: ALLOWEDLOADING IN CHARGE 44A: SHANGHAI PORTFOR TRANSPORT TO…. 44B: LIMASSOL PORTLATEST DATE OF SHIP. 44C: 040214DESCRIPT. OF GOODS 45A:WOODEN FLOWER STANDS AND WOODEN FLOWER POTSAS PER S/C NO. E03FD121.CFR LIMASSOL PORT, INCOTERMS 2000DOCUMENTS REQUIRED 46A:+COMMERCIAL INVOICE IN QUADRUPLICATE ALL STAMPEDAND SIGNED BY BENEFICIARY CERTIFYING THAT THEGOODS ARE OF CHINESE ORIGIN.+FULL SET OF CLEAN ON BOARD BILL OF LADING MADE OUTTO ORDER OF SHIPPER AND BLANK ENDORSED, MARKEDFREIGHT PREPAID AND NOTIFY APPLICANT.+PACKING LIST IN TRIPLICATE SHOWING PACKING DETAILSSUCH AS CARTON NO.S AND CONTENTS OF EACH CARTON.+CERTIFICATE STAMPED AND SIGNED BY BENEFICIARYSTA TING THAT THE ORIGIAL INVOICE AND PACKING LISTHA VE BEEN DISPATCHED TO THE APPLICANT BY COURIERSERVISE 2 DAYS BEFORE SHIPMENT.ADDITIONAL COND. 47A:+EACH PACKING UNIT BEARS AN INDELIBLE MARKINDICATING THE COUNTRY OF ORIGIN OF THE GOODS.+A USD50.00 DISCREPANCY FEE, FOR BENEFICIARY’SACCOUNT, WILL BE DEDUCTED FROM THE REIMBURSEMENTCLAIM FOR EACH PRESENTATION OF DISCREPANTDOCUMENTS UNDER THIS CREDIT.DETAILS OF CHARGES 71B: ALL BANK CHARGES OUTSIDE CYPRUS ARE FOR THEACCOUNT OF THE BENEFICIARY.PRESENTATION PERIOD 48: WITHIN 15 DAYS AFTER THE DATE OF SHIPMENT BUTWITHIN THE V ALIDITY OF THE CREDIT. CONFIRMATION *49: WITHOUTINSTRUCTION 78: ON RECEIPT OF DOCUMENTS CONFIRMING TO THETERMS OF THIS DOCUMENTARY CREDIT, WE UNDERTAKE TOREIMBURSE YOU IN THE CURRENCY OF THE CREDIT INACCORDANCE WITH YOUR INSTRUCTIONS, WHICH SHOULDINCLUDE YOUR UID NUMBER AND THE ABA CODE OF THERECEIVING BANK.相关资料:发票号码:04SHGD3029 发票日期:2004年2月9日提单号码:SHYZ042234 提单日期:2004年2月12日集装箱号码:FSCU3214999 集装箱封号:12953121x20’FCL, CY/CY船名:LT USODIMARE航次:V. 021W木花架,WOODEN FLOWER STANDS, H.S.CODE: 44219090.90,QUANTITY:350PCS, USD8.90/PC, 2pcs/箱, 共175箱。

国际商务单证员(单证操作与缮制)模拟试卷2(题后含答案及解析)

国际商务单证员(单证操作与缮制)模拟试卷2(题后含答案及解析)

国际商务单证员(单证操作与缮制)模拟试卷2(题后含答案及解析) 题型有:1. 审核信用证 3. 改错4. 制单根据合同审核信用证(本题20分)1.2006年10月31日上海市纺织品公司收到创鸿(香港)有限公司通过香港南洋银行开来的编号为L8959344的信用证,请根据双方签订的合同(CONTRACT NO: GL0082)对信用证进行审核,指出信用证存在的问题并作出修改。

THE NEGOTIATION BANK MUST FORWARD THE DRAFTS AND ALL DOCUMENTS BY REGISTERED AIRMAIL DIRECT TO US(NANYANG COMMERCIAL BANK, LTD. WESTERN DISTRICT BILLS CENTER 128 BONHAM STRAND E. HONG KONG) IN ONE LOTS, UPON RECEIPT OF THE DRAFTS AND DOCUMENTS IN ORDER, WE WILL REMIT THE PROCEEDS AS INSTRUCTED BY THE NEGOTIATING BANK. TRAILER: ORDER IS <MAC:><PAC:><ENG:><CHK:><PDE:>MAC: 3CDFF763 CHK: 8A1AA1203070 此信用证有如下错误:正确答案:1.信用证的性质不符合合同的要求,应将信用证可撤销(revocable)和不保兑(without confirmation)改为不可撤销(Irrevocable)和保兑(confirmed)信用证。

2.议付地.到期地均为香港(HONG KONG),应改为上海(SHANGHAI)议付银行NANYANG COMMERCIAL BANK,LTD. H. K. 应改为国内银行。

3.汇票的付期限不符,应将at 20 day’s sight,改为at sight 4.转船规定与合同规定不符,应将TRANSSHIPMENT PROHIBITED改为TRANSSHIPMENT ALLOWED。

2009年国际商务单证员(单证操作与缮制)真题试卷(题后含答案及解析)

2009年国际商务单证员(单证操作与缮制)真题试卷(题后含答案及解析)

2009年国际商务单证员(单证操作与缮制)真题试卷(题后含答案及解析)题型有:1. 审核信用证 2. 制单一、根据合同审核信用证(本题20分)1.根据合同内容审核信用证,指出不符之处并提出修改意见Packing: 1PC/POL YBAG, 500PCS/CTNShipping Mark: L. P.Time of Shipment: DURING JAN. 2009 BY SEA BARCELONANOS. 1-26 Loading Port and Destination: FROM QINGDAO TO BARCELONA Partial Shipment and Transshipment: ALLOWED Insurance: TO BE EFFECTED BY THE BUYER Terms of Payment: THE BUYER SHALL OPEN THROUGH A BANK ACCEPTABLE TO THE SELLER AN IRREVOCABLE SIGHT LETTER OF CREDIT TO REACH THE SELLER 30 DAYS BEFORE THE MONTH OF SHIPMENT AND TO REMAIN V ALID FOR NEGOTIATION IN CHINA UNTIL THE 15th DAY AFTER THE FORESAID TIME OF SHIPMENT ISSUE OF DOCUMENTARY CREDIT27 :SEQUENCE OF TOTAL: 1/1 40A: FORM OF DOC. CREDIT : IRREVOCABLE 20: DOC. CREDIT NUMBER: 103CD137273 31C: DATE OF ISSUE: 081215 40E: APPLICABLE RULES :UCP LATEST VERSION 31D: DATE AND PLACE OF EXPIRY: DATE 090202 PLACE IN SPAIN 51D: APPLICANT BANK: BANCO SANTANDER, S. A. 28660 BOADILLA DEL BARCELONA, SPAIN 50: APPLICANT:LINSA PUBLICIDAD, S. A. V ALENCIA, 195 BAJOS. 08011. BARCELONA, SPAIN 59: BENEFICIARY: SHANDONG YIHAN IMP. &EXP. CO. , LTD. No. 51 JINSHUI ROAD, QINGDAO, CHINA 32B: AMOUNT:CURRENCY EUR AMOUNT 19250.00 41A: A V AILABLE WITH...BY ANY BANK IN CHINA BY NEGOTIATION 42C: DRAFTS AT... 30 DAYS AFTER SIGHT 42A: DRAWEE: LINSA PUBLICIDAD, S. A. 43P: PARTIAL SHIPMTS: NOT ALLOWED 43T: TRANSSHIPMENT: NOT ALLOWED 44E: PORT OF LOADING: ANY CHINESE PORT 44F: PORT OF DISCHARGE: V ALENCIA, SPAIN 44C: LATEST DATE OF SHIPMENT: 090115 45A: DESCRIPTION OF GOODS GOODS AS PER S/C No. YH08036 DATED ON DEC. 1, 2008 CARDHOLDER DYED COW LEATHER BLACK COLOUR/8000PCS AT USD1.45/PC FOB QINGDAO BROWN COLOUR/5000PCS AT USD1.50/PC FOB QINGDAO PACKING: 200PCS/CTN 46A: DOCUMENTS REQUIRED 1. SIGNED COMMERCIAL INVOICE IN 3 COPIES 2. CERTIFICATE OF ORIGIN GSP FORM A ISSUED BY OFFICIAL AUTHORITIES 3. PACKING LIST IN 3 COPIES 4.FULL SET CLEAN ON BOARD BILLS OF LADING MADE OUT TO ORDER MARKED FREIGHT PREPAID AND NOTIFY APPLICANT 5.INSURANCE POLICY/CERTIFICATE IN DUPLICATE ENDORSED IN BLANK FOR 110% INVOICE V ALUE COVERING ALL RISKSAND WAR RISK AS PER CIC 47A: ADDITIONAL CONDITIONS BILL OF LADING ONLY ACCEPTABLE IF ISSUED BY ONE OF THE FOLLOWING SHIPPING COMPANIES: KUEHNE-NAGEL (BLUE ANCHOR LINE) VILTRANS (CHINA) INT’L FORWARDING LTD. OR VILTRANS SHIPPING (HK) CO., LTD. 71B: CHARGES: ALL CHARGES ARE TO BE BORN BY BENEFICIARY 48: PERIOD FOR PRESENTATION: WITHIN 5 DAYS AFTER THE DATE OF SHIPMENT, BUT WITHIN THE V ALIDITY OF THIS CREDIT 49: CONFIRMATION INSTRUCTION: WITHOUT 经审核该信用证需要修改的内容如下:正确答案:1.31C:开证日期比合同规定晚了半个月;如来不及装运可要求延展装期和有效期。

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* DRAWEE 汇票付款人 (2009)
* S/C NO. 合同号 (2009)
* FOR TRANSPORTATION TO 货物发送最终地 (2009)
2007年(10分)海运货物委托书、海运出口托运单、海运提单、投保单、保险单、出境货物报检单、商检证书、通关单、出口报关单、商品发票、装箱单
五、根据买方订单及相关资料缮制形式发票
2008年(24分)
审核的单证种类汇总
商业发票 (1) 装箱单 (1) 海运提单 (2)
装箱单
写错单据名称 多写规定不得注明的资料
写错商品的名称 写错商品的包装件数
写错运输标志
1
2006年-2009年《国际商务单证缮制与操作试题》分析
写错毛重 写错尺码
写错运费支付 写错签发的时间和地点
漏写集装箱资料 缺少签章
写错商品的名称 漏写提单的份数
商业发票
漏写信用证号 写错运输标志
写错贸易术语 写错金额
大小写不一
* BENEFICIARY 受益人的名称 (2008、2009)
* LOADING IN CHARGE 装运港 (2006、2008)
* DESCRIPTION OF GOODS 商品名称 (2006、2008)
* DESCRIPTION OF GOODS 商品规格 (2006、2008)
* UNIT PRICE 单价的单位 (2006、2008)
* MARGIN FOR INSURANCE 投保加成 (2006、2007)
* LATEST OF SHIPPMENT 最迟装运期 (2007、2008、2009)
* APPLICANT 开证申请人的地址 (2007、2008)
* DATE AND PLACE OF EXPIRY有效期和有效地点 (2006、2009)
漏写要注明的事项 漏写签章
出口收汇核销单
漏写出口单位 写错出口币种总价
写错收汇方式 写错收汇时间
写错报关日期 写错商品数量
写错包装数量及单位 写错商品的名称
写错保险金额和币种 保险金额的大小写不一致
写错启运日期 写错装运港和目的港的名称
漏写转运港 写错运输工具
保险单 (2) 出口收汇核销单 (1) 一般原产地证 (1)
缮制的单证种类汇总
商业发票 (3) 装箱单 (2) 汇票 (2)
海运提单 (1) 普惠制产地证 (2) 一般原产地证 (1)
* TRANSSHIPMENT 转运 (2008、2009)
* FORM OF DOC. CREDIT 跟单信用证形式 (2006)
* DATE OF ISSUE 开证日期 (2009)
写错承保险别 写错赔款偿付地点
写错保险单的签发人 把出单日期写成晚于装运日期
漏写被保险人
海运提单
写错托运人、收货人、通知人的名称和地址 写错装运港和目的港
写错唛头 写错包装件数的数量及单位
写错件数 漏写结束符号
写错数量单位 写错发票号码、日期
保险单
写错信用证号 无唛头漏写N/M
* UNIT PRICE 单价的币种 (2007、2008、2009)
* DRAFT AT 汇票期限 (2007、2008、2009)
* FREIGHT 运费 (2007、2008、2009)
* TRADE TERM 贸易术语 (2008)
* AMOUNT 总金额 (2008)
* PACKING 包装 (2008)
《国际商务单证缮制与操作试题》题型及各题分值
一、审核信用证
2006年(20分) 2007年(20分) 2008年(36分) 2009年(36分)
二、审核单据
2006年(30分)装箱单、海运提单、保险单
2007年(30分)海运提单、商业发票、出口收汇核销单
2009年(24分)一般原产地证、保险单
* QUANTITY 数量 (2009)
* PACKAGE 件数 (2009)
* COVERAGE 保险险别 (2006)
* SHIPPING MARKS运输标志 (2006)
* CHARGE 费用 (2009)
* PERIOD OF PRESENTATION 交单期限 (2009)
* INSURANCE POLICY 保险单 (2009)
* SOFT CLAUSE (2007)
报检单 (1) 托运委托书 (1) 质量证明 (1)
受益人证明证明 (1)
审核信用证中出现的错误
* PARTIAL SHIPMENT 分批装运 (2006、2007、2008、2009)
审核单据中出现的错误
产地证
把进出口商名称写反 漏写国别
写错装运港和目的港的名称 写错运输方式
漏写运输方式 把目的国错写成出口国
无唛头漏写N/M 写错商品名
1
三、缮制单据
2006年(50分)商业发票、托运委托书、一般原产地证
2007年(40分)报检单、汇票、装箱单
2008年(40分)商业发票、海运提单、汇票、普惠制产地证
2009年(40分)质量证明、商业发票、装箱单、普惠制产地证、受益人证明
四、请写出在CIF合同履行中,出口人涉及的部分单据的出单机构
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