08年单证员考试

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2008年全国国际货运代理从业人员岗位专业证书考试答案详解

2008年全国国际货运代理从业人员岗位专业证书考试答案详解

2008年全国国际货运代理从业人员岗位专业证书考试国际货代业务试卷Ⅰ(考试时间:9:00一10:10)一、单项选择题(每题0.5分,共18分。

单项选择题的答案只能选择一个,多选不得分)1.我国某货主委托货运代理人安排货物出口事宜,由于货主所提供的货物资料不清晰,造成货运代理人在办理货物出口申报时资料被退回,影响了货物的正常出运。

为此造成货主的损失,应当由()承担。

A.货运代理人B.报关行C.船公司D.货主【答案】D【解析】根据我国有关法律法规和业务活动实践操作,货运代理人经被代理人授权,在该授权范围内,以被代理人的名义从事代理行为时,所产生的法律后果由被代理人承担。

本题由于货主所提供的货物资料不清楚影响货物的正常出运,货主应自己承担相应损失。

2.根据中国国际货运代理协会制定的标准交易条件的规定,货运代理公司对货物迟延引起的索赔,如根据标准交易条件无法免责,其赔偿限额为迟延货物所收取运费的()。

A.1倍B.1.5倍C.2倍D.2.5倍【答案】A【解析】中国国际货运代理协会标准交易条件对货运代理责任限制做出如下两点规定:①货物灭失、损坏、错运、错交或因此产生索赔的货物,以其毛重量每千克2SDR计算;②因货物迟延引起的索赔,如根据标准交易条件无法免责,则赔偿限额为公司对迟延货物所收取的运费。

二、判定题(每题0.5分,共18分。

答案为“是”的,请在答题卡上涂“A”,答案为“否”的,请在答题卡上涂“B”。

两个都涂的不得分)37.在我国,国际货运代理企业既可以作为代理人从事国际货运代理业务,也可以作为独立经营人从事国际货运代理业务。

()【答案】A【解析】根据1998年外经贸部出台的《国际货物运输代理业治理规定实施细则》:“国际货运代理企业可以作为进出口货物收货人、发货人的代理人,也可以作为独立经营人,从事国际货运代理业务。

”三、多项选择题(每题1分,共15分。

多项选择题的答案多选、少选、错选均不得分)73.国际货运代理人所从事的业务范围非常广泛,通常为接受客户的委托,完成货物运输的某一个环节或与此有关的各个环节的任务,其服务对象有()。

全国国际货运代理从业人员岗位专业证书考试国际货代业务试卷I及参考答案

全国国际货运代理从业人员岗位专业证书考试国际货代业务试卷I及参考答案

2008年全国国际货运代理从业人员岗位专业证书考试国际货代业务试卷I及参考答案一.单项选择题(共18分)1. 我国某货主委托货运代理人安排货物出口事宜,由于货主所提供的货物资料不清楚,造成货运代理人在办理货物出口申报时资料被退回,影响了货物的正常出运。

为此造成货主的损失,应当由()承担。

A. 货运代理人B. 报关行C. 船公司D. 货主2. 根据中国国际货运代理协会制定的标准交易条件的规定,货运代理公司对货物迟延引起的索赔如根据标准交易条件无法免责,其赔偿限额为延迟货物所收取运费的()。

A. 1倍B. 1.5倍C. 2倍D.2.5倍3. 下列关于国际货运代理协会联合会的描述,不正确的是()A.是非营利性质的国际性货运代理行业组织B.是政府间的国际性货运代理行业组织C.维护国际货运代理人的利益,促进行业发展D.协调全球货运代理行业活动4. 在国际贸易中,由于交易的商品种类繁多,特点各异,表示品质的方法也不相同,概括起来说包括主要包括以实物约定表示和凭说明约定两大类。

下列()不属于凭说明表示商品品质的范畴。

A. 凭规格买卖B. 凭等级买卖C. 凭样品买卖D. 凭说明书和图样买5. 根据《UCP600》关于商业发票的规定,下列表述不正确的是()A. 表面看来系由受益人出具B. 须做成以申请人的名称为抬头C. 币种须与信用证规定币种相同D. 受益人必须签字6. 在国际贸易交易活动中,询价与发盘的本质区别主要体现为()A.询价对接受人有约束力,发盘对受盘人无约束力B.询价对接受人无约束力,发盘对受盘人有约束力C.询价对询价人有约束力,发盘对发盘人无约束力D.须价对询价人无约束力,发盘对发盘人有约束力7. 我国某公司向德国出口一批精致的工艺美术品,装于一个20英尺的集装箱,货物投保了中国人民保险公司海洋运输货物保险条款中的一切险,并加保战争险、罢工险。

根据保险条款的规定,保险人对货物()的损失不承担赔偿责任。

2008年单证员考试《国际商务单证缮制与操作》真题及答案

2008年单证员考试《国际商务单证缮制与操作》真题及答案

2008年单证员考试《国际商务单证缮制与操作》真题答案一、根据下述合同内容审核信用证,并指出不符之处。

(36分)1、受益人名称与合同卖方不符(合同是SHANGHAI SHENG DA CO.,LTD.,信用证SHANGHAI DA SENG CO.,LTD.)2、开证申请人的地址不符(合同是28, IMAMGONJ,信用证是26,IMAMGONJ)3、商品名称不符(合同是STEEL TAPE RULES,信用证是TAPE RULES)4、商品规格不符(合同是JH-392W和JH-380W,信用证是JH-395W和JH-386W)5、单价不符(合同是USD3.60/DOZ PAIR CFR CHITTAGONG和USD4.20/DOZ PAIRCFR CHITTAGON,信用证是HKD3.60 PER DOZEN CIF CHITTAGONG和HKD4.20 PER DOZEN CIF CHITTAGONG)6、总金额不符(合同是USD9,300.00,信用证是CURRENCY HKD AMOUNT 9800.00)7、包装不符(合同是In Cartons,信用证是PACKING: EXPORT STANDARD SEAWORTHYPACKING)8、装运期不符(合同是During May, 2008,信用证是LATEST DATE OF SHIPMET : MAY 2, 2008)9、装运港不符(合同是Shanghai,信用证是ANY CHINESE PORTS)10、分批和转运要求不符(合同是Partial Shipment and Transshipment are allowed.,信用证是PARTIAL SHIPMENT: NOT ALLOWED和TRANSSHIPMENT: NOT ALLOWED)11、合同用的是CFR术语,信用证要求受益人提交保险单不符12、CFR术语,提单上要求注明“FREIGHT COLLECT”不符13、付款期限不符(合同是Sight Letter of Credit,信用证DRAFTS AT 60 DAYS SIGHT)二、根据买方订单及相关资料缮制形式发票(24分)(12) DETAILS OF OUR BANK:BANK OF CHINA, SHANGHAI BRANCH,NO.4 Zhongshan road, Shanghai ,P.R.CHINASWIFT CODE: BKCHCNBJ530BENEFICIARY: SHANGHAI LUCKY SAFETY SCREENS CO., LTDACCOUNT NO: 1281 2242012 7091 015ADDRESS: UNIT C 2/F JINGMAO TOWER SHANGHAI ,CHINASHANGHAI LUCKY SAFETY SCREENS CO., LTD三、根据合同、信用证及补充资料缮制商业发票、海运提单、汇票及普惠制产地证FORM A(共40分)凭信用证号Drawn under industrial bank of Japan,ltd.,head office L/C NO.LC196107800日期按…. .息…. 付款Dated Oct.15,2007 Payable with interest @… .. % per annum号码汇票金额上海NO.YL71001Exchange for USD12630.00 Shanghai …DEC.05,2007……………见票…………………日后(本汇票之正本未付)付交At *** sight of this FIRST of Exchange (Second of Exchange being unpaid)Pay to the order of BANK OF CHINA,SHANGHAI BRANCH金额the sum of SAY US DOLLARS TWELVE THOUSAND SIX HUNDRED AND THIRTY ONLY此致To: INDUSTRIAL BANK OF JAPAN,HEAD OFFICESHANGHAI YILONG CO.,LTD.XXXSHANGHAI YILONG CO.,LTD.X X X.Shipper Insert Name, Address and PhoneSHANGHAI YILONG CO.,LTD.NO.91 NANING ROAD SHANGHAI ,CHINA.B/L No. TH14HK07596.Consignee Insert Name, Address and PhoneTO ORDER中远集装箱运输有限公司COSCO CONTAINER LINESNotify Party Insert Name, Address and Phone(It is agreed that no responsibility shall attach to the Carrier or his agents for failure to notify)ABC COMPANY1-3 MACHI KU STREET OSAKA ,JAPANPort-to-Port or Combined TransportBILL OF LADINGRECEIVED In external apparent good order and condition except as other- wise noted. The total number of packages or units stuffed in the container, the description of the goods and the weights shown in this Bill of Loading are furnished by the Merchants, and which the carrier has no reasonable means of checking and is not a part of this Bill of Loading contract. The carrier has issued the number of Bills of Lading stated below, all of this tenor and date, one of the original Bills of Lading must be surrendered and endorsed or sig- ned against the delivery of the shipment and whereupon any other original Bills of Lading shall be void. The Merchants agree to be bound by the terms And conditions of this Bill of Lading as if each had personally signed this Bill of Lading.SEE clause 4 on the back of this Bill of Lading (Terms continued on the back hereof, please read carefully)*Applicable Only When Document Used as a Combined Transport Bill of Lading.Combined Transport * Pre-carriage by Combined Transport * Place of ReceiptOcean Vessel Voy. No. KAOHSIUNG V.0707S .Port of LoadingSHANGHAI PORT.Port of Discharge OSAKACombined Transport * Place of DeliveryMarks & Nos. Container / Seal No.ABC OSAKA NOS.1-60C/N:SNBU7121820No. of Containers or Packages60 CARTONS Description of Goods (If Dangerous Goods, See Clause 20)CARDBOARD BOXCFS-CFSGross Weight Kgs2160.00KGSMeasurement33.000CBMP a r t i c u l a r s F u r n i s h e d b y M e r c h a n t sDescription of Contents for Shipper’s Use Only (Not Part of This B/L Contract).Total Number Of Containers and/or Packages (In Words) SAY SIXTY CARTONS ONLYFreight & Charges FREIGHT PREPAIDRevenue TonsRatePerPrepaidCollectEx Rate: Prepaid at Payable atSHANGHAI PORTPlace and date of Issue SHANGHAI,NOV 29,2007Total PrepaidNo. of Original B(s)/L THREESigned for the Carrier: COSCO CONTAINER LINESLADEN ON BOARD THE VESSEL DATE:NOV29,2007 BY KAOHSIUNG V.0707S COSCO CONTAINER LINES CNS01 0108895。

2008年国际商务单证员(单证基础理论与知识)真题试卷(题后含答案及解析)

2008年国际商务单证员(单证基础理论与知识)真题试卷(题后含答案及解析)

2008年国际商务单证员(单证基础理论与知识)真题试卷(题后含答案及解析)题型有:1. 单项选择题 2. 多项选择题 3. 判断题 4. 简答题 5. 计算题单项选择题40小题,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.航空公司的运价通常以“S”表示( )运价。

A.最低运价B.附减运价C.附加运价D.普通运价正确答案:C2.我出口新加坡一批货物共3万美元,分批交货,循环信用证支付,每期使用金额l万美元。

如合同规定,每期需等开证行通知到达,才能恢复到原金额继续使用,则这张信用证是( )。

A.非自动循环信用证B.半自动循环信用证C.自动循环信用证D.自动与非自动同时使用正确答案:A3.某外贸企业对以CFR报价,如果客户要求将货物交到某货运站指定承运人时,那么采用( )为宜。

A.FCAB.CIPC.CPTD.DDP正确答案:C4.我国是《万国邮政公约》的签约国之一,根据这一公约的规定,进出境邮递物品的“报税单”和“绿色标签”应随同物品通过( )或当事人呈递给海关。

A.报关企业B.国际货运代理公司C.邮政企业或快递公司D.收、发货人正确答案:C5.在商品和包装上不注明生产国的包装是( )。

A.中性包装B.无牌包装C.非使用包装D.使用包装正确答案:A6.进口生丝毛,计算重量的方法一般采用( )。

A.净重B.毛重C.公量D.理论重量正确答案:C7.根据《公约》规定,请指出下列发盘中符合发盘基本条件的发盘是( )。

A.货名、品质、数量B.货名、品质、价格C.货名、价格、支付方式D.货名、数量、价格正确答案:D8.某公司出口惠普电脑共l,000台,合同和信用证都规定不准分批装运。

装船时有30台包装破裂。

外观变形,不能出口。

根据《CP600》规定,只要货款不超过信用证总金额,交货数量可以有5%的增减。

据此,该公司发货时,可以装运( )。

A.1000台B.970台C.950台D.1050台正确答案:A9.按c组术语成交,货物启运后的风险由( )负担。

2008年全国国际货运代理从业人员岗位专业证书考试

2008年全国国际货运代理从业人员岗位专业证书考试

2008年全国国际货运代理从业人员岗位专业证书考试国际货代英语试卷Ⅰ【A卷】(考试时间: 14∶00—15∶00)注意事项一、国际货代英语由试卷Ⅰ和试卷Ⅱ两部分组成。

试卷Ⅰ为客观题,包括单项选择题、判断题、多项选择题、完型填空题。

试卷Ⅱ为主观题,包括英译汉、汉译英、英文单证操作题。

二、答题说明1. 请将自己的姓名、准考证号写在“答题卡”上方相应的位置上,并将每位准考证号码下相对应的数字框用2B铅笔涂黑。

涂卡方法见答题卡左上侧的说明。

2. 姓名、准考证号不写以及准考证号不涂或涂写不规范者,该答题卡作废。

3. 请将试卷Ⅰ的答案涂在“答题卡”上。

涂卡方法见答题卡左上侧的说明,使用其他符号答题无效。

写在试卷上的答案一律作废。

4. 请务必使用2B铅笔涂写答题卡,使用其他类型的笔涂卡,读卡器不能识别,答题卡记零分。

一、单项选择题(每题1分,共15分。

单项选择题的答案只能选择一个,多选不得分)1. The seller had made a sales contract undef the CFR term with the buyer, therefore the secope of freight forwarder s service on behalf of the buyer includes ( )A. arranging export customs clearanceB. booking space with the NVOCCC. arranging import customs clearanceD. booking space with the marine carrier2. According to INCOTERMS 2000, CPT means that the seller delivers the goods to the carrier nominated by the ( ) but the seller must in addition pay the cost of carriage necessary to bring the goods to the named destination.A. buyerB. sellerC. carrierD. forwarder3. Accor ding to UCP600, the term “middle” of a month in the letter of credit shall be construed as from the 11th to the 20th of the month and the term “first half” of a month shall be construed as ( ).A. from the 11th to the 20th of the monthB. from the 1st to the 15th of the monthC. from the 1st to the 10th of the monthD. from the 11th to the 21st of the month4. The risks covered in FPA coverage basically means that only total or constructive total loss of the whole consignment of cargo but no partial loss or damage is recoverable from the insurer resulting from natural calamities, such as ( ) , lightning, tsunami, earthquake and flood.A. salvage chargesB. general averageC. ship collisionD. heavy weather5. ( ) means that the shipowner provides a designated manned ship to the charterer, and the charterer employs the ship for a specific period against payment of hire.A. Voyage charteringB. Time charteringC. Bareboat charteringD. Contract of affreightment6. The bill of lading by itself is not a contract of carriage as it signed only by the carrier. However, it provides evidence of contract of carriage. It serves as a receipt for goods delivered to the carrier. Besides, the bill of lading serves as a document of title enabling the goods to be transferred from the shipper to the consignee or any other party by endorsement. The ( ) can not be transferred to the third parties by endorsement.A. shipped B/LB. clean B/LC. straight B/LD. order B/L7. The UCP published by the ( ) , contains detailed provisions dealing with the operation of documentary credit.A. CIFAB. FIATAC. BIMCOD. ICC8. The documents commonly used in carriage of goods by sea are bills of lading, sea waybills, manifests, booking notes and delivery orders etc. Most of these documents are signed by the carrier or his agent except ( ) .A. booking notesB. delivery ordersC. sea waybillsD. bills of lading9. Liner freight rates are fixed by liner operators; they are related more to the costs of operation and which remain comparatively steady over a period of time. The liner rates are also subject to surcharges or adjustment factors which may be levied from time to time in order to enable the shipping lines to meet certain price variations in their inputs such as ( ) , the bunker adjustment factor and port congestion surcharges.A. currency adjustment factorB. crew adjustment factorC. water adjustment factorD. administrative adjustment factor10. Which of the following modes of container transport may be FCL/FCL? ( )A. CY/CFSB. CY/CYC. CFS/CYD. CFS/CFS11. The CMR convention is the convention on contract for international carriage of goods by road, according to the CMR, the career is responsible for ( ).A. any wrongful act of the consignorB. inherent vice of the goodsC. neglect of the consignorD. omissions of carrier s servants12. Currently, different types of multimodal transport operations involving different combinations are taking place. ( ) is similar to the roll on, roll off system except that in the place of the ro ro vehicle a rail car is used so that geographically separated rail systems can be connected by the use of an ocean carrier.A. Sea/airB. Air/roadC. Sea/trainD. Piggyback13. ( ) is concerned with purchasing and arranging inbound movement of materials, parts, and/or finished inventory from suppliers to manufacturing or assembly plants, warehouses, or retail stores.A. Market distributionB. ProcurementC. Manufacturing supportD. Inventory14. Each air waybill may have over ten copies. They are sent to the shipper, the consignee, and various departments of the carrier. The copy marked ( ) is the copy that would normally be presented under a documentary credit.A. “Original 1”B. “Original 2”C. “Original 3”D. “Original 4”15. ( ) , “International Federation of Freight Forwarders Associations”, was founded in Vienna Austria on 31 May 1926.A. IFFFAB. IATAC. ICIFAD. FIATA二、判断题(每题1分,共15分。

[财经类试卷]2008年国际商务单证员(单证基础理论与知识)真题试卷及答案与解析

[财经类试卷]2008年国际商务单证员(单证基础理论与知识)真题试卷及答案与解析
(A)平安险+水渍险
(B)一切险+偷窃提货不着险
(C)平安险+一切险
(D)水渍险+偷窃提货不着险
20信用证项下,出口人开具的汇票,如遣付款人拒付时,( )。
(A)开证行有权行使追索权
(B)保兑行有权行使追索权
(C)议付行有权行使追索权
(D)付款行有权行使追索权
21我国法定的度量衡制度采用的是( )。
(B)To order of issuing bank
(C)To issuing bank
(D)To order
50信息流电子化的优势是拥有( )。
(A)电子通信平台
(B)网络信息资源
(C)国际贸易平台
(D)网络传播力
二、判断题
40小题,每小题0.5分,共20分。答案为“是”的,请在答题卡上涂A,答案为“否”的,请在答题卡上涂B。
(A)1000台
(B)970台
(C)950台
(D)1050台
9按c组术语成交,货物启运后的风险由( )负担。.
(A)卖方
(B)买方
(C)承运方
(D)保险公司
10一国外来证的有效期为2007年10月30 EI,最迟装运期为10月10日,如未规定装运日后交单的特定期限,而实际发运日期是10月1日。根据《UCP600》规定,最迟的交单期为( )。
(A)货物收据
(B)运输合同的证明
(C)物权赁
(D)无条件支付命令
13关于结汇单证,以下说法正确的是( )。
(A)结汇单证是指国际贸易中,为解决货币收付问题所使用的单据、证明和文件
(B)结汇单证就是托运单、包装单据、运输单据、保险单
(C)仅指国家外汇管理需要的单证一出口收汇核销单

2008全国外贸跟单员考试_实务操作试题(A卷)及答案

2008全国外贸跟单员考试_实务操作试题(A卷)及答案

2008外贸跟单操作实务试卷A 卷(含英语)一、出口跟单操作题(共计80分)根据以下业务背景资料,回答(一)~(五)题的相关问题。

福建明宇鞋帽进出口公司(简称“明宇公司”,下同),于2008年8月10日收到日本SOVSYOKU CO.,LTD.以E-MAIL 形式发来的采购拖鞋(slipper )订单,交货期为2008年9月25日前。

明宇公司于8月12日将该订单安排给长期协作单位泉州荣达制鞋厂(简称“荣达制鞋”,下同)生产,要求其在9月12日完成生产。

为了能在订单要求时间内出运,明宇公司与荣达制鞋制定详细的生产进度计划,确定具体的生产周期为30天。

同时,指派外贸跟单员刘方具体负责该订单的跟进。

SOVSYOKU CO.,LTD.PURCHASE ORDERTEL :0081-0120-489-709 FAX :0081-025-248-6620No balance payment will be made unless this purchase order number appears oninvoice and packing list.DATE AUG-10-2008 We hereby agree to buy and the seller agrees to sell and / or manufacture the following merchandise(s) on the2.表格中的A 为鞋帮帮面材料;B 为鞋帮帮里材料;C 为鞋中底材料;D 为鞋大底材料。

]REMARKS :1. Payment will be delayed if this purchase order is not signed & returned to us by Fax/E-mail beforeshipment.2. Samples: pre-production sample:two pairs per style must be submitted before production.shipment sample:five pairs per style must be submitted 10 days before shipment by OCS.3. Packing :- put 12 pairs per style into a polybag,4 styles into inner bag and into an export carton.(For detail seepicture 1), shipment of just one style in one export carton is not allowed.- affix barcode on each dozen,our barcode no. is +our style No. Please pay attention to put correct barcode on correct place.- export carton must be strong.-warning to be printed in capital letters on inner bag: “keep this bag away from babies and children, do not use in cribs, beds, carriages, or playpens. The film may cling to nose and mouth and preventbreathing. This bag is not a toy.”-200g/PR of N.W.and 2.5 kgs of export carton(incl. Polybag). Size of export carton is60CM×32CM×32CM.- No. of export carton:1-up.4.Inspection:-We will ask you to take all goods to inspection factory before shipment and we ask you to pay for thetransportation from your factory to inspection factory.-You must take all material to SGS laboratory(public inspection center in China)for testing beforeproduction.5.Plus five PCT in quantity & amount will be acceptable, that is, over shipments will be accepted , shortshipments will not be allowed,partial shipment not permitted.6.G.S.P FORM A must be sent us before shipment by OCS .7. Shipping mark to be advised.Failure to do any of the above will give the purchaser right to either cancel order, return portion shipped or impose a charge back.For and on behalf ofBuyer SellerSOVSYOKU CO.,LTD.Fujian Mingyu Footwear & Headgear Import & Export Co.,Ltd.PICTURE 1(一)审核采购单(共计15分)1.根据上述采购单,请将下列句子译成汉文:(每小题2分,共4分)①Payment will be delayed if this contract is not signed & returned to us by Fax/E-mail before shipment.②Samples: pre-production sample:two pairs per style must be submitted before production.2.如果出口商提供由我国出入境检验检疫局签发的一般原产地证书是否符合采购单要求?为什么?(3分)3.采购商对出货前的最终检验是如何要求的?(请具体说明)(4分)4.如果外贸跟单员刘方制作单证,在发票和装箱单中必须显示客商指定的什么内容才能顺利收汇?(4分)(二)样品跟单(共计17分)1.根据采购单,外贸跟单员刘方必须在什么时候寄出两次样品?请分别列明。

2008年单证员操作试卷

2008年单证员操作试卷

2008年全国国际商务单证员专业培训考试《国际商务单证缮制与操作》试卷一、根据下述合同内容审核信息用证,并指出不符之处。

(36分)The seller: SHANGHAI SHENG DA CO., LTD.UNIT C 5/F JINGMAO TOWER No.SD080215SHANGHAI, CHINAThe buyer: ALFAGA ENTERPRISE Date:Feb.15, 200828, IMAMGONJDHAKA, BANGLADESH Signed at:shanghai, chinaThe undersigned seller and buyer have agreed to close the following transactions according to the termsCHITTAGONGTime of Shipment:During May, 2008Loading Port and Destination:From Shanghai to ChittagongPartial Shipment and Transshipment are allowedInsurance:to be effected by the buyerTerms of Payment:The Buyer shall open through a bank acceptable to the Seller an Irrevocable Sight Letter of Credit to reach the Sellers 30 days before the month of Shipment. Validfor negotiation in China until the 15th day after the month of Shipment.The Seller The BuyerSHANGHAI SHENG DA CO., LTD. ALFAGA ENTERPRISE信用证:SQUENCE OF TOTAL 27:1/1FORM OF DOC. CREDIT 40A:I RREVOCABLEDOC. CREDIT NUMBER 20:06660801DATE OF ISSUE 31C:F EBRUARY 24, 2008APPLICABLE RULES 40E:U CP LATEST VERSIONDATE AND PLACE OFEXP.31D:M AY 23, 2008 IN BANGLADESHAPPLICANT 50:A LFAGA ENTERPRISE26, IMAMGONJ, DHAKA, BANGLADESH ISSUING BANK 52A:A B BANK LIMITEDIMAMGANJ BRANCH,40 IMAMGANJ, DHAKA-1211, BANGLADESH BENEFICIARY 59:S HANGHAI DA SENG CO., LTD.UNIT C 5/F JINGMAO TOWER,SHANGHAI, CHINA. AMOUNT 32B:C URRENCY HKD AMOUNT 9800.00A V AILABLE WITH /.BY…41D:A NY BANK IN CHINA BY NEGOTIATIONDRAFTS AT…42C:D RAFTS AT 60 DYAS SIGHT FOR 100PCT INVOICE V ALUE DRAWEE 42D:A B BANK LIMITED, IMAMGANJ BRANCHPARTIAL SHIPMENT 43P:N OT ALLOWEDTRANSSHIPMENT 43T:N OT ALLOWEDLOADING/DISPATCHING/TAKING44A:A NY CHINESE PORTSTRANSPORTATION TO 44B:C HITTAGANG SEA PORT, BANGLADESHLATEST DATE OFSHIPMENT44C:M AY 2, 2008DESCRIP OF GOODS 45A:T APE RULES(1)2 000 DOZ PAIR MODEL:JH-395WSIZE:3M×16MM @ HKD 3.60 PER DOZEN CIF CHITTAGONG(2)500 DOZ PAIR MODEL:JH-386WSIZE:3M×16MM @ HKD 4.20 PER DOZEN CIF CHITTAGONGPACKING:EXPORT STANDARD SEAWHORY PACKING DOCUMENTS REQUIRED 46A:+SIGNED COMMERCIAL INVOICE IN TRIPLICATE+SIGNED PACKING LIST IN TRIPLICATE+G.S.P.CERTIFICATE OF ORIGIN FORM A+BENEFICIARY’S CERTIFICATE STATING THAT ONE SETOF ORIGINAL SHIPPING DOCUMENTS INCLUDINGORIGINAL ―FORM A‖ HAS BEEN SENT DIRECTL Y TO THEAPPLICANT AFTER THE SHIPMENT.+INSURANCE POLICY OR CERTIFICATE ENDORSED INBLANK FOR 110PCT OF CIF V ALUE, COVERING W.P.ARISK AND WAR RISK+3/3 PLUS ONE COPY OF CLEAN ―ON BOARD‖ OCEANBILLS OF LADING NADE OUT TO ORDER AND BLANKENDORSED MARKED ―FREIGHT PREPAID‖AND NOTIFYAPPLICANT.ADDITIONALCONDITION47A:+ALL DRAFTS DRAWN HEREUNDER MUST BE MARKED―DRAWN UNDER INDUSTRIAL BANK OF JAOAN, LTD.,HEAD OFFICE, CREDIT NO. LC196107800 DATED OCT. 15,2007‖+T/T REIMBURSEMENT IS NOT ACCEPTABLFDETAILS OF CHARGES 71B:A LL BANKING CHARGES OUTSIIDE JAPAN ARE FORBEN EFICIARY’S ACCOUNTPRESENTAION PERIOD 48:D OCUMENTS MUST BE PRESENTED WITHIN 15 DAYSAFTER THE DATE OF ISSUANCE OF THE SHIPPINGDOCUMENTS BUT WITHIN THE V ALIDITY OF THE CREDIT. CONFIRMATION 49:W ITHOUTINSTRUCT. TO NEGOTIATING BANK 78:T HE AMOUNT AND DATE OF NEGOTIATION OF EACH DRAFT MUST BE ENDORSED ON THE REVERSE OF THIS CREDIT. ALL DOCUMENTS INCLUDING BENEFICIARY’S DRAFTS MUST BE SENT BY COURIER SERVICE DIRECTLY TO US IN ONE LOT. UPON OUR RECEIPT OF THE DRAFTS AND DOCUMENTS, WE SHALL MAKE PAYMENT AS INSTRUCTED BY YOU.经审核信用证需要修改的内容如下:答案与解析1.信用证到期地点填写有误,应把“BANGLADESH‖修改为”CHINA‖。

2008年单证员考试《国际商务单证基础理论与知识》真题及答案

2008年单证员考试《国际商务单证基础理论与知识》真题及答案

2 0 0 8年全国国际商务单证员专业考试2008年单证员考试《国际商务单证基础理论与知识》真题答案一、单项选择题CA CCA CDABB BDACB ABCDC DBDDC BBCDD ABCBA CCACA二、多项选择题ABC ABCD AB ABD ABCD ABD ABD ABD ABD ABD三、判断题××√√√√√×√××√√××√××××××××√×××√√√××√×××√××四、计算题1.解:重量吨=50 X 44.5KG =2.225M\T 尺码吨=50 X 0.0398CBM =1.99CBM重量大于体积 F=2.225 X 40(1+21%+20%)=125.49USD答:运费为125.49USD2.解:投保金额=1500X110%=1650美元保险费=投保金额X保险费率=1650X0.8%=13.2美元答:投保金额是1650美元。

应付保险费13.2美元。

五、简答题1.答:出口业务程序主要由交易磋商前的准备、交易磋商和履行合同三个阶段组成。

①交易磋商前的准备出口交易磋商前的准备工作的目的是为出口交易磋商作充分的准备。

出口交易磋商前的准备工作包括国际市场调查研究、生产、货源可行性研究、制定出口营销计划、申办出口管理文件以及初步制定品质、数量、价格等合同条款等。

②交易磋商出口交易磋商过程与进口交易磋商相比,仅少了一个比价环节,主要包括询盘、发盘、还盘、接受和签订合同几个环节。

③履行合同履行合同是出口交易的最后阶段。

履行合同所包含的环节较多,如果按CIF价格条件签订合同,出口方应该完成的工作有:备货、租船订舱、办理保险、检验、报关发货、制单结汇、接受货款、出口核销、理赔等环节。

2008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)

2008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)

2008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. 填写出单机构 3. 改错根据合同审核信用证(本题20分)1.SALES CONTRACTThe Seller:SHANGHAI SHENG DA CO.,LTD.UNIT C 5/F JINGMAO TOWER No.SIl080215 SHANGHAI.CHINAThe Buyer:ALFAGA ENTERPRISEDate:Feb.15,200828.IMAMGONJDHAKA,BANGLADESH Signed at:Shanghai,ChinaThe undersigned Seller and Buyer have agreed to close the following transactions according to the terms and conditions stipulated below:Packing:In Cartons Shipping Mark:A.E.CHITTAGONG Time of Shipment:During May,2008 Loading Port and Destination:From Shanghai to Chittagong Partial Shipment and Transshipment are allowed.Insuralaee:To be effeeted by the buyerTerms of Payment:The Buyer shall open through a bank acceptable to the Seller an Irrevocable Sight Letter of Credit to reach the Sellers 30 days before the month of shipment,Valid for negotiation in China until the 15th day after the month of shipment.The Seller The Buyer SHANGHAI SHENG DA CO.,LTD.ALFAGA ENTERPRISE 信用证:SQUENCE OF TOTAL 27:1/1 FORM OF DOC.CREDIT 40A:IRREVOCABLE DOC.CREDIT NUMBER 20:06660801 DATE OF ISSUE 31C:FEBRUARY 24.2008 APPLICABLE RULES 40E:UCP LATEST VERSION DATE AND PLACE OF EXP.31D:MAY 23,2008 IN BANGLADESH APPLICANT 50:ALFAGA ENTERPRISE26,IMAMGONJ DHAKA,BANBIADESH ISSUING BANK 52A:AB BANK LAMITED MAMGANJ BRANT.40 IMANGANT.DHAKA-1211.BANGLADESH BENEFICIARY 59:SHANGHAI DA SENG CO.,LTD.UNIT C 5/ F JINGMAO TOWER SHANGHAl.CHINA.AMOUNT 32B:CURRENCY HKD AMOUNT 9800.00 A V AlLABLE WITM/,BY…41D:ANY BANK IN CHINA BY NEGOTIATION DRAFTS AT…42C:DRAFTS AT 60 DAYS SIGHT FOR 100PCT INVOICE V ALUE DRAWEE 42D:AB BANK LIMITED,IMAMGANJ BRANCH PARTIAL SHIPMENT 43P:NOT ALLOWED TRANSSHIPMENT 43T:NOT ALLOWED LOADING/DISPATCHING/TAKING44A:ANY CHINESE PORTSTRANSPORTA Tl0N TO…44B:CHITTAGANG SEA PORT,BANGLADESHLATEST DATE OF SHIPMET44C:MAY 2,2008DESCRIP OF GOODS 45A:TAPE RULES (1)2000 DOZ PAIR MDEL:JH-395W SIZE:3M X 16MM@HKD3.60 PER DOZEN CIF CHIT TAGONG (2)500 DOZ PAIR MODEL:JH-386W SIZE:3M X 16MM@HKD4.20 PER DOZEN CIF CHIT TAGONG PACKING:EXCIRT STANDARD SEAWORTHY PACKINGDOCUMENTS REQUIRED 46A:+SIGNED CONMENOIAL INVOICE IN TRIPLICATE +SIGNED PACKING UST IN TRIPLICATE +G.S.P CERTIFICATE OF ORIGIN FORM A +FICTARY’S CERllFICATE STATING THAT ONE SET OF ORIGINAL SHIPPING DOCUMENTS INCLUDINCORIGINAL“FORM A”HAS BEEN SENT DIRECTLY TO THE APPLICANT AFTER THE SHIPMENT.+INSURANCE POLICY 0R CERTIFICATE ENDORSED IN BLANK FOR 110 PCT OF CIF V ALUE.COVERING W.P.A RISK AND WAR RISK +3/3 PLUS ONE COPY OF CLEAN“ON BOARD”OCEAN BILLS OF LADING MADE OUT TO ORDER AND BLANK ENDORSED MARKED“FREIGHT COLLECT”AND NOTI FYAPPUCANT.ADDITIONAL CONDITION 47A:+ALL DRAFTS DRAWN HEREUNDER MUST BE MARKED “DRAWN UNDER AB BANK LIMllE D.IMAMGANJBRANCH CREDIT NO.06660801 DATED FEBRUARY 24.2008”+T/T REIMBURSEMENT IS NOT ACCEPTABLEDETAILS OF CHARGES 71B:ALL BANKING CHARGES OUTSIDEBANGLADESH ARE FOR BENEFICIARY’S ACCOUNTPRESENTAION PERIOD 48:DOCUMENTS MUSlT BE PRESENTED WITHIN 15 DAYS AFTER THE DATE OF ISSUANCE OF THE SHIPPINGDOCUMENTS BUT WITHIN THE V AUDNY OF THE CREDIT.CONFIRMATION49:WITHOUTINSTRUCT.TO NEGOTIATING BANK 78:THE DATE OF NEGOTIATION OF EACH DRAFT MUST BE ENDORSED ON THE REVERSE OF THIS CREDIT.ALL DOCUMENTS INCLUDING BENEFICIARY’S DRAFTS MUST BE SENT BY COURIER SERVICE DIRECTL Y TO US IN ONE LOT.UPON OUR RECEIPT OF THE DRAFTS AND DOCUMENTS WE SHALL MAKE PAYMENT AS INSTRUCTED BY YOU经审核,信用证存在问题如下:_____________________________________________________________________ _____________________________________________________________________ _____________________________________________________________________ ________________________正确答案:在实际业务中,信用证的开立以合同和相关惯例为依据。

国贸08单证案例及答案(1)

国贸08单证案例及答案(1)
10、中方某公司与加拿大商人在2005年10月份按CIF条件签订了一份出口某商品的合同,支付方式为不可撤销即期跟单信用证。该加拿大商人于5月通过银行开来信用证,经审核与合同相符,其中保险金额为发票金额的110%。我方正在备货期间,该加拿大商人通过银行传递给我方一份信用证修改书,内容为将保险金额改为发票金额的120%。我方没有理睬,按原证规定投保、发货,并于货物装运后在信用证有效期内,向议付行议付货款。议付行议付货款后将全套单据寄开证行,开证行以保险单与信用证修改不符为由拒付。问:开证行拒付是否有道理?为什么?
13、一信用证注明“总金额不超过5000美元,货物为布匹,大约5000码,每码1美元。”出口商出口数量为5500码,是否可以顺利交单议付?
答:600-30,数量前有“约”的字样,则该数量可有10%的增减。但本例中信用证的金额已注明不超过5000美元,所以最多可装5000码,最少可装4500码。且该约数只限于其限定的项目。
问:我方可否顺利结汇?为什么?
答:可以顺利结汇(2分)《跟单信用证统一惯例》规定:除非信用证另有规定,银行将接受出单日期早于信用证开立日期的单据,但该单据需在信用证和本《惯例》规定的期限内提交。(4分)本案中信用证未规定出单日期不得早于信用证开立日;装运期也符合规定;只要我方在11月5日之前交单,即可顺利结汇。(4分)
答:该不符点不成立。(2分)《跟单信用证统一惯例》规定:单据签字可用手签、摹本签字、穿孔签字、印戳、用符号或使用任何其他机械或电子的加押证实方法为之。(5分)本案中,用了印戳式的签字,符合惯例中签字的要求,银行应接受。(3分)
2、进口方来证规定货物数量为2000打,金额为12540美元,不允许分批装运。在备运时,发现一部分货物质量低于信用证中规定的质量。因此,出口方只将2000打中的1900打运交进口人,理由是UCP500中第39条规定:即使不准分批装运,货物数量亦允许有5%伸缩。

2008年单证操作题答案

2008年单证操作题答案

Amount USD10320 USD980 USD2760 USD3240 USD2320
....% per annum
..
ing unpaid)
O., LTD ANGHasurement
2日,显然与合同不符
HITTAGONG HITTAGONG
二、汇票 Drawn under: INDUSTRIAL BANK OF JAPAN, LTD. Dated: OCT.15, 2007 L/C NO.:LC196107800
Payable with interest @....% per annum NO…………Exchange for 12,630.00 shanghai…DEC.05…2007…….. At…………sight of this FIRST of Exchange(Second of Exchange being unpaid) pay to the order of BANK OF CHINA, SHANGHAI BRANCH the sum of U.S. DOLLAR TWELVE THOUSAND SIX HUNDRED AND THIRTY ONLY To THE INDUSTRIAL BANK OF JAPAN HEAD OFFICE SHANGHAI YILONG CO., LTD NO.91 NANING ROAD SHANGHAI,CHINA
一、形式发票 Issuer:SHANGHAI LUCKY SAEETY SCREENS CO. LTD UNIT C 2/F JINGMAO TOWER SHNANGHAI CHINA
PROFOREMA INVOICE
To:RAM PLASTICS No:LU80518 Date:MAY.18,2008 201,HUAI RANI, MALVIYA NAGAR S/C No.:LU0805 NEW DELHI 110017, INDIA transport details: FROM SHANGHAI TO NHAVA Terms of payment:ADVANCED T/T SHEVA INDIA BY SEA Marks &Nos. Description of goods and Quantity Unit PVC STRIPS CIF NHAVA SHEVA RAM 200mmx2mmx50mm transparent normal-120rolls USD86 200mmx2mmx50mm transparent normal ribbed-10 LU0805 USD98 NHAVA SHEVA 200mmx3mmx50m transparent normal-30rolls USD92 NOS.1-11 300mmx3mmx50m transparent normal-30rolls USD108 300mmx3mmx50m transparent normal ribbed-20 USD116

国际商务单证缮制与操作真题2008年..

国际商务单证缮制与操作真题2008年..

国际商务单证缮制与操作试题一、根据下述合同内容审核信用证,并指出不符之处。

经审核信用证后存在的问题如下:______二、根据买方订单及相关资料缮制形式发票三、根据合同、信用证及补充资料缮制商业发票、海运提单、汇票及普惠制产地证FORM A补充资料1.INVOICE NO. YL710012.INVOICE DATE: NOV.10,20073.C.W: 36KCS/CTN N.W: 35KC5/CTN MEAS.0.55CBN/CTN 4.H. S. CODE: 4819.10005.VESSEL: KAOHSIUNG V.0707S6.B/L NO.TH14HK075967.B/L DATE: NOV.29,20078.C/N: SNBU71218209.REFERENCE NO.2007081910.ORICINAL CRITERION:"P"国际商务单证缮制与操作试题一、审核分析根据合同审核信用证是每年全国单证考试“规定动作〞,也是从业人员必须掌握的技能之一,因为尽管凭信用证付款在各种付款方式中的比例逐步下降,但信用证仍是最主要的方式。

该种试题考核重点大同小异。

本年度考核并不要求考生对不符合合同的地方进展修改,这样,考生在答复此题时可根据所学知识,结合所给条件比照分析并列明信用证存在的问题即可。

经审核该证存在的问题如下:(括号中的数字表示SWIFTMTT00格式中的数字编码。

) 1.信用证中的受益人名称(59)与合同卖方(Seller)不符。

合同中显示的是“SHANGHAI SHENG DA CO.,LTD.,〞而信用证中是“SHANGHAI DA SENG CO.,LTD.〞。

2.开证申请人(50)的地址不符。

合同中规定的是"28,IMAMGONJ",信用证中那么误为"26,IMAMGONJ"。

3.商品名称不符。

合同中买卖的货物(COMMODITY & SPECIFICATION)是“STEEL TAPE RULES〞,而信用证中(45A)里却显示“TAPERULES〞,缺少了“STEEL〞字样。

2008年浙江省单证员考试A卷

2008年浙江省单证员考试A卷

2008年浙江省《外贸单证员》职业资格鉴定试卷《国际贸易实务》(A)一、填空题(本大题共计10小题,每小空1分,共15分,请将正确的答案填入题中划线处)1、按_________术语成交,卖方承担的风险、责任和费用最大。

2、国际贸易中表示品质的方法主要有以___________表示和以___________表示两大类。

3、班轮运费包括____________和____________两部分。

4、基本险的责任起讫,采用国际保险业所惯用的____________条款。

5、汇票可通过_______________方式进行转让。

6、不可抗力条款是一种______________条款。

7、《公约》规定,发盘于______________时生效。

8、在法律上,__________________________是交易磋商、合同成立不可缺少的两个环节。

9、单价通常由四部分构成,即__________、__________ 、__________和__________。

10、实际业务中,_______________和出口公司共同承担审证任务。

二、单项选择(本大题共计15小题,每小题1分,共15分,请将正确的答案填入括号中)1、我方与外商达成一笔CIF出口合同,当我方按规定缮制全套合格单据向买方要求付款时,获悉货物在海运途中全部灭失。

这种情况下()。

A、外商因货未到岸,可以拒绝付款B、因单据合格,外商仍应付款C、应由我方向保险公司要求赔偿D、因货物实际损失了,我方未完成交货,因此不能要求外商付款,只能重新发货2、出口生丝计算重量的方法通常是按()。

A、毛重B、净重C、公量D、理论公量3、 ( )是指价格中不包含佣金和折扣。

A、参考价格B、含佣价C、净价D、推算价4、信用证如未规定“不准分批装运”,()。

A、可以视为允许分批装运B、仍应视为不准分批装运C、应视商品性质而定D、应视不同地区而定5、使用班轮运输贵重物品,其基本运费通常是按货物的()计收。

2008年6月单证员考试操作题参考答案

2008年6月单证员考试操作题参考答案

2008年6月单证员考试操作题参考答案一、根据合同审核信用证,指出不符之处。

1、59有错。

BENEFICIARY应为“SHANGHAI SHENG DA CO., LTD”而不是“SHANGHAI DA SENG CO., LTD”。

2、32B有错。

AMOUNT应为“CURRENCY USD AMOUNT 9300”而不是“CURRENCY HKD AMOUNT 9800”3、42C有错。

应为“DRAFTS AT SIGHT”而不是“DRAFTS AT 60 DAYS SIGHT”4、43P有错。

PARTIAL SHIPMENT应为“ALLOWED”而不是“NOT ALLOWED”5、43T有错。

TRANSSHIPMENT应为“ALLOWED”而不是“NOT ALLOWED”6、44A有错。

LOADING PORT应为“SAHNGHAI”而不是“ANY CHINESE PORT”7、44B有错。

应为“CHITTAGONG SEA PORT”而不是“CHITTAGANG SEA PORT”8、44C有错。

应为“MAY 31, 2008”而不是“MAY 2, 2008”9、45A有错。

品名应为“STEEL TAPE RULES”而不是“TAPE RULES”;10、45A有错。

(1)规格应为“MODEL:JH-392W”,而不是“J H-395W”;单价应为“USD3.6/DOZ PAIR CFR CHITTAGONG”不是“HKD3.6/DPZ PAIR CIF CHITTAGONG”11、45A有错。

(2)规格应为“JH-380W”,而不是“JH-386W”;单价应为“USD4.2/DOZ PAIR CFR CHITTAGONG”而不是“HKD4.2/DOZ PAIR CIF CHITTAGONG”。

12、46A有错。

CFR条件下,应该由买方办理保险,所以保险条款要删除;提单应该显示为“FREIGHT PREPAID”而不是“FREIGHT COLLECT”。

2008年单证员考试辅导:信用证

2008年单证员考试辅导:信用证

⼀、L/C 的性质、特点和作⽤ (⼀)L/C的含义及性质 L/C是⼀种银⾏开⽴的有条件付款的书⾯⽂件 开证⾏的双重作⽤ (⼆)L/C的特点 1、L/C属于银⾏信⽤ 2、L/C是独⽴于合同之外的⼀种⾃⾜的⽂件 3、L/C是⼀种纯单据的买卖(Pure Document Transaction) (三)信⽤证的作⽤ 1、对出⼝商的作⽤ 2 、对进⼝商的作⽤ 3 、对银⾏的作⽤ (四)信⽤证的⽀付程序 ⼆、L/C涉及的当事⼈ 1 、开证申请⼈(Applicant)或开证⼈(Opener) 2、开证银⾏(Opening Bank,Issuing Bank) 3、通知银⾏(Advising Bank,Notifying Bank ) 4 、受益⼈(Beneficiary) 5、议付银⾏(Negotiating Bank)、押汇银⾏或贴现银⾏ 6 、付款银⾏(Paying Bank) 三、L/C 的种类 1、以信⽤证项下的汇票是否附有单据分 跟单信⽤证 (Documentary L/C) 光票信⽤证 (Clean Credit) 2、以开证⾏所负的责任不同分 不可撤销信⽤证 (Irrevocable L/C) 可撤销信⽤证 (Revocable L/C) 3、按受益⼈交单给指定银⾏所使⽤的⽅式分 即期信⽤证(sight L/C) 远期信⽤证(usance L/C) 4、根据受益⼈对信⽤证的权利可否转让分 可转让信⽤证 ( Transferable L/C) 不可转让信⽤证 (Non-Transferable L/C) 5、保兑信⽤证(Confirmed L/C) 6、对开信⽤证( Reciprocal L/C) 7、循环信⽤证(Revolving Credit) 按时间循环 按⾦额循环 红条款信⽤证/预⽀信⽤证 (Anticipatory Credit )。

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一、根据下述合同内容审核信用证,并指出不符之处。

(36分)
1、受益人名称与合同卖方不符(合同是SHANGHAI SHENG DA CO.,LTD.,
信用证SHANGHAI DA SENG CO.,LTD.)
2、开证申请人的地址不符(合同是28, IMAMGONJ,信用证是26,IMAMGONJ)
3、商品名称不符(合同是STEEL TAPE RULES,信用证是TAPE RULES)
4、商品规格不符(合同是JH-392W和JH-380W,信用证是JH-395W和JH-386W)
5、单价不符(合同是USD3.60/DOZ PAIR CFR CHITTAGONG和USD4.20/DOZ PAIRCFR
CHITTAGON,信用证是HKD3.60 PER DOZEN CIF CHITTAGONG和HKD4.20 PER DOZEN CIF CHITTAGONG)
6、总金额不符(合同是USD9,300.00,信用证是CURRENCY HKD AMOUNT 9800.00)
7、包装不符(合同是In Cartons,信用证是PACKING: EXPORT STANDARD
SEAWORTHY PACKING)
8、装运期不符(合同是During May, 2008,信用证是LATEST DATE OF SHIPMET : MAY
2, 2008)
9、装运港不符(合同是Shanghai,信用证是ANY CHINESE PORTS)
10、分批和转运要求不符(合同是Partial Shipment and Transshipment are allowed.,
信用证是PARTIAL SHIPMENT: NOT ALLOWED和TRANSSHIPMENT: NOT ALLOWED)
11、合同用的是CFR术语,信用证要求受益人提交保险单不符
12、CFR术语,提单上要求注明“FREIGHT COLLECT”不符
13、付款期限不符(合同是Sight Letter of Credit,信用证DRAFTS AT 60 DAYS SIGHT)
二、根据买方订单及相关资料缮制形式发票(24分)
(12) DETAILS OF OUR BANK:
BANK OF CHINA, SHANGHAI BRANCH,
NO.4 Zhongshan road, Shanghai ,P.R.CHINA
SWIFT CODE: BKCHCNBJ530
BENEFICIARY: SHANGHAI LUCKY SAFETY SCREENS CO., LTD
ACCOUNT NO: 1281 2242012 7091 015
ADDRESS: UNIT C 2/F JINGMAO TOWER SHANGHAI ,CHINA
SHANGHAI LUCKY SAFETY SCREENS CO., LTD
三、根据合同、信用证及补充资料缮制商业发票、海运提单、汇票及普惠制产地证FORM A(共40分)
凭信用证号
Drawn under industrial bank of Japan,ltd.,head office L/C NO.LC196107800
日期按…. .息…. 付款
Dated Oct.15,2007 Payable with interest @… .. % per annum 号码汇票金额上海
NO.YL71001Exchange for USD12630.00 Shanghai …DEC.05,2007……………
见票…………………日后(本汇票之正本未付)付交
At *** sight of this FIRST of Exchange (Second of Exchange being unpaid) Pay to the order of BANK OF CHINA,SHANGHAI BRANCH
金额
the sum of SAY US DOLLARS TWELVE THOUSAND SIX HUNDRED AND THIRTY ONLY
此致
To: INDUSTRIAL BANK OF JAPAN,HEAD OFFICE
SHANGHAI YILONG CO.,LTD.
XXX
SHANGHAI YILONG CO.,LTD.
X X X
.Shipper Insert Name, Address and Phone
SHANGHAI YILONG CO.,LTD.
NO.91 NANING ROAD SHANGHAI ,CHINA.
B/L No.TH14HK07596
.Consignee Insert Name, Address and Phone TO ORDER
中远集装箱运输有限公

COSCO CONTAINER LINES
Insert Name, Address and Phone
(It is agreed that no responsibility shall attach to the Carrier or his agents for failure to notify)
ABC COMPANY
1-3 MACHI KU STREET OSAKA,JAPAN Port-to-Port or Combined Transport BILL OF LADING
LADEN ON BOARD THE VESSEL DATE:NOV29,2007BY KAOHSIUNG V.0707S
COSCO CONTAINER
LINES
CNS01 0108895。

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