专题1 单据缮制练习
专题1 单据缮制练习教学文案
《国际结算》专题1:单据缮制练习实训1 汇票练习1.请根据以下制单资料缮制汇票ISSUING BANK: DEUTSCHE BANK(ASIA) HONGKONGL/C NO. AND DATE: 756/05/1495988, NOV. 20, 2008AMOUNT: USD19,745.00APPLICANT: MELCHERS (H.K) LTD., RM. 1210, SHUNTAK CENTRE,200 CONNAUGHT ROAD, CENTRAL, HONGKONGBENEFICIARY: CHINA NATIONAL ARTS AND CRAFTS IMP. & EXP. CORP. GUANG DONG (HOLDINGS) BRANCH.WE OPENED IRREVOCABLE DOCUMENTS CREDIT A VAILABLE BY NEGOTIATION AGAINST PRESENTA TION OF THE DOCUMENTS DETAILED HEREIN AND OF THE BENEFICIARY’S DRAFTS IN DUPLICATE AT SIGHT DRAWN ON OUR BANK.INV. NO.: ITBE001121DA TE OF NEGOTIATION: DEC. 20 ,2008凭Drawn under…………………………………………………信用证第号L/C NO………………………………日期Dated……………………………按息付款Payable with interest @....……....% per annum号码汇票金额中国,广州年月日No: ……………Exchange for Guangzhou, China…………………….…………见票日后(本汇票之副本未付)At…………..……. Sight of this FIRST of Exchange (Second of exchange being unpaid)pay to the order of ……或其指定人付金额The sum of此致To…………………………………………………………………………………………练习2、根据以下所给销售合同填制汇票一份,提单的日期为12月8日SALES CONFIRMATIONNO.: 08CAN – 1108DA TE: NOV. 08 ,2008 SELLER:JIANGSU INTERNATIONAL IMP. &. EXP. CORP. LTD.80 ZHONGSHAN ROAD , NANJING, CHINAFAX : 86-025-******** TEL : 86-025-********BUYER:SHEMSY NEGOCE ID CORP.75ROUTE 96570 DARDILLY , FRANCYFAX:33-56-34567891 TEL:33-56-12345678THIS SALES CONFIRMATION IS HEREBY MUTUALL Y CONFIRMED,PACKING:AS PER BUYER’S DEMANDSSHIPPING MARKS: AS PER BUYER’S DEMANDSSHIPMENT:X TO BE MADE(45 DAYS BY SEA AFTER BECEIVED 30% T/TPAYMENT)FROM CHINA PORT TO________(AS BUYER’S DEMANDS)PARTIAL SHIPMENTS AND TRANSSHIPMENT ARE ALLOWED. PAYMENT:X 30% T/T INDEPOSIT ,70% D/P 30 DAYS AFTER SIGHT INSURANCE:______ TO BE EFFECTED BY THE SELLER FOR ()% OF INVOICE V ALUE TO COVER ()RISK AND W AR RISK UPTP ()AS PER THE OCEAN MARINE CARGO CLAUSE AND W AR RISKCLAUSE OF T HE PEOPLE’S INSURANCE COMPANY OF CHINA XTO BE EFFECTED BY THE BUYERSELLER:JIANGSU INTERNA TIONAL IMP. &. EXP. CORP. LTD. ( SIGN A TURE ) BUYER :SHEMSY NEGOCE ID CORP. ( SIGN A TURE )凭不可撤销信用证Drawn under……………………………………Irrevocable L/C No………………日期Dated……………………………按息付款Payable with interest @....……....% per annum号码汇票金额中国,南京年月日No: ……………Exchange for Guangzhou, China…………………….…………见票日后(本汇票之副本未付)At…………..……. Sight of this FIRST of Exchange (Second of exchange being unpaid)pay to the order of ……或其指定人付金额The sum of此致To…………………………………………………………………………………………实训2 商业发票商业发票范例:练习1 根据实训1的练习2所给的销售合同制作商业发票。
[财经类试卷]国际商务单证员单证操作与缮制(运输单据的缮制、其他附属单据的缮制)模拟试卷1及答案与解析
国际商务单证员单证操作与缮制(运输单据的缮制、其他附属单据的缮制)模拟试卷1及答案与解析一、根据已知资料改正下列单据中错误的地方(本题30分)1 请根据相关资料及所填制好的海运提单,指出错误并修改。
(1)资料一。
广东省荣华贸易有限公司与芬兰ABC公司成交一笔出口交易。
ABC公司按期开来信用证,荣华公司按期出运,并填制好海运提单,请根据下面信用证提供的内容审核海运提单编号①至⑧的内容,对单证不符的内容进行修改。
Issuing Bank: METITA BANK LTD.FIN-00020 METITA,FINLANDTarm of Doc.Credit:IRREVOCABLECredit Number:LRT9802457Date of Issue: 120505Expiry:Date 120716 Place CHINAApplicant: ABC CORP.AKEKSANTERINK AUTO P.O.BOX 9,FINLANDBeneficiary: GUANGDONG RONGHUA TRADE CO.,LT.D. 168 DEZHENG ROAD SOUTH,GUANGZHOU,CHINAAmount:Currency USD Amount 36 840.00(SAY US DOLLARS THIRTY SIX THOUSAND FOURH HUNDRED AND EIGHTY ONLY.)Pos./Neg.Tol.(%):5/5Available with/by: ANY BANK IN ADVISING COUNTRY BY NEGOTIATIONPartial Shipments: NOt AllowedTransshipment: AllowedLoading in Charge: GUANGZHOUFor Transport to:HELSINKIShipment Period: AT THE LATEST JULY 16,2012Description of Goods:9600PCS OF WOMEN’S SWEATERSUnit Price:USD3.80/PC, OTHER DETAILS AS PER S/C NO.98GQ468001Packing:12PCS/CTN TOTAL 800CTNS CFRHELSINKI(INCOTERMS2010)Documents Required: FULL SET OF CLEAN ON BOARD MARINE BILLS OF LADING,MADE OUT TO ORDER OF METITA BANK LTD.,FINLAND,MARKED“FREIGHT PREPAID”AND NOTIFY APPLICANT(AS INDICATE ABOVE)Additional Cond.:1.T.T.REIMBURSEMENT IS PROHIBITED.2.ALL DOCUMENTS MUST BE MARKED THE S/C NO. AND L/C NO..3.SHIPPING MARKS:ABC/HELSINKI/NO.1—800.(2)资料二:填制完成的海运提单。
2019单证缮制与操作试题参考答案
2019单证缮制与操作试题参考答案一、单选题(40分)AACBA CDAAB BDBCC ADABD二、根据所给资料审核并修改已填制错误的汇票、海运提单(20分)汇票错误的地方如下:(10分)1. 出票依据2. 信用证号3. 开证日期4. 汇票号5. 金额小写6. 出票日期7. 汇票期限8. 收款人9.金额大写10. 付款人海运提单错误的地方如下:(10分)1. 收货人2. 提单号3. 船名航次4. 唛头5. 件数小写6. 货名7. 毛重8. 体积9. 运费到付地点10. 件数大写三、根据已知资料缮制商业发票、装箱单、装运通知(40分)商业发票Commercial Invoice1.出口商Exporter(1)TIANJIN ESHOW CO., LTD.81 FUHUA ROAD, TIANJIN,CHINA 4.发票日期和发票号Invoice Date and No. (4)May 20,2019 EXP20190335.合同号Contract No.(5) EXP09050336.信用证号L/C No.(6) TK246802.进口商Importer(2)MARCO FOERSTER GMBHNUERTINGER STR.5 METZINGEN, HAMBURG, GERMANY 7.原产地国Country/region of origin(7) P. R. CHINA8.贸易方式Trade mode GENERAL3.运输事项Transport details(3)FROM TIANJIN, CHINA TO HAMBURG, GERMANY BY SEA 9.交货和付款条款Terms of delivery and payment (8) LC AT SIGHT CFR10.运输标志和集装箱号码Shipping marks;Container No.(9) M.F.GEXP0905033 HAMBURGC/NO. 1-200 11.包装类型及件数;商品编码;商品描述Number and kind of packages;CommodityNo.;Commodity description(10)200 CARTONS OF RETEVISBRAND RT628 PORTABLE WALKIETALKIE 0.5W UHF EUROPE FREQUENCY446MHZ.HS CODE: 8517122012.数量Quantity(11)10,000 PCS13.单价Unit price(12)USD18/PCCFRHAMBURG14.金额Amount(13)USD180,000.0015.总值(用数字和文字表示)Total amount(in figure and word)(14)SAY U.S.DOLLARS ONE HUNDRED EIGHTY THOUSAND ONL Y16.出口商签章Exporter stamp and signature(15) TIANJIN ESHOW CO., LTD.江海装箱单Packing List1.出口商(Exporter)(1)TIANJIN ESHOW CO., LTD.81 FUHUA ROAD, TIANJIN,CHINA 3.装箱单日期(Packing list date) (3)May 20,20192.进口商(Importer)(2)MARCO FOERSTER GMBHNUERTINGER STR. 5 METZINGEN, HAMBURG, GERMANY 4.合同号(Contract No.)(4)EXP09050335.发票号和日期(Invoice No. and Date) (5)May 20,2019 EXP20190336.运输标志和集装箱号(Shippingmarks;Container No.) 7.包装类型及件数;商品名称Number and kind ofpackages;Commodity name8.毛重kgGrossweight9.体积m3(6)(7)(8)2700KGS (9)M.F.GEXP0905033HAMBURGC/NO. 1-200200 CARTONS OF 4.8CBMRETEVIS BRAND RT628 PORTABLEWALKIE TALKIE10.出口商签章Exporter stamp and signature(10)TIANJIN ESHOW CO., LTD.江海装运通知Shipping note1出口商Exporter(1)TIANJIN ESHOW CO., LTD.81 FUHUA ROAD, TIANJIN,CHINA 4发票号Invoice No.(4) EXP20190335合同号Contract No.(5) EXP09050336.信用证号L/C No.(6) TK246802进口商Importer(2) MARCO FOERSTER GMBHNUERTINGER STR. 5 METZINGEN, HAMBURG, GERMANY 7运输单证号Transport document No.(7) BL NO.TSGC09/778价值Value(8) USD180,000.003运输事项Transport details (3)FROM TIANJIN, CHINA TO HAMBURG, GERMANY BY SEA 9装运口岸和日期Port and date of shipment (9) MAY 30,2019 TIANJIN, CHINA10运输标志和集装箱号Shipping marks; Container No.11包装类型及件数;商品名称或编码;商品描述Number and kind of packages; Commodity No.; Commodity description自由处置区Free disposal(10) M.F.GEXP0905033HAMBURGC/NO. 1-200(11) 200 CARTONS(12) RETEVIS BRAND RT628 PORTABLE WALKIE TALKIE(13) Gross weight: 2700KGS(14) 4.8CBM12出口商签章Exporter stamp and signature(15) TIANJIN ESHOW CO., LTD.江海。
项目训练一:托运单缮制练习
项目训练一:托运单缮制练习根据以下信用证资料缮制一份海运出口货物托运单Applicant: Hanil Synthetic Fiber Co., Ltd.Hans Tower 46-5 Guro Dong,Guro Gu, Seoul, KoreaBeneficiary: ABC Import and Export Co.Issuing Bank: To the order of Industrial Bank of Korea Port of Shipment: Shanghai, ChinaPort of Discharge: Busan, KoreaPartial Shipment: Not AllowedTransshipment: Not AllowedL/C number: M04G4410NS00228Latest Date of Shipment: 20 Nov 2004Expiry Date: 25 Nov 2004Description of Goods: PP Spunbonded Nonwoven Fabrics Quantity of Goods: 353 RollsPacking: GW9000KGS, Measurement 68 CBM Number of B/L: ThreeShipping Marks: N/M项目训练二:海运提单缮制:根据下列资料,依据海运提单样单的格式缮制海运提单一份。
L/C NO. AND DATE: 5817244001 02 MAR 2004BENEFICIARY: CHINA NATIONAL METALS & MINERALS IMPORT & EXPORT CORPORATION GUANG DONG BRANCH ……DOCUMENTS REQUIRED:+ON BOARD ORIGINAL OCEAN BILL OF LADING BLANK ENDORSED (IF MORE THAN ONE ORIGINAL HAS BEEN ISSUED, ALL ORIGINALS ARE REQUIRED) ISSUED TO SEABROOK INTERNATIONAL CORP. 306, WESTLAKE, OHIO 44145 USA. NOTIFY A.W. FENTON MS.S.SEYBOLD, 6565 EASTLAND RD, CLEVELAND OH 44142 USA .MARKED FREIGHT COLLECT DATE LATEST MAY 15, 2004……COVERING:TOTAL QUANTITY OF GOODS NOT TO EXCEED 13,000 M2OF GRANITE SLABS AS PER CONTRACT 87MSF4004-24, PLUS OR MINUS 5% SHIPMENT ALLOWANCE. GOODS ARE459,445,444,460,412,452. FOB SHENZHEN GUANGDONG. PARTIAL SHIPMENT ALLOWED TRANSSHIPMENT ALLOWED TO SAVANNAH, GA, USA……SOME MSG FROM S/OTHE S.S.IS ALLIGATOR LIBERTY. ALL THE GOODS ARE IN 40 WOODEN CRATES ABOUT 93.4849 MT 68 M3BY 4×20’ FOOT OPEN-TOP CONTANERS NO. MOLU4206680, MOLU4205648, NULO4205848, TOIU4501152项目训练三:海运提单修改:根据下面相关资料指出下列进口单据中错误的地方:相关资料:买方:QINGDAO ECONOMIC TRADE INT’L CO., LTD.NO. 19,ZHUZHOU ROAD, QINGDAO卖方:VICTOR MACHINERY INDUSTRY CO., LTD.NO.338,BA DE STREET,SHU LIN CITY, TAIBEITEL/FAX:886-2-26689666/26809123信用证对海运提单的要求:FULL SET(INCLUDING 3 ORIGINALS AND 3 NON-NEGOTIABLE COPIES) OF CLEAN ON BOARD OCEAN BILLS OD LADING MARKED “FREIGHT PREPAID” MADE OUT TO ORDER AND BLANK ENDORSED NOTIFYING APPLICANT WITH ITS FULL NAME AND ADDRESS.发票号:FU1011103提单号:KEETAO100933船名、航次:YM HORIZON UT018NCNC装船日期:MAY 10,2013装运港:TAIWAN MAIN PORT目的港:QINGDAO唛头: E.T.IQINGDAONOS.1-2保险单号:PO9810101保险单日期:MAY 8,2013发票金额:USD25200,00保险金额:按发票金额的110%投保货物描述:ONE COMPLETE STE OF SHEET CUTTER毛重:15600KGS体积:51CBM包装:PACKED IN TWO WOODEN CASES贸易术语:CIF QINGDAO投保险别:COVERING ALL RISKS AND WAR RISK AS PER CIC.赔付地点:QINGDAOShipper Insert Name, Address and PhoneB/L No. KEETAO100935 TO ORDERConsignee Insert Name, Address and PhoneVICTOR MACHINERY INDUSTRY CO.,LTD.NO.338,BA DE STREET,SHU LIN CITY, TAIBEITEL/FAX:886-2-26689666/26809123Notify Party Insert Name, Address and PhoneVICTOR MACHINERY INDUSTRY CO.,LTD.NO.338,BA DE STREET,SHU LIN CITY, TAIBEITEL/FAX:886-2-26689666/26809123Ocean Vessel Voy. No. Port of LoadingYM HORIZON UT018NCNC QINGDAOPort of Discharge Port of DestinationKEELUNGMarks & Nos. Container / Seal No. No. ofContainersor PackagesDescription of Goods Gross Weight Kgs MeasurementE.T.I QINGDAO NOS.1-55WOODENCASESONE COMPLETE OF SHEET CUTTER 15,600KGSFREIGHT51CBMCOLLECT Description of Contents for Shipper’s Use Only (Not part of This B/L Contract)Total Number of containers and/or packages (in words)SAY TWO WOODEN CASES ONLYEx. Rate: Prepaid at Payable at Place and date of issueKEELUNG QINGDAO QINGDAO MAY. 13,2013Total Prepaid No. of Original B(s)/L Signed for the CarrierTHREE (3)TONY LADEN ON BOARD THE VESSEL YM HORIZON UT018NCNCDATE: MAY.13, 2013BY:TONY项目训练四:海运提单修改:根据所给资料审核并修改已填制错误的提单资料:BENEFICIARY: ABC LEATHER GOODS CO., LTD.123 HUANGHE ROAD, TIANJIN CHINAAPPLICANT: XYZ TRADING COMPANY456 SPAGNOLI ROAD, NEW YORK 11747 USA……FULL SET OF CLEAN ON BOARD OCEAN BILLS OF LADING, MADE OUT TO ORDER, BLANK ENDORSED AND MARKED FREIGHT PREPAID NOTIFY APPLICA NT.……INSURANCE POLICY/CERTIFICATE IN DUPLICATE FOR 110 PCT OF INVOICE V ALUE COVERING ALL RISKS AND WAR RISK OF THE PICC DATED01/01/1981……GOODS: 5,000 PCS OF LEATHER BAGS PACKED IN 10 PCS/CARTON合同号:ABC234信用证号:DT905012发票号:1234567发票日期:2009 年5 月5 日发票金额:USD108000 CIF NEW YORK装运港:TIANJIN CHINA目的港:NEW YORK USA装船日期:2009 年5 月15 日开船日期:2009 年5 月15 日发票签发人:ABC LEATHER GOODS CO., LTD.A L I CEG.W: 2408KGSN.W: 2326KGSMEASUREMENT: 21.70CBMNO OF PACKAGES: 500 CARTONS船名、航次号:SUN V.126提单号码:CNS010108895集装箱号/封号:YMU259654/56789运输标记:XYZ1234567NEW YORKNOS.1-500Shipper Insert Name, Address and PhoneB/L No. CNS010108895ABC LEATHER GOODS CO., L TD.123 HUANGHE ROAD, TIANJIN CHINA中远集装箱运输有限公司COSCO CONTAINER LINESTLX: 33057 COSCO CN FAX: +86(021) 6545 8984O R IGIN ALConsignee Insert Name, Address and PhoneXYZ TRADING COMPANY456 SPAGNOLI ROAD, NEW YORK 11747 USANotify Party Insert Name, Address and PhoneXYZ TRADING COMPANY456 SPAGNOLI ROAD, NEW YORK 11747 USAOcean Vessel Voy. No.Port of LoadingSUN V .126SHANGHAIPort-to-PortBILL OF LADINGShipped on board and condition except as other-……Port of DischargePort of DestinationLONG BEACHMarks & Nos. Container / Seal No.No. ofContainers or PackagesDescription of GoodsGross Weight KgsMeasurementXY Z 1234567LONG EACH NOS.1-500YMU259654/567895,000 PCSLEATHER GOODSFREIGHT PREPAID2400KGS20.70CBMDescription of Contents for Shipper ’s Use Only (Not part of This B/L Contract)T otal Number of containers and/or packages (in words)SAYFIVE THOUSAND PCS ONLYEx. Rate: Prepaid atPayable atPlace and date of issueTIANJIN LONG BEACHTIANJIN MAY .. 30,2009T otal Prepaid No. of Original B(s)/LSigned for the CarrierTHREE (3)COSCO C ON T A I N E R L I N E SLADEN ON BOARD THE VESSEL DA TE: MAY .30, 2009 BY:COSCO C ON T A I N E R L I N E S。
单证发票的缮制(讲解与练习)
汇单证发票的缮制一、商业发票的缮制1. 出票人的名称和地址(NAME AND ADDRESS OF DRAWER)此栏填制出口公司名称和详细地址,应与信用证中受益人相一致。
大多数情况下,此栏出口公司已预先印制。
2. 发票名称(NAME OF INVOICE)一般在此栏已经预先印制“商业发票”(COMMERCIAL INVOICE)或“发票”(INVOICE)字样。
如果L/C要求提供COMMERCIAL INVOICE,我们可以用INVOICE替代。
3. 发票抬头人(TO ……)除非信用证指定发票抬头人,一般情况下,此栏填制进口人即开证申请人(APPLICANT)的名称和地址。
思考题:如果L/C规定INVOICE IN THE NAME OF ABC COMPANY,此栏应如何填写?如果L/C规定APPLICANT为ABC CO. FOR ACCOUNT OF EFG CO. LTD,此时该栏应如何填写?4. 发票日期(DA TE OF INVOICE)发票日期是所有单据日期中最早的,甚至可以早于信用证的开证日期。
5. 发票编号(INVOICE NO.)此栏填制由出口公司自己所定的发票编号。
6. 合约号码(CONTRACT NO.)注意发票的货物涉及不止一个合同的,此栏应显示全部合同号。
7. 起运地(FROM)应明确具体,不能笼统。
如果L/C中规定起运地为ANY CHINESE PORT ,则在填写此栏时应填写具体的港口。
8. 目的地(TO)及使用的运输方式(MODE OF TRANSPORT)目的地填写方法同上,后面在加实际的运输方式,比如在海运情况下加上BY SEA。
如果货物系转运,转运地点也应明确表示出来。
思考题:L/C 规定PORT OF LOADING :ANY CHINESE PORT PORT OF DISCHARGE:NEWYORK TRANSHIPMENT:ALLOWED。
我们实际在宁波将货物装上船,并经由香港转运至NEWYOK,此栏应如何填写。
国际单证员缮制与操作测试考题及答案_1
国际单证员缮制与操作测试考题及答案一、单选题(共15题,共30分)1.根据《 UCP600》的规定,银行审单时间最多为收到单据次日起的第( ) 银行工作日。
A.3 个B.5 个C.7 个D.10 个2.开立信用证时要注意()。
A.证同一致B.单证一致C.单单一致D.单货一致3.根据《海关法》规定,进口货物的报关期限为自运输工具申报进境之日起 14 天之内,进口货物的收货人或其代理人逾期申报的,由海关征收滞报金,滞报金的日征收额为进口货物完税价的()。
A.5%B.0.5%C.5D.0.5 %4.合同上货物名称是“ SHIRTS”,信用证上的名称误为“SKIRTS”,受益人()。
A.应该修改信用证,把货物名称改准确B.不必修改信用证,按 SHIRTS制单C.不必修改信用证,按 SKIRTS制单D.不必修改信用证,按 SKIRTS(SHIRTS)制单5.汇票上的出票日期也称汇票日期,是全套单据日期()。
A.最晚的一个,但不能晚于信用证有效期和规定的交单期B.最晚的一个,能够晚于信用证有效期C.最早的一个,但不要早于信用证开证日期D.最早的一个,能够早于信用证开证日期6.预约保险以 ( ) 代替投保单,说明投保的一方已办理了投保手续。
A.提单B.国外的装运通知C.大副收据D.买卖合同7.发生( ) ,违约方可援引不可抗力条款要求免责。
A.战争B.世界市场价格上涨C.生产制作过程中的过失D.货币贬值8.货物外包装上有一只酒杯或一把雨伞,这种标志属于()。
A.危险性标志B.指示性标志C.警告性标志D.易燃性标志9.在海洋运输货物保险业务中,共同海损()。
A.是部分损失的一种B.是全部损失的一种C.有时为部分损失,有时为全部损失D.是推定全损10.按照惯例,开证行在收到国外寄来的全套单证后应实行严格审核,下列 ( ) 不属于审核事项。
A.单据与信用证之间是否相符B.单据与单据之间是否相符C.单据与货物之间是否相符D.单据与《信用证统一惯例》是否相符11.展开( ) 是实现“门到门”运输的有效途径,它有利于简化手续,减少中间环节,快速低成本地提升运输质量。
专题1-单据缮制练习
《国际结算》专题1:单据缮制练习实训1 汇票练习1.请根据以下制单资料缮制汇票ISSUING BANK: DEUTSCHE BANK(ASIA) HONGKONGL/C NO. AND DATE: 756/05/1495988, NOV. 20, 2008AMOUNT: USD19,745.00APPLICANT: MELCHERS (H.K) LTD., RM. 1210, SHUNTAK CENTRE,200 CONNAUGHT ROAD, CENTRAL, HONGKONGBENEFICIARY: CHINA NATIONAL ARTS AND CRAFTS IMP. & EXP. CORP. GUANG DONG (HOLDINGS) BRANCH.WE OPENED IRREVOCABLE DOCUMENTS CREDIT A VAILABLE BY NEGOTIATION AGAINST PRESENTA TION OF THE DOCUMENTS DETAILED HEREIN AND OF THE BENEFICIARY’S DRAFTS IN DUPLICATE AT SIGHT DRAWN ON OUR BANK.INV. NO.: ITBE001121DA TE OF NEGOTIATION: DEC. 20 ,2008凭Drawn under…………………………………………………信用证第号L/C NO………………………………日期Dated……………………………按息付款Payable with interest @....……....% per annum号码汇票金额中国,广州年月日No: ……………Exchange for Guangzhou, China…………………….…………见票日后(本汇票之副本未付)At…………..……. Sight of this FIRST of Exchange (Second of exchange being unpaid)pay to the order of ……或其指定人付金额The sum of此致To…………………………………………………………………………………………练习2、根据以下所给销售合同填制汇票一份,提单的日期为12月8日SALES CONFIRMATIONNO.: 08CAN – 1108DA TE: NOV. 08 ,2008 SELLER:JIANGSU INTERNATIONAL IMP. &. EXP. CORP. LTD.80 ZHONGSHAN ROAD , NANJING, CHINAFAX : 86-025-******** TEL : 86-025-********BUYER:SHEMSY NEGOCE ID CORP.75ROUTE 96570 DARDILLY , FRANCYFAX:33-56-34567891 TEL:33-56-12345678THIS SALES CONFIRMATION IS HEREBY MUTUALL Y CONFIRMED,PACKING:AS PER BUYER’S DEMANDSSHIPPING MARKS: AS PER BUYER’S DEMANDSSHIPMENT:X TO BE MADE(45 DAYS BY SEA AFTER BECEIVED 30% T/TPAYMENT)FROM CHINA PORT TO________(AS BUYER’S DEMANDS)PARTIAL SHIPMENTS AND TRANSSHIPMENT ARE ALLOWED. PAYMENT:X 30% T/T INDEPOSIT ,70% D/P 30 DAYS AFTER SIGHT INSURANCE:______ TO BE EFFECTED BY THE SELLER FOR ()% OF INVOICE V ALUE TO COVER ()RISK AND W AR RISK UPTP ()AS PER THE OCEAN MARINE CARGO CLAUSE AND W AR RISKCLAUSE OF T HE PEOPLE’S INSURANCE COMPANY OF CHINA XTO BE EFFECTED BY THE BUYERSELLER:JIANGSU INTERNA TIONAL IMP. &. EXP. CORP. LTD. ( SIGN A TURE ) BUYER :SHEMSY NEGOCE ID CORP. ( SIGN A TURE )凭不可撤销信用证Drawn under……………………………………Irrevocable L/C No………………日期Dated……………………………按息付款Payable with interest @....……....% per annum号码汇票金额中国,南京年月日No: ……………Exchange for Guangzhou, China…………………….…………见票日后(本汇票之副本未付)At…………..……. Sight of this FIRST of Exchange (Second of exchange being unpaid)pay to the order of ……或其指定人付金额The sum of此致To…………………………………………………………………………………………实训2 商业发票商业发票范例:练习1 根据实训1的练习2所给的销售合同制作商业发票。
国际商务单证缮制与操作试题
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行修改,这样,考生在回答本题时可根据所学知识,结合所给条件对比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",信用证中则误为"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。
单证缮制与操作试题
2017年全国外经贸单证专业培训考试单证缮制与操作试题(考试时间:6月11日下午16﹕00—18﹕00)一、根据已知资料回答以下单选题,请在答题纸上作答(每题2分,共40分)SALES CONTRACTThe Seller: Shanghai Yahua Trading Corp. Contract No. 2017YH05616 Huangxing Road, Shanghai,China Date: May 18,2017 The Buyer: Erort Co., Ltd.18 Boulevard Paul Vaillant Couturier, FranceDescription of Goods Quantity Unit Price Amount Rattan FurnitureItem No. PFA-578As per the Order No.2017YH037 1000sets CIF MarseillesUSD680.00/set USD680,000.00TOTAL 1000sets USD680,000.00Total Amount: SAY U.S.DOLLARS SIX HUNDRED AND EIGHTY THOUSAND ONLYPacking: 1 set are packed in two export standard cartonsTime of Shipment: Before the end of July, 2017Loading Port and Destination: From Shanghai, China to Marseilles, FrancePartial Shipment: Not Allowed Transshipment: AllowedInsurance: To be effected by the seller for 110% invoice value covering All Risks and War RiskTerms of Payment: By L/C at 45 days after sight, reaching the seller before June 15,2017, and remaining valid for negotiation in China for further 15 days after the effected shipment. L/C must mention thiscontract number. L/C advised by BANK OF CHINA. All banking Charges outside China (themainland of China) are for account of the Buyer.Documents:+ Signed commercial invoice in triplicate.+ Full set (3/3) of clean on board ocean Bill of Lading marked “Freight Prepaid” made out to order blank endorsed notifying the applicant.+ Insurance Policy in duplicate endorsed in blank.+ Packing List in triplicate.+ Certificate of Origin issued by China Chamber of CommerceSigned by:THE SELLER: THE BUYER:Shanghai Yahua Trading Corp. Erort Co., Ltd.王旭Murielle1.根据合同,合理的信用证开证日期应为A. June 15, 2017B. the beginning of June,2017C. May 18, 2017D. Before the end of July. 20172.如果提单日期为July15, 2017,信用证的有效期应为A. July 30, 2017B. July 15, 2017C. Aug. 15,2017D. Aug. 30, 20173.根据合同,信用证的到期地点应为A.开证申请人所在地B.货物所在地C.受益人所在地D.目的港4.根据合同,信用证的开证申请人应为A. Shanghai Yahua Trading Corp.B. Erort Co., Ltd.C. Bank of ChinaD. Banque de France5.根据合同,信用证的受益人应为A. Shanghai Yahua Trading Corp.B. Erort Co., Ltd.C. Bank of ChinaD. Banque de France6.根据合同,信用证金额应为A. USD680.00B. USD688.00C. USD688,000.00D. USD680,000.007.根据合同,信用证的币别应为A. 欧元B.美元C.英镑D.人民币元8.根据合同,信用证的付款期限应为A.即期B.出票后45天C.提单日期后45天D.见票后45天9.根据惯例,信用证项下汇票的付款人应为A.开证行B.开证申请人C.受益人D.通知行10. 根据合同,信用证关于分批装运和转船的规定应为A.允许分批不允许转船B.不允许分批允许转船C.允许分批允许转船D.不允许分批不允许转船11.根据合同,信用证的装运港应为A.上海B. 马赛C. 巴黎D. 南京12.根据合同,信用证的目的港应为A.上海B. 马赛C. 巴黎D. 南京13.根据合同,信用证的装运日期规定正确的是A. before July15, 2017B. before July 1, 2017C. before July 31, 2017D. July 31, 201714.根据合同,信用证项下保险单的险别应为A.平安险B.平安险加战争险C.一切险D.一切险加战争险15.根据合同,信用证的贸易术语应为A.CIFB.FOBC.CFRD.CIP16.根据合同,信用证项下保险单的保险加成应为A.发票金额B.合同金额C.合同金额的110%D.发票金额的110%17.根据合同,信用证项下海运提单的抬头应为A.空白指示B.记名指示C.TO BEARERD. Erort Co., Ltd.18.根据合同,信用证项下原产地证明的出单人应为A.受益人B.出口地商会C.商检机构D.出口地海关19.根据惯例,信用证项下商业发票的签署人应为A.出口地商会B.商检机构C.受益人D.开证申请人20.根据合同,承担信用证开证费用的人应为A.议付行B.受益人C.开证行D.开证申请人二、根据已知资料指出下列开证申请书中错误的地方,请在答题纸上作答。
2019单证缮制与操作试题参考答案
2019单证缮制与操作试题参考答案一、单选题(40分)AACBA CDAAB BDBCC ADABD二、根据所给资料审核并修改已填制错误的汇票、海运提单(20分)汇票错误的地方如下:(10分)1. 出票依据2. 信用证号3. 开证日期4. 汇票号5. 金额小写6. 出票日期7. 汇票期限8. 收款人9.金额大写10. 付款人海运提单错误的地方如下:(10分)1. 收货人2. 提单号3. 船名航次4. 唛头5. 件数小写6. 货名7. 毛重8. 体积9. 运费到付地点10. 件数大写三、根据已知资料缮制商业发票、装箱单、装运通知(40分)商业发票Commercial Invoice1.出口商Exporter(1)TIANJIN ESHOW CO., LTD.81 FUHUA ROAD, TIANJIN,CHINA 4.发票日期和发票号Invoice Date and No. (4)May 20,2019 EXP20190335.合同号Contract No.(5) EXP09050336.信用证号L/C No.(6) TK246802.进口商Importer(2)MARCO FOERSTER GMBHNUERTINGER STR.5 METZINGEN, HAMBURG, GERMANY 7.原产地国Country/region of origin(7) P. R. CHINA8.贸易方式Trade mode GENERAL3.运输事项Transport details(3)FROM TIANJIN, CHINA TO HAMBURG, GERMANY BY SEA 9.交货和付款条款Terms of delivery and payment (8) LC AT SIGHT CFR10.运输标志和集装箱号码Shipping marks;Container No.(9) M.F.GEXP0905033 HAMBURGC/NO. 1-200 11.包装类型及件数;商品编码;商品描述Number and kind of packages;CommodityNo.;Commodity description(10)200 CARTONS OF RETEVISBRAND RT628 PORTABLE WALKIETALKIE 0.5W UHF EUROPE FREQUENCY446MHZ.HS CODE: 8517122012.数量Quantity(11)10,000 PCS13.单价Unit price(12)USD18/PCCFRHAMBURG14.金额Amount(13)USD180,000.0015.总值(用数字和文字表示)Total amount(in figure and word)(14)SAY U.S.DOLLARS ONE HUNDRED EIGHTY THOUSAND ONL Y16.出口商签章Exporter stamp and signature(15) TIANJIN ESHOW CO., LTD.江海装箱单Packing List1.出口商(Exporter)(1)TIANJIN ESHOW CO., LTD.81 FUHUA ROAD, TIANJIN,CHINA 3.装箱单日期(Packing list date) (3)May 20,20192.进口商(Importer)(2)MARCO FOERSTER GMBHNUERTINGER STR. 5 METZINGEN, HAMBURG, GERMANY 4.合同号(Contract No.)(4)EXP09050335.发票号和日期(Invoice No. and Date) (5)May 20,2019 EXP20190336.运输标志和集装箱号(Shippingmarks;Container No.) 7.包装类型及件数;商品名称Number and kind ofpackages;Commodity name8.毛重kgGrossweight9.体积m3(6)(7)(8)2700KGS (9)M.F.GEXP0905033HAMBURGC/NO. 1-200200 CARTONS OF 4.8CBMRETEVIS BRAND RT628 PORTABLEWALKIE TALKIE10.出口商签章Exporter stamp and signature(10)TIANJIN ESHOW CO., LTD.江海装运通知Shipping note1出口商Exporter(1)TIANJIN ESHOW CO., LTD.81 FUHUA ROAD, TIANJIN,CHINA 4发票号Invoice No.(4) EXP20190335合同号Contract No.(5) EXP09050336.信用证号L/C No.(6) TK246802进口商Importer(2) MARCO FOERSTER GMBHNUERTINGER STR. 5 METZINGEN, HAMBURG, GERMANY 7运输单证号Transport document No.(7) BL NO.TSGC09/778价值Value(8) USD180,000.003运输事项Transport details (3)FROM TIANJIN, CHINA TO HAMBURG, GERMANY BY SEA 9装运口岸和日期Port and date of shipment (9) MAY 30,2019 TIANJIN, CHINA10运输标志和集装箱号Shipping marks; Container No.11包装类型及件数;商品名称或编码;商品描述Number and kind of packages; Commodity No.; Commodity description自由处置区Free disposal(10) M.F.GEXP0905033HAMBURGC/NO. 1-200(11) 200 CARTONS(12) RETEVIS BRAND RT628 PORTABLE WALKIE TALKIE(13) Gross weight: 2700KGS(14) 4.8CBM12出口商签章Exporter stamp and signature(15) TIANJIN ESHOW CO., LTD.江海。
专题1 单据缮制练习
《国际结算》专题1:单据缮制练习实训1 汇票练习1.请根据以下制单资料缮制汇票ISSUING BANK: DEUTSCHE BANK(ASIA) HONGKONGL/C NO. AND DATE: 756/05/1495988, NOV. 20, 2008AMOUNT: USD19,745.00APPLICANT: MELCHERS (H.K) LTD., RM. 1210, SHUNTAK CENTRE,200 CONNAUGHT ROAD, CENTRAL, HONGKONGBENEFICIARY: CHINA NATIONAL ARTS AND CRAFTS IMP. & EXP. CORP. GUANG DONG (HOLDINGS) BRANCH.WE OPENED IRREVOCABLE DOCUMENTS CREDIT A VAILABLE BY NEGOTIATION AGAINST PRESENTA TION OF THE DOCUMENTS DETAILED HEREIN AND OF THE BENEFICIARY’S DRAFTS IN DUPLICATE AT SIGHT DRAWN ON OUR BANK.INV. NO.: ITBE001121DA TE OF NEGOTIATION: DEC. 20 ,2008凭Drawn under…………………………………………………信用证第号L/C NO………………………………日期Dated……………………………按息付款Payable with interest @....……....% per annum号码汇票金额中国,广州年月日No: ……………Exchange for Guangzhou, China…………………….…………见票日后(本汇票之副本未付)At…………..……. Sight of this FIRST of Exchange (Second of exchange being unpaid)pay to the order of ……或其指定人付金额The sum of此致To…………………………………………………………………………………………练习2、根据以下所给销售合同填制汇票一份,提单的日期为12月8日SALES CONFIRMATIONNO.: 08CAN – 1108DA TE: NOV. 08 ,2008 SELLER:JIANGSU INTERNATIONAL IMP. &. EXP. CORP. LTD.80 ZHONGSHAN ROAD , NANJING, CHINAFAX : 86-025-******** TEL : 86-025-********BUYER:SHEMSY NEGOCE ID CORP.75ROUTE 96570 DARDILLY , FRANCYFAX:33-56-34567891 TEL:33-56-12345678THIS SALES CONFIRMATION IS HEREBY MUTUALL Y CONFIRMED,PACKING:AS PER BUYER’S DEMANDSSHIPPING MARKS: AS PER BUYER’S DEMANDSSHIPMENT:X TO BE MADE(45 DAYS BY SEA AFTER BECEIVED 30% T/TPAYMENT)FROM CHINA PORT TO________(AS BUYER’S DEMANDS)PARTIAL SHIPMENTS AND TRANSSHIPMENT ARE ALLOWED. PAYMENT:X 30% T/T INDEPOSIT ,70% D/P 30 DAYS AFTER SIGHT INSURANCE:______ TO BE EFFECTED BY THE SELLER FOR ()% OF INVOICE V ALUE TO COVER ()RISK AND W AR RISK UPTP ()AS PER THE OCEAN MARINE CARGO CLAUSE AND W AR RISKCLAUSE OF T HE PEOPLE’S INSURANCE COMPANY OF CHINA XTO BE EFFECTED BY THE BUYERSELLER:JIANGSU INTERNA TIONAL IMP. &. EXP. CORP. LTD. ( SIGN A TURE ) BUYER :SHEMSY NEGOCE ID CORP. ( SIGN A TURE )凭不可撤销信用证Drawn under……………………………………Irrevocable L/C No………………日期Dated……………………………按息付款Payable with interest @....……....% per annum号码汇票金额中国,南京年月日No: ……………Exchange for Guangzhou, China…………………….…………见票日后(本汇票之副本未付)At…………..……. Sight of this FIRST of Exchange (Second of exchange being unpaid)pay to the order of ……或其指定人付金额The sum of此致To…………………………………………………………………………………………实训2 商业发票商业发票范例:练习1 根据实训1的练习2所给的销售合同制作商业发票。
单证员缮制与操作试题(答案)
BUSANKOREA
5. TIME OF SHIPMENT: BEFORE OCTOBER 02, 2005
6.PORTOFSHIPMENT: MAIN PORTS OFCHINA
7.PORTOFDESTINATION:BASAN,KOREA
8. INSURANCE: To be covered by the Buyer after shipment. (F.O.B terms)
11. REMATKS: The last date of L/C opening: 20 August, 2005.
国际商务单证缮制与操作试题 第3页(共10页)
BANK OF KOREA LIMITED, BUSAN
SEQUENCE OF TOTAL *27: 1/1
FORM OFDOC. CREDIT *40: REVOCABLE
DRAWEE42A: BANK OFKOREALIMITED, BUSAN
PARTIAL SHIPMENTS 43P: NOT ALLOWED
TRANSSHIPMENT 43T: NOTALLOWED
LOADING IN CHARGE44A: MAIN PORTS OFCHINA
FOR TRANSPORT TO… 44B:MAINPORTOFKOREA
国际商务单证缮制与操作试题 第4页(共10页)
练习六:缮制全套单据
练习六:缮制全套单据练习1:根据货物明细单和信用证缮制全套单据练习2:根据货物明细单和信用证缮制全套单据ORIGINAL中 国 人 民 保 险 公 司THE PEOPLE'S INSURANCE COMPANY OF CHINA总公司设于北京 一九四九年创立 Head Office: BEIJING Established in 1949保 险 单 保险单号次INSURANCE POLICY POLICY NO :中 国 人 民 保 险 公 司THIS POLICY OF INSURANCE WITNESSES THAT PEOPLE'S INSURANCE COMPANY OF CNINA (HEREINAFTER (以 下 简 称 本 公 司) 根 据CALLED “THE COMPANY “)A T THE REQUEST OF (以 下 简 称 被 保 险人) 的 要 求 , 由 被 保 险 人 向 本 公(HEREINAFTER CALLED “THE INSURED ”)AND IN CONSIDERATION OF THE AGREED PAID TO THE COMPANY 司 缴 付 约 定 的 保 险 ,按本 保 险 单 承 保 险BY THE INSURED UNDERTAKES TO INSURE THE UNDERMENTIONED GOODS IN TRANSPORTATION SUBJECT 别 和 背 面 所 载 条 款 下 列 特 承 保 下 述 货 物 运 输 保 险, 特 立 此 单TO THE CONDITIONS OF THIS POLICY AS PER THE CLAUSES PRINTED OVERLEAF AND OTHER SPECIAL CLAUSES ATTACHED HEREON总保险金额:TOTAL AMOUNTINSURED:保费费率装载运输工具PREMIUM AS ARRANGED RA TE AS ARRANGED PER CONVEYANCE开航日期自至SLG. ON OR ABT. FROM TO承保险别:CONDITIONS所保货物,如遇出险,本公司凭本优险单及其他有关证件给付赔款。
单证缮制与操作试题
2019年全国外经贸单证专业培训考试单证缮制与操作试题(考试时间:6月23日下午16﹕00—18﹕00)一、根据已知资料回答以下单选题,请在答题纸上作答(每小题2分,共40分)SALES CONTRACTThe Seller:SHANGHAI ESHOW INTERNATIONAL CO., LTD.Address: 17 KONGJIANG ROAD, SHANGHAI,CHINA Contract No. MC191537 Date: JUL. 12,2019 The Buyer: PARM TRADING CORP.Address: RM1001 TOWER BUILDING NY,USAThis 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:Time of Shipment: Before the end of Sep. , 2019.Loading Port and Destination: FROM SHANGHAI,CHINA TO NEWYORK, USA.Partial Shipment: NOT ALLOWED.Transshipment: ALLOWEDInsurance: To be effected by the seller for 110% invoice value covering All Risks and War Risk.Terms of Payment: By L/C at 30 days after sight, reaching the seller before Aug. 15,2019, and remaining valid for negotiation in China for further 15 days after the effected shipment. L/C must mention this contract number. L/C advised by BANK OF CHINA. All banking Charges outside China (the mainland of China) are for account of the Drawee.Documents:+ Signed commercial invoice in triplicate.+ Full set (3/3) of clean on board ocean Bill of Lading marked “Freight Prepaid”made out to order blank endorsed notifying the applicant.+ Insurance Policy in duplicate endorsed in blank.+ Packing List in triplicate.+ Certificate of Origin issued by China Chamber of CommerceSigned by:THE SELLER: THE BUYER:SHANGHAI ESHOW INTERNATIONAL CO., LTD. PARM TRADING CORP.XIAY AN PETER1.根据合同,合理的信用证开证日期应为A. Before Aug.15, 2019B. Aug.16,2019C. July 15,2019D. Before the end of Sept.2.如果提单日期为Sept.15, 2019,信用证的有效期应为A. Sept.30, 2019B. Sept.15, 2019C. July 15, 2019D. Aug.15, 20193.根据合同,信用证的到期地点应为A.开证申请人所在地B.货物所在地C.受益人所在地D.目的港4.根据合同,信用证的开证申请人应为A. SHANGHAI ESHOW INTERNATIONAL CO.LTD.B. PARM TRADING CORP.C. BANK OF CHINAD. BANK OF AMERICA5.根据合同,信用证的受益人应为A. SHANGHAI ESHOW INTERNATIONAL CO., LTD.B. PARMN TRADING CORP.C. BANK OF CHINAD. BANK OF AMERICA6.根据合同,信用证金额应为A. USD61.50B. USD61.00C. USD307,500.00D. USD307,000.007.根据合同,信用证的付款期限应为A.即期B.出票后30天C.提单日期后30天D.见票后30天8.根据《UCP600》,信用证项下汇票的付款人应为A.开证行B.开证申请人C.受益人D.通知行9. 根据合同,信用证采用的贸易术语应为A.CIFB.FOBC.CFRD.CIP10.根据合同,包装应该是A.木箱装B.纸箱装C.铁箱装D.塑料箱装11.根据合同,信用证关于分批装运和转船的规定应为A.允许分批不允许转船B.不允许分批允许转船C.允许分批允许转船D.不允许分批不允许转船12.根据合同,信用证的装运港应为A.天津B. 纽约C. 洛杉矶D. 上海13. 根据合同,信用证的目的港应为A.天津B. 纽约C. 洛杉矶D. 上海14.根据合同,信用证的装运日期规定正确的是A. before Sept.15, 2019B. before Sept.1, 2019C. before Sept.30, 2019D. Sept.30, 201915.按照惯例,信用证项下商业发票的签署人应为A.出口地商会B.出口地银行C.受益人D.开证申请人16.按照合同,保险加成比例应该是A.10%B.20%C.30%D.5%17.按合同,保险单的险别应为A.平安险B.平安险加战争险C.一切险D.一切险加战争险18.根据合同,信用证项下海运提单的抬头应为A.TO ORDERB. TO ORDER OF APPLICANTC. TO BEARERD. TO PARM TRADING CORP.19.根据合同,信用证项下原产地证明的出单人应为A.受益人B.出口地商会C.出口地银行D.出口地海关20.按惯例,承担信用证开证费用的人应为A.议付行B.受益人C.开证行D.开证申请人二、根据所给相关资料指出下列进口单据中错误的地方。
单证员缮制与操作模拟试题及答案_1
单证员缮制与操作模拟试题及答案一、单选题(共10题,共20分)1.国际上普遍对于不符点单据的交单,规定出口商提供给议付行的额外单据是()A.权威机构出具的检验证书B.担保书( indemnity )C.出口商的财务报表D.出口商的经营情况2.如果信用证没有规定装运日期,应理解为装运期与该证有效期为同一天即双到期。
但需注意的是()A.最迟装运日期不得因为信用证到期日及或装运日后交单期限的顺延而顺延。
即如果效期由于银行的非营业日而顺延,装期跟着顺延,装期仍然以信用证规定的效期为最迟装运日期B.最迟装运日期因为信用证到期日及或装运日后交单期限的顺延而顺延即如果效期由于银行的非营业日而顺延,期不能跟着顺延,装期仍然以信用证规定的效期为最迟装运日期C.最迟装运日期因为信用证到期日及或装运日后交单期限的顺延而顺延。
即如果效期由于银行的非营业日而顺延,装期跟着顺延,装期仍然以信用证规定的效期为最迟装运日期D.最迟装运日期不得因为信用证到期日及或装运日后交单期限的顺延而顺延。
即如果效期由于银行的非营业日而顺延,装期不能跟着顺延,装期仍然以信用证规定的效期为最迟装运日期3.保险金额大小写必须一致;金额必须符合信用证的要求,如信用证未注明金额要求时,应按发票上货物金额的()投保。
投保货币按信用证(有特殊规定的除外)A.110%B.100%C.90%D.120%4.托运人( Shipper),亦称发货人( Consignor),一般应为()。
A.信用证申请人B.进口商或其代理人C.出口商或信用证的受益人D.议付行5.“ 抬头人” ,表明发票是开给谁的,一般应是()进口商的名称和详细地址。
如为信用证支付。
A.出口商的名称和详细地址B.进口商银行的名称和详细地址C.出口商银行的名称和详细地址D.进口商的名称和详细地址6.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.货运人的意愿填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7.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 AB 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8.采用信用证方式的,按L/C 要求办,若没有具体要求时,发票的抬头应做成()A.受益人B.开证行C.L/C 的开证申请人D.议付行9.汇票的受票人即付款人的表示法,在托收方式项下,T0后面填()A.一般 TO 后面填进口商,当合同或进口商有特别要求时,可考虑按要求办理B.出口商C.出口商的议付行D.通知行10.在信用证支付方式的交易中,制作单据的主要依据是()A.买卖合同B.信用证C.发票D.进出口许可证二、多选题(共10题,共20分)11.所谓清洁运输单据是指承运人未在运输单据上加注针对货物表面状况的不良批注。
提单缮制练习
1、下面是一份信用证的有关资料,请认真阅读信用证并根据信用证的要求缮制有关结汇单据。
ISSUE OF A DOCUMENTARY CREDITISSUING BANK :ASAHI BANK LTD., TOKYOCREDIT NUMBER:0011LC123756DATE OF ISSUE:20030405EXPIRY:DA TE 20030615 PLACE:CHINAAPPLICANT:ABC CORPORATION, OSAKA, JAPANBENEFICIARY:GUANGDONG TEXITILE IMP.ANDEXP. WOOLEN KNITWEARS COMPANY LTD.168 XIAOBEI ROAD, GUANGHZOU 510045, CHINA AMOUT:USD48,400.00A V AILABLE WITH/BY:ASAHI BANK LTD., NEW YORK BRANCH BY NEGOTIATIONDRAFTS A T----:DARFTS A T SIGHT FOR FULL INVOICE V ALUEDRAWEE:ASAHI BANK LTD., TOKYOLOADING IN CHARGE:GUANGZHOU PORTFOR TRANSPORT TO :OSAKA, JAPANLA TEST DA TE OF SHIPMENT:20030531DESCRIPT. OF GOODS:LADIES GARMENTS AS PER S/C NO.123 PACKING: 10PCS/CTN ART NO. QUANTITY UNIT PRICESTYLE NO.ROCOCO 4,000PCS USD5.1/PCSTYLE NO.FLORES 3,500PCS USD8.0/PCPRICE TERM : CIF OSAKADOCUMENTS REQUIRED:*3/3 SET OF ORIGINAL CLEAN ON BOARD OCEAN BILLS OF LADING MADE OUT TO ORDER OF SHIPPER AND BLANK ENDORSEDAND MARKED “FREIGHT PREPAID” NOTIFY APPLICANT (WITH FULLNAME AND ADDRESS).*ORIGIANL SIGNED COMMERICAL INVOICE IN 5 FOLD.*INSURANCE POLICY OR CETIFICA TE IN 2 FOLD. ENDORSED INBLANK, FOR 110PCT OF THE INVOICE V ALUE COVERING THEINSTITUET CARGO CLAUSES(A), THE INSURANCE WAR CLAUSES,INSURANCE CLAIMS TO BE PAYABLE IN JAPAN IN THE CURRENCYOF THE DRAFTS.*CERTIFICATE OF ORIGIN GSP FORM A IN 1 ORIGINAL AND 1 COPY.*PACKING LIST IN 5 FOLD.ADDITIONAL COND.:1. T/T REIMBURSEMENT IS PROHIBITED.2. THE GOODS TO BE PACKED IN EXPORT STRONG COLORED CARTONS.3. SHIPPING MARKS: ITOCHU/OSAKA/NO.1-750把下列提单中标有(1)~(14)的地方填写完整。
单证操作与缮制部分
副本提单 bill of lading copy
大副收据 mate's receipt
海运单 sea waybill
空运单 air waybill
单证操作与缮制部分
主空运单 master air waybill 分空运单 house air waybill 多式联运提单 combined transport bill of lading/ multimoda bill of lading 优惠原产地证书 preference certificate of origin
单证操作与缮制部分
(五)信用证种类 1 . revocable L/C/irrevocable L/C 3 . sight L/C/usance L/C L/C 可转让信用证 5 . untransferable L/C 6 . revolving L/C 7 . documentary L/C/clean L/C 不可转让信用证 循环信用证 跟单信用证/光票信用证 可撤销/不可撤销信用证 即期信用证/远期信用证
短装条款”,包括溢短装的幅度、由何方掌握溢短装的选择 权以及溢短装部分的计价方法。 (四)包装条款(packing) 包括包装方式、包装材料、包装规格、包装标志和包装 费用等。由买方提供包装标志和包装物料时,在包装条款中 应规定提供的最迟期限以及未能及时提供而影响货物出运时 所应承担的责任。
合同条款基本内容
(3)in one's favour
(4)favouring yourselves
以……为受益人
以你本人为受益人
3. drawee 付款人(或称受票人,指汇票) (1)to drawn on(or :upon) 以(某人)为付款人 (2)to value on 以(某人)为付款人
单证缮制与操作试卷四答题
一、根据所给资料用英文缮制一般原产地证书、海运提单、汇票各一份。
1)有关资料如下:GW:14077.00KGS,NW:12584.00KGS, MEAS: 35CBM, 包装件数:3298卷(ROLLS),所有货物被装进2×20' CONTAINER, CONTAINER NO.:HSTU157504,TSTU156417,提单号码: SHANK00710,船名:DANUBHUM/S009;提单日期:2008年4月5日。
发票号码:BJ95 发票日期:2008年3月5日H.S code:2806.0000 产地证号码:CO3489012)信用证如下所示:SEQUENCE OF TOTAL *27 : 1 / 1FORM OF DOC,CREDIT *40 A : IRREVOCABLEDOC. CREDIT NUMBER *20 :HK1112234DATE OF ISSUE 31 C :080101APPLICABLE RULES 40E::UCP LATEST VERSIONDATE AND PLACE OF EXPIRY *31D : DATE080431 PLACE IN SHANGHAIAPPLICANT *50 :YOU DA TRADE CO.,LTD.,101 QUEENS ROAD CENTRAL,HONGKONGTEL: 852-********ISSUING BANK 52 A :BANK OF CHINA, HONGKONG BRANCHBENEFICIARY *59 :KUNSHAN HUACHENG WEAVING AND DYEING CO.,LTDHUANGLONG RD., LIUJIA ZHEN,SHANGHAI, CHINATEL: 86-520-7671386AMOUNT *32 B :CURRENCY USD AMOUNT 33, 680.00AVAILABLE WITH / BY *41 D :ANY BANK IN CHINABY NEGOTIATIONDRAFTS AT … 42 C :DRAFTS AT SIGHTDRAWEE 42 A :OURSELVESPARTIAL SHIPMENTS 43 P :NOT ALLOWEDTRANSSHIPMENT 43 T :NOT ALLOWEDLOADING ON BOARD 44 A :SHANGHAIFOR TRANSPORTATION TO … 44 B :HONGKONGLATEST DATE OF SHIPMENT 44 C : 080415DESCRIPT OF GOODS 45 A : 100000YARDS OF 100PCT NYLON FABRICSUNIT PRICE USD0.3368/YD, TOTAL AMOUNT USD33680.00DETAILS AS PER CONTRACT NO. 99WS061PRICE TERM: CIF HONGKONGSHIPPING MARK: YOU DAHONGKONGR/NO.:1-3298DOCUMENTS REQUIRED 46 A :1、SINGED COMMERCIAL INVOICE IN 5 FOLDS INDICATING L/C NO. AND CONTRACTNO. 99WS061.2、FULL SET (3/3) OF CLEAN ON BOARD MARINE BILLS OF LADING MADE OUTTO ORDER AND BLANK ENDORSED, MARKED ‘FREIGHT PREPAID’ AND NOTIFYTHE APPLICANT.3、INSURANCE POLICY OR CERTIFICATE IN 2 FOLDS FOR 110 PCT OF THE INVOICEVALUE INDICATING CLAIM PAYABLE AT DESTINATION COVERING OCEANTRANSPORTATION ALL RISKS AND WAR RISKS AS PER ICC CLAUSES.4、PACKING LIST IN 3 FOLDS INDICATING GROSS AND NET WEIGHT OF EACHPACKAGE.5、CERTIFICATE OF ORIGIN IN 3 FOLDS.ADDITIONAL CONDITIONS 47A:1、ON DECK SHIPMENT IS NOT ALLOWED.2、ALL DOCUMENT MUST BE MANUALLY SIGNED.PERIOD FOR PRESENTATION 48: DOCUMENTS MUST BE PRESENTED WITHIN 15 DAYS AFTERTHE DATE OF SHIPMENT BUT WITHIN THE VALIDITY OF THECREDIT.BILL OF EXCHANGESNo. (1): BJ95For: (2)USD33, 680.00(3-4) SHANGHAI, APRIL 26,2008 (amount in figure) (place and date of issue)At (5) *******sight of this FIRST Bill of Exchange (SECOND being unpaid) Pay to the order of (6) ANY BANK IN CHINAthe sum of (7) SA Y U.S.DOLLARS THIRTY THREE THOUSAND AND SIX HUNDRED EIGHTY ONL Y.(amount in words)Drawn under (8) BANK OF CHINA, HONGKONG BRANCHL/C No. (9) HK1112234dated (10)To: (11)BANK OF CHINA, HONGKONG BRANCHFor and on behalf of(12) KUNSHAN HUACHENG WEAVING AND DYEING CO.,LTDX X XCHINA。
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《国际结算》专题1:单据缮制练习实训1 汇票练习1.请根据以下制单资料缮制汇票ISSUING BANK: DEUTSCHE BANK(ASIA) HONGKONGL/C NO. AND DATE: 756/05/1495988, NOV. 20, 2008AMOUNT: USD19,APPLICANT: MELCHERS LTD., RM. 1210, SHUNTAK CENTRE,200 CONNAUGHT ROAD, CENTRAL, HONGKONGBENEFICIARY: CHINA NATIONAL ARTS AND CRAFTS IMP. & EXP. CORP. GUANG DONG (HOLDINGS) BRANCH.WE OPENED IRREVOCABLE DOCUMENTS CREDIT AVAILABLE BY NEGOTIATION AGAINST PRESENTATION OF THE DOCUMENTS DETAILED HEREIN AND OF THE BENEFICIARY’S DRAFTS IN DUPLICATE AT SIGHT DRAWN ON OUR BANK.INV. NO.: ITBE001121DATE OF NEGOTIATION: DEC. 20 ,2008凭Drawn under…………………………………………………信用证第号L/C NO………………………………日期Dated……………………………按息付款Payable with interest @....……....% per annum号码汇票金额中国,广州年月日No: ……………Exchange for Guangzhou, China…………………….…………见票日后(本汇票之副本未付)At…………..……. Sight of this FIRST of Exchange (Second of exchange being unpaid)pay to the order of ……或其指定人付金额The sum of此致To…………………………………………………………………………………………练习2、根据以下所给销售合同填制汇票一份,提单的日期为12月8日SALES CONFIRMATIONNO.: 08CAN – 1108DATE: NOV. 08 ,2008 SELLER:JIANGSU INTERNATIONAL IMP. &. EXP. CORP. LTD.80 ZHONGSHAN ROAD , NANJING, CHINAFAX : 86- TEL : 86-BUYER:SHEMSY NEGOCE ID CORP.75ROUTE 96570 DARDILLY , FRANCYFAX:33-56- TEL:33-56-THIS SALES CONFIRMATION IS HEREBY MUTUALLY CONFIRMED,PACKING:AS PER BUYER’S DEMANDSSHIPPING MARKS: AS PER BUYER’S DEMANDSSHIPMENT:X TO BE MADE(45 DAYS BY SEA AFTER BECEIVED 30% T/T PAYMENT)FROM CHINA PORT TO________(AS BUYER’S DEMANDS)PARTIAL SHIPMENTS ANDTRANSSHIPMENT ARE ALLOWED.PAYMENT:X 30% T/T INDEPOSIT ,70% D/P 30 DAYS AFTER SIGHTINSURANCE:______ TO BE EFFECTED BY THE SELLER FOR ()% OF INVOICEVALUE TO COVER ()RISK AND WAR RISK UPTP ()AS PERTHE OCEAN MARINE CARGO CLAUSE AND WAR RISK CLAUSE OF THEPEOPLE’S INSURANCE COMPANY OF CHINA X TO BE EFFECTED BYTHE BUYERSELLER:JIANGSU INTERNATIONAL IMP. &. EXP. CORP. LTD. ( SIGN ATURE )BUYER :SHEMSY NEGOCE ID CORP. ( SIGN ATURE )凭不可撤销信用证Drawn under……………………………………Irrevocable L/C No………………日期Dated……………………………按息付款Payable with interest @....……....% per annum号码汇票金额中国,南京年月日No: ……………Exchange for Guangzhou, China…………………….…………见票日后(本汇票之副本未付)At…………..……. Sight of this FIRST of Exchange (Second of exchange being unpaid)pay to the order of ……或其指定人付金额The sum of此致To…………………………………………………………………………………………实训2 商业发票商业发票范例:练习1 根据实训1的练习2所给的销售合同制作商业发票。
注意:该批货物最终运至法国马赛港(MARSELLILLES)JIANGSU INTERNATIONAL IMP. & EXP.80 ZHONGSHAN ROAD , NANJING, CHINA FAX : 86-TEL : 86-COMMERCIAL INVOICETO:INVOICE NO.:____________INVOICE DATE:____________S/C NO.:_____________ORDER NO.:_____________ FROM:____________________________________________ TO:_______________________TOTAL:SAY TOTAL:实训3 装箱单练习1、根据以下销售合同制作一份装箱单,注意该批货物最终目的地为法国的马赛港(MARSEILIES)SALES CONFIRMATIONNO.: 08CAN – 1109DATE: NOV. 08 ,2008SELLER:JIANGSU INTERNATIONAL IMP. & EXP. CORP. LTD.80ZHONGSHAN ROAD , NANJING, CHINAFAX : 86- TEL : 86-BUYER:SHEMSY NEGOCE ID CORP.76ROUTE 96570 DARDILLY , FRANCYFAX:33-56- TEL:THIS SALES CONFIRMATION IS HEREBY MUTUALLY CONFIRMED,TERMS AND CONDITIONS ARE AS FOLLOWS:PACKING:ONE SET IN ONE SEAWORTHY CARTONGROSS WEIGHT:EACH CARTONNET WEIGHT:EACH CARTONMEASUREMENT(L*W*H):82.5CM*25.5CM*61CM PER CARTONSHIPPING MARKS :AS PER BUYER’S DEMANDSSHIPMENT:X TO BE MADE (45 DAYS BY SEA AFTER BECEIVED 30% T/T PAYMENT)FROM CHINA PORT TO (AS BUYER’S DEMANDS)PARTIAL SHIPMENTS ANDTRANSSHIPMENT ARE ALLOWED.PAYMENT:X 30% T/T INDEPOSIT ,70% D/P 30 DAYS AFTER SIGHTINSURANCE:______ TO BE EFFECTED BY THE SELLER FOR ()% OF INVOICE VALUE TO COVER ()RISK AND WAR RISK UPTP ()AS PER THE OCEAN MARINECARGO CLAUSE AND WAR RISK CLAUSE OF THE PEOPLE’S INSURANCECORPANY OF CHINA X TO BE EFFECTED BY THE BUYER SELLER:JIANGSU INTERNATIONAL IMP. &. EXP. CORP. LTD. ( SIGNATURE )BUYER :SHEMSY NEGOCE ID CORP. ( SIGN ATURE )JIANGSU INTERNATIONAL IMP. & EXP. CORP.80ZHONGSHAN ROAD , NANJING, CHINATEL : 86- FAX : 86-PACKING LISTTO: INVOICE NO.DATE:CONTRACT NO.: FROM: TO:SAY TOTAL:实训4 运输单据练习1 根据下列信用证有关内容,填制集装箱货物托运单一份。
DC NO.: 1-01-F-05776 DATED 08.08.10BENEFICIARY: CHINA NATIONAL LIGHT PORDUCTS I/E CORP, JIANGSU(GROUP). 2, QIAN GUANG ROAD. NANJING.APPLICANT: EVES DISTRIBUTIORS LTD.2C SUNBRUY INDUSTRIAL ESTATE, WALKINSTOWN DUBLIN 12. ORELAND.……SHIPMENT: PARTIAL SHIPMENTS ARE ALLOWED, TRANSSIPMENT IS ALLOWED. SHIPMENT FROM SHANGHAI TO DUBLIN, IRELAND, LATEST 08.09.30COVERING: 1,100 PIECES “HELM” BRAND WALL COLOCKS.SHIPPING MARKS: E V E SDUBLINMADE IN CHINA……DOCUMENTS REQUIRED:FULL SET ORIGINAL CLEAN ON BOARD OCEAN BILLS OF LADING MADE OUT TO ORDER ENDORSED IN BLANK, MARKED FREIGHT PREPAID NOTIFY1)EVES DISTRIBUTORS LTD., 2C SUNBURY INDUSTRIAL ESTATE, WALKINSTOWN DUBLIN 12,IRELAND.2)FIDELITY MERCANTILE CO., LTD., BOX 890, HONGKONG.THE GOODS ARE PACKED IN 110 CASES, NET WEIGHT:1,105 KGS.GROSS WEIGHT:1,895 KGS/MEAS:,VESSEL: CHANGHONG V565___________________________________________Shipper (发货人)________________________________________________________Consignee (收货人)集装箱货物托运单船代留底第________________________________________________________ 二Notify Party (通知人)联Pre-Carriage By (前程运输)Place Of Receipt (收货地点)Ocean Vessel(船名)Voy. No. (航次)Port Of Loading (装货港)Port Of Discharge(卸货港)Place Of Delivery (交货地点)Final Destination For The Merchant’s Refere(目的地)Container No. Seal No. No. Of Contai- Kind of Packages: Description of Goods Gross Weight Measurement (集装箱号) (封志号) ners Or P’Kgs.(包装种类与货名) 毛重(公斤) 尺码(立方米) Marks & Nos. (箱数或件数)(标记与号码)________________________________________________________________________________________________TOTAL MUMBER OF CONTAINERSOR PACKAGES(IN WORDS)集装箱数或件数合计(大写)_________________________________________________________________________________________________ FREIGHT &CHARGES Revenue Tons (运费吨) Rate(运费率) Per(每) Prepaid(运费预付) Collect(运费到付)(运费与附加费)________________________________________________________________________________________________Ex Rate: (兑换率) Prepaid At(预付地点) Payable At() Place Of Issue()练习2 根据下列资料填制海运提单一份(如需背书,请另外注明)。