国际商务单证缮制与操作真题2008年..
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”。
国际商务单证缮制与操作
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 CONTRACTTHE SELLER: NO. YH08039 SHANDONG YIHAI IMP. & EXP. CO.,LTD. DATE: DEC.1, 2008 NO. 51 JINSHUI ROAD, QINGDAO, CHINA SIGNED AT: QINGDAO,CHINA THE BUYER:LINSA PUBLICIDAD, S.A.V ALENCIA, 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:Price Terms Commodity & Specification QuantityUnit price Amount CARDHOLDERDYED COW LEATHER BLACKBROWN 5000PCS8000PCSFOB QINGDAOUSD1.45/PCUSD1.50/PCUSD 7250.00USD12000.00USD19250.00Total amount: U.S.DOLLARS NINETEEN THOUSAND TWO HUNDRED AND FIFTY ONL Y Packing: 1PC/POL YBAG, 500PCS/CTN Shipping Mark: L.P. Time of Shipment: DURING JAN. 2009 BY SEA BARCELONANOS.1-26 Loading Port and Destination:FROM QINGDAO TO BARCELONAPartial Shipment and Transshipment: ALLOWEDInsurance: 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 TOREACH THE SELLER 30 DAYS BEFORE THE MONTH OF SHIPMENTAND TO REMAIN V ALID FOR NEGOTIATION IN CHINA UNTIL THE15th DAY AFTER THE FORESAID TIME OF SHIPMENT.ISSUE 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 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 V ALUE 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 V ALIDITY OF THIS CREDIT49: CONFIRMATION INSTRUCTION:WITHOUT经审核信用证需要修改的内容如下:二、根据已知资料指出下列单据中错误的地方。
[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
(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
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。
08年5月国际商务英语等级考试(初级)试卷及答案
文档来源为:从网络收集整理.word 版本可编辑.欢迎下载支持.1全国外经贸从业人员认证考试国际商务英语等级考试(初级)试卷2008年5月Ⅰ.Listening test (每空1分,共20分)Part A Fill in the blanks with the words you have just heard._____________ I ’m lonely. It ’s difficult to _________ English all the time. I __________ want to speak my native language, but I __________ can. I usually practice vocabulary _________ one hour every day, and I seldom have ___________ understanding English. Most of the time the Stevensons _________ to help me. Their __________ Linda always teaches me new slang. I ’ll try to write to you __________, so we can ___________ English together.Part B Listen to the tape and translate the sentences into Chinese.1. ______________________________________ ___________.2. _____________________________________________ ____.3. ________________________________________ _________.文档来源为:从网络收集整理.word 版本可编辑.欢迎下载支持.24. ___________________________________________ ______.5. ______________________________________________ ___. Part C Listen to the tape explaining each person ’s appointment, and the time each arrived. Write “early ”, “ late ”. or “on time “ in the blanks.1. She was ___________.2. He was ____________.3. He was ____________.4. She was ____________.5. He was _____________.Ⅱ.Put the following Chinese into English (英译中,共 14分)1. 商品目录(1分)2. 销售网点(1分)3. 分批装运(1分)4. 装运单据(1分)5. 保险费(1分)6. 已装船通知(1分)7. 租船(1分)8. 商业信用(1分)文档来源为:从网络收集整理.word 版本可编辑.欢迎下载支持.39. 我们通常要求用不可撤销的即期信用证付款。
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‖。
国际商务单证缮制与操作模式试题(四)
国际商务单证缮制与操作模式(四)国际商务单证缮制与操作模式(四)一、单选题(共20题,共40分)1.信用证规定“Certificate of origin G. S. P. Form A in duplicate”,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3.报关单备注栏目应该选填下列哪项内容。
()A.机电产品进口配额证明B. 登记手册编号C.付汇赊销单编号D.三资企业委托代理进出口业务的委托单位全称4.采用信用证支付方式,受益人向客户收取货款的凭据是:()A.已装运的实际货物B.寄单银行要求开证银行付款的书面通知C.信用证符的全套单据D.买卖合同内容一致的全套单据5.单证缮制必须做到正确、完整、及时、简明和整洁,其中()是单证工作的前提。
A.正确B.完整C.及时D.简明6.各种单据的签发日期应符合逻辑性和国际惯例,通常()日期是议付单据出单最早时间。
A.发票B.提单C.保险单D.报关单7.根据联合国设计推荐使用的用英文字母表示的货币代码,如下表述不正确的是()Y65.00B.GBP65.00D65.00D.RMB65.008.狭义的单证是指()A.单据和文件B.信用证和证书C.结算单证D.信用证和文件9.以下关于联合国设计推荐使用的地名代码表述正确的是:()A.由五个前三个符号代表国名,后两个符号代表地名B.个英文字母符号组成,前两个符号代表国名,后三个符号代表地名C.个英文字母符号组成,前两个符号代表地名,后三个符号代表国名D.个英文字母符号组成,前三个符号代表各名,后两个符号代表国名10.在信用证项业务中,各有关方面当事人处理的是()A.单据B.货物C.服务D.其他行为11.各种单据的签发日期应符合逻辑性和国际惯例,通常()日期是确定各单据日期的关键。
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、根据合同审核信用证二、修改错误三、根据所给信用证缮制相关单据ISSUING BANK: BANK OF FUKUOKA, LTD. , THE TOKYOADVISING BANK: BANK OF CHINA, NINGBOSEQUENCE OF TOTAL: 131FORM OF DOC. CREDIT:IRREVOCABLEDOC. CREDIT NUMBER: H612-100672DA TE OF ISSUE :050422EXPIRY EATE :050521 PLACE: BENE'S COUNTRYAPPLICANT: SAKOYI CO. , LTD.2-7-11 DAIRITONOUE MOJI-KUKITAKYUSYU-CITY, JAPANBENEFICIARY:ZHEJIANG W ANDAO FOOK IMPORT AND EXPORT GROUP NO. 112 JIANZHONG ROAD. NINGBO, CHINAAMOUNT:CURRENCY JPY AMOUNT 1275000.00NEGOTIATION A V AILABLE WITH/BY:ANY BANKDRAFTS AT:DRAFT AT SIGHT FOR FULL INVOICE COSTDRAWEE: BANK OF FUKUOKA, LTD. , THE TOKYOPARTIAL SHIPMENTS: PERMITTEDLOADING IN CHARGE: NINGBOFOR TRANSPORT TO: MOJI, JAPANLATEST DATE OF SHIP. :050507DESCRIPT. OF GOODS:TRADE TERM CIF MOJI JAPANCANNED BOILED BAMBOO SHOOTSDOCUMENTS REQUIRED:+ SIGNED COMMERCIAL INVOICE IN 3 COPIES INDICATING CREDIT NO. + SEAWAY BILL IN THREE COPIES+ PCKING LIST IN FIVE COPIES+ INSURANCE POLICY IN 2 COPIES BLANK ENDORSED COVERING ALL RISKS AND W AR RISK FOR 110% INVOICE V ALUE, CLAIM IF ANY PAYABLE AT DESTINATION IN THE CURRENCY OF THE DRAFT.+ BENEIFICIARY CERTIFICATE CERTIFYING THAT THREE SETS COPIES OF NON-NEGOTIABLE CHIPPING DOCUMENTS HA VE BEEN AIRMAILED DIRECTL Y.ADDITIONAL COND. :REIMBURSEMENT BY TELECOMMUNICATION IS PROHIBITEDDETAILS OF CHARGES: ALL BANKING CHARGES OUTSIDE JAPAN ARE FOR ACCOUNT OF THE BENEFICIARY.PRESENTATION PERIOD: DOCUMENTS TO BE PRESENTED WITHIN 15DAYS AFTER THE DATE OF SHIPMENT BUT WITHIN THE V ALIDITY OF THE CREDIT.CONFIRMATION: WITHOUTINSTRUCTIONS:DRAFT AND DOCTS TO BE SENT BY AIR-COURIER TO OUR HEAD OFFICE, FUKUOKA (ADDRESS: 13-1 ,TENJIN2-CHOME, CHUO-KU, FUKUOKA,JAPAN)CONTRACT NO. :B9A15A3025 UNIT PRICE:CIF MOJI JPY850.00PER CAN TOTAL:JPY1275000.00 PACKING:IN CANS OF 20KGS EACHG.W. :22KGS EACH MEASUREMENT 0.018Ms EACH TOTAL:27.00M3SHIPPED PER M/V :CHANGHE V. 45 SW B/L NO. :89 INVOICE NO.: BP2011446 SHIPPING MARKS: W/DMOJL/NO. 1-UP 1.受益人证明4.装船通知ZHEJIANG W ANDAO FOOK IMPORT AND EXPORT GROUP NO. 112 JIANZHONG ROAD. NINGBO, CHINASHIPPING ADVICEDA TE:Messrs:Dear Sirs:Re:Invoice No.: L/C No.:We hereby inform you that the goods under the above mentioned credit have been shipped. The details of the shipment as stated below.Commodity:Quantity:Amount:Ocean Vessel:Bill of lading No.:E. T. D. :Port of Loading:Destination:We hereby certify that the above content is true and correct.ZHEJIANG W ANDAO FOOK IMPORT AND EXPORT GROUP国际商务单证缮制与操作试题一、根据所给合同审核信用证1.金额有误,未考虑溢短装后的金额。
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。
2008年全国国际商务单证员专业考试
2008年全国国际商务单证员专业考试国际商务单证基础理论与知识试题一、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2.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1万美元。
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. 自动与非自动循环使用3.某处贸企业对外以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.DDP4.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5.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6.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7.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、数最B.货名、品质、价格C.货名、价格、支付方式D.货名、数量、价格8.某公司出口惠普电脑共1,000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《CPU600》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日最迟装运期为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l日。
2008年《国际商务单证基础理论与知识》真题与参考答案
2 0 0 8年全国国际商务单证员专业考试参考答案一、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。
国贸08单证案例及答案(1)
本案…………………….
问:出口方这样做是否合理?为什么?
答:卖方这样做不合理。(2分)除非信用证规定货物指定数量不得增减,在支取金额不超过信用证规定金额的条件下,货物数量允许有5%的伸缩。但信用证规定货物数量按包装单位或个数计数时,此项伸缩不适用。(6分)本案中货物以“打”计数,不能适用5%的增减幅度。(2分)
3、2007年,我某公司向加拿大客户出口一批钢材,信用证规定装运期为“on/or about May 15th,2007”。受益人取得同年5月20日签发的提单。
8、我国某银行收到国外来证,证中有下述条款:(1)检验证书于货物装运前开立并由开证申请人授权的签字人签字,该签字必须由开证行检验;(2)货物只能待开证申请人指定船只并由开证行给通知行加押修改后装运,而该加押修改必须随同正本单据提交议付。
问:该信用证能不能接受?为什么?
答:不能接受。(2分)因为该证中两个条款都属于软条款,若接受这两个条款,则受益人完全无法控制所提交的单据是否符合要求,而失去了要求开证行付款的主动权。(2分)第一个条款,申请人可能不签字,或签字经开证行检验不合格;(3分)第二个条款,申请人可能不指定船只,可能不通知开证行修改,则受益人无法随同正本单据提交此项修改。(3分)
2008年国际商务单证员《国际商务单证缮制与操作》真题及详解
2008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、根据下述合同内容审核信用证,并指出不符之处。
(36分)SALES CONTRACTThe 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 terms and conditions stipulated below:Packing:In Cartons Shipping Mark: A.E.CHITTAGONGTime of Shipment: During May, 2008Loading Port and Destination: From Shanghai to ChittagongPartial Shipment and Transshipment are allowed.Insurance: To be effected by the buyerTerms of Payment: The Buyer shall open through a bank acceptable to the Seller an IrrevocableSight 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 BuyerSHANGHAI SHENG DA CO., LTD. ALFAGA ENTERPRISE信用证:SEQUENCE OF TOTAL 27∶1/1FORM OF DOC. CREDIT 40A∶IRREVOCABLEDOC.CREDIT NUMBER 20∶06660801DATE OF ISSUE 31C∶FEBRUARY 24,2008APPLICABLE RULES 40E∶UCP LATEST VERSIONDATE AND PLACE OF EXP. 31D∶MAY 23,2008 IN BANGLADESHAPPLICANT 50∶ALFAGA ENTERPRISE26,IMAMGONJDHAKA, BANGLADESHISSUING BANK 52A∶AB BANK LIMITEDIMAMGANJ BRANCH,40 IMAMGANJ, DHAKA-1211, BANGLADESHBENEFICIARY 59∶SHANGHAI DA SENG CO., LTD.UNIT C 5/F JINGMAO TOWERSHANGHAI,CHINA.AMOUNT 32B∶CURRENCY HKD AMOUNT 9800.00AVAILABLE WITH/.BY… 41D∶ANY BANK IN CHINABY NEGOTIATIONDRAFTS AT… 42C∶DRAFTS AT 60 DAYS SIGHTFOR 100PCT INVOICE VALUEDRAWEE 42D∶AB BANK LIMITED, IMAMGANJ BRANCHPARTIAL SHIPMENT 43P∶NOT ALLOWEDTRANSSHIPMENT 43T∶NOT ALLOWEDLOADING/DISPATCHING/TAKING 44A∶ANY CHINESE PORTSTRANSPORTATION TO… 44B∶CHITTAGANG SEA PORT, BANGLADESHLATEST DATE OF SHIPMENT 44C∶MAY 2,2008DESCRIP OF GOODS 45A∶TAPE RULES(1)2000 DOZ PAIR MODEL∶JH-395WSIZE∶3M × 16MM @HKD3.60 PER DOZEN CIF CHITTAGONG(2)500 DOZ PAIR MODEL∶JH-386WSIZE∶3M × 16MM @HKD4.20 PER DOZEN CIF CHITTAGONGPACKING∶EXPORT STANDARD SEAWORTHY PACKINGDOCUMENTS 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 SET OF ORIGINAL SHIPPING DOCUMENTS INCLUDING ORIGINAL“FORM A”HAS BEEN SENT DIRECTLY TO THE APPLICANT AFTER THE SHIPMENT.+INSURANCE POLICY OR CERTIFICATE ENDORSED IN BLANK FOR 110 PCT OF CIF VALUE, 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 NOTIFY APPLICANT.ADDITIONAL CONDITION 47A∶+ALL DRAFTS DRAWN HEREUNDER MUST BE MARKED “DRAWN UNDER AB BANK LIMITED,IMAMGANJ BRANCH CREDIT NO.06660801 DATED FEBRUARY 24,2008”+T/T REIMBURSEMENT IS NOT ACCEPTABLEDETAILS OF CHARGES 71B∶ALL BANKING CHARGES OUTSIDE BANGLADESH ARE FOR BENEFICIARY’S ACCOUNTPRESENTAION PERIOD 48∶DOCUMENTS MUST BE PRESENTED WITHIN 15 DAYS AFTER THE DATE OF ISSUANCE OF THE SHIPPING DOCUMENTS BUT WITHIN THE VALIDITY OF THE CREDIT.CONFIRMATION 49∶WITHOUTINSTRUCT.TO NEGOTIATING BANK 78∶ THE AMOUNT AND DATE OF NEGOTIATION OF EACHDRAFT 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,信用证存在的问题如下:___________________________________________________________________________ ___________________________________________________________________________ ___________________________________________________________________________ ___________________________________________________________________________【答案与解析】在实际业务中,信用证的开立以合同和相关惯例为依据。
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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。
4.商品规格不符。
合同中有两种规格:JH-392W和JH-380W,而信用证中显示的是“JH-395W和JH-386W”。
从对应的数字可以直接发现两者的不同。
5.单价不符。
合同中表格第3列显示的单价是“USD3.60/DOZ PAIR CFR CHITFAGONG”和“USD4.20/DOZ PAIRCFR CHITFAGON”,而信用证(45A)中则显示“HKD3.60 PER DOZEN CIF CHITFAGONG和HKD4.20 PER DOZEN CIF CHITYAGONG”。
6.总金额不符。
合同中的表格第4列(AMOUNT)列明的金额是USD9,300.00(以美元表示),信用证(32B)中的金额为CURRENCY HKD AMOUNT 9800.00(以港币表示,同时数字错误)。
7.包装不符。
合同规定货物包装为“Packing: In Cartons”(纸箱装),而信用证中规定“PACKING: EXPORT STANDARD SEAWORTHY PACKING”(出口标准的适宜海运包装)。
单纯从使用词汇也可以判断出两者的不同。
8.装运期不符。
合同规定的期限是2008年5月任何一天(During May,2008),信用证(44C)则规定“LATEST DATE OF SHIPMET: MAY 2,2008”(最迟装运期为2008年5月2日),这样就比合同规定的装运期足足提前了29天。
9.装运港(Loading port)不符。
合同规定在我国Shanghai发货,信用证(44A)显示“ANY CHINESE PORTS”(中国任意口岸)。
10.分批和转运要求不符。
合同中规定的是“Partial Shipment and Transshipment are allowed.”(允许分批和转运),而信用证(43P)规定不准分批(PARTIAL SHIPMENT: NOT ALLOWED),(43T)“TRANSSHIPMENT: NOT ALLOWED”(禁止转运)。
11.使用的贸易术语和单据要求不符。
因为合同使用的是CFR术语,规定由买方办理保险手续(Insurance: To be effected by the buyer),所以受益人不需要提交保险单据,而信用证(45A)中则显示CIF术语,并且在单据条款中要求受益人提交保险单(INSURANCE POLICY),这与合同显然不符。
12.付款期限不符。
合同中关于付款条件(Terms of payment)明确规定采用“Sight Letter of Credit”(即期信用证)支付,而所开立的信用证(42C)中规定的汇票付款时间却是“DRAFTS AT 60 DAYS SIGHT”(凭60天远期汇票支付),明显不符。
13.信用证到期地点不符。
合同中付款条件明确规定信用证在我国到期(“Valid for negotiation in China”),而信用证(31D)中显示的到期地为“MAY 23,2008 IN BANGLADESH”(在孟加拉国到期)。
以上所有内容均可以按合同和信用证进行对比找出其差异。
14.所采用的贸易术语和单据显示的内容不符。
本合同和信用证采用的是CFR交易条件,按此条件成交,受益人提交的提单上应注明“FREIGHT PREPAID”或“FREIGHT PAID”,不可显示“FREIGHT COLLECT”。
15.根据我国目前有关产地证的规定和做法,对孟加拉国出口时不应使用GSP FORM A 产地证,这种产地证主要用于我国向发达国家出口部分产品的情形。
二、审核分析[解题思路]今年第一次考核形式发票有关知识。
该种发票是在成交前由出口商开立的非正式的参考发票,主要目的在于供进口商申请进口许可或申请批准给予外汇等之用。
其与商业发票关系密切,两者许多内容相同。
以往考试每次均重点考核商业发票,如果仔细学习、研读过商业发票的填写,并且能基本读懂进口方订单和有关资料中提供的内容,准确完成本题目不成问题。
就本题所填内容解析如下:(1)形式发票的签发人(1ssuer):国际贸易中发票的签发人一定是出口方,所以正确答案填写为资料里提到的卖方名称和地址(SHANGHAI LUCKY SAFETY SCREENS CO., LTD UNIT C 2/F JINGMAO TOWER SHANGHAI,CHINA)。
(2)形式发票的抬头人(To):根据有关规定,发票的抬头应填写进口商的名称和地址即:RAM PLASTICS 201,HAUZ RANI,MALVIYA NAGAR,NEW DELHl 110017.INDIA。
(3)形式发票号码(Proforma invoice No.)答案来自补充资料3 Proforma invoice No.。
(4)形式发票日期(DA TE):答案来自补充资料4 Proforma invoice date。
(5)运输规定(Transport details):答案来自补充资料6:Port of loading and destination。
(6)合同号(S/C NO.):答案来自补充资料5。
(7)付款条件(Terms of payment):答案来自补充资料7,是对出口方有利的预付货款,业务中俗称“前T/T”。
(8)唛头(MARKS AND NUMBERS):答案来自补充资料提示,由考生目行确定。
ISO规定的标准唛头式样包括四部分:进口商代码或简称(答案中为进口商两个单词的字母缩写)、合同或信用证等参考号(答案为合同号)、目的地(印度的Nhava Sheva)和件号(由于没有明确多少rolls装一个包装单位,所以答案中没有明确具体件数,同时由于不是正式发票,也允许不具体列明货物件数)。
(9)货物描述(DESCRIPTION OF GOODS AND QUANTITY):分别填写买方订单中提及的五种规格的货物及数量,最后列明货物总数量200 rolls。
注意填写内容应完整、全面,不要遗漏。
(10)单价(UNIT PRICE):按规定,国际贸易单价由单位金额、币别、贸易术语、计量单位四项内容组成。
相关答案直接来自于补充资料9里面的提示。
注意单价填写不要完全照搬照抄,一般的做法是将五种规格的货物的价格中相同的部分单独列明,对应相应规格显示不同的价格数字即可。
本部分答案也可以显示为:第一行:贸易术语,第二行:USD/roll,第三行只显示带小数的数字。
注意填写单据时不同规格与单价的对齐。
(11)总值(AMOUNT):应填写每种规格货物的单价与其对应数量的乘积,应首先准确计算,然后对应相关规格货物显示Sub-total金额,最后加总。
实践中为避免不必要的麻烦,即便金额是整数,其小写金额也应保留小数点后两位。
以上内容均可以通过所给形式发票样张中的相应栏目准确填写。
由于形式发票作用之一是提供给进口方以便于其申请外汇或开立信用证,所以试题中最后一项(12)一定填写补充资料10中所给的开证路线:受益人的开户行名称、地址、SWIFT代码、受益人名称、账号和地址。
三、汇票参考答案:[解题思路]按目前比较流行的说法,汇票已被考核“N”次。
这样的内容再次出现无疑于给考生送分。
信用证付款条件下的汇票内容通常包括:出票依据、L/C号、开证日期、汇票号、大小写金额、出票日期和地点、汇票付款期限、受款人、受票人和出票人等(本次考试要求考生必填项目)。
不同国家银行印制的汇票格式、内容略有不同,不同付款方式下汇票内容的填写也会有所区别。
填写本题汇票上述内容的主要依据来自信用证,只有汇票号码的答案来自补充资料。
具体分析如下(自上而下,从左到右。
本题解析中涉及的诸如52A或32B等数字表示SWIFT MT700格式中的数字编码):(1)出票依据(Drawn under)表明根据什么填写制作汇票。
信用证项下此栏填写开证行(信用证中的“52A”ISSUING BANK的意思就是开证行)名称和地址。
(2)信用证号码(L/C NO.)所填写的“LC196107800”答案来自信用证“20”。
(3)开证日期(Dated)英文顺序表达信用证“31”中的日期,其中月份通常以英文全称或简称明确。
(4)汇票金额(Exchange for)栏填写汇票的小写金额。
答案来自信用证“32B”。
(5)汇票号码(NO.)。
为方便查阅、对比,多数贸易公司实践中把发票号码作为汇票号。
答案来自补充资料1的规定。
(6)出票日期。
信用证“71B”规定应在装运单据签发后10天内交单,同时补充资料明确提单日为11月29日,所以考生应自行确定有关日期。