信用证格式 经典
信用证范本含注释Word文档
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信用证样本(中英文对照)TO:BANK OF CYPRUS LTDLETTERS OF CREDIT DEPARTMENTNTCOSIA COMMERCIAL OPERATIONS CENTERINTERNATIONAL DIVISION************TEL:******FAX:******TELEX:2451 & 4933 KYPRIA CYSWIFT:BCYPCY2NDATE:23 MARCH 2005APPLICATION FOR THE ISSUANCE OF A LETTER OF CREDIT SWIFT MT700 SENT TO:MT700转送至STANDARD CHARTERD BANKUNIT 1-8 52/F SHUN NIND SQUAREO1 WANG COMMERCIAL CENTRE,SHEN NANROAD EAST,SHENZHEN 518008 - CHINA渣打银行深圳分行深南东路5002号信兴广场地王商业大厦52楼1-8单元电话: 82461688:27: SEQUENCE OF TOTAL序列号1/1 指只有一张电文:40A: FORM OF DOCUMENTARY CREDIT跟单信用证形式IRREVOCABLE 不可撤消的信用证:20OCUMENTARY CREDIT NUMBER信用证号码00143-01-0053557:31C: DATE OF ISSUE开证日如果这项没有填,则开证日期为电文的发送日期。
:31DATE AND PLACE OF EXPIRY信用证有效期050622 IN CHINA 050622在中国到期:50: APPLICANT 信用证开证审请人******* NICOSIA 较对应同发票上是一致的:59: BENEFICIARY 受益人CHAOZHOU HUALI CERAMICS FACTORYFENGYI INDUSTRIAL DISTRICT, GUXIANG TOWN, CHAOZHOU CITY,GUANGDONG PROVINCE,CHINA.潮州华利陶瓷洁具厂:32B: CURRENCY CODE,AMOUNT 信用证项下的金额USD***7841,89:41D:AVAILABLE WITH....BY.... 议付适用银行STANDARD CHARTERED BANKCHINA AND/OR AS BELOW 渣打银行或以下的BY NEGOTIATION 任何议付行:42CRAFTS AT 开汇票SIGHT 即期:42A RAWEE 付款人BCYPCY2NO10BANK OF CYPRUS LTD 塞浦路斯的银行名:43PARTIAL SHIPMENTS 是否允许分批装运NOT ALLOWED 不可以:43T:TRANSHIPMENT转运ALLOWED允许:44AOADING ON BOARD/DISPATCH/TAKING IN CHARGE AT/FROM...装船港口SHENZHEN PORT深圳:44B:FOR TRANSPORTATION TO 目的港LIMASSOL PORT发票中无提及:44C: LATEST DATE OF SHIPMENT最后装船期050601:045A ESCRIPTION OF GOODS AND/OR SERVICES 货物/服务描述SANITARY WARE 陶瓷洁具F O B SHENZHEN PORT,INCOTERMS 2000 fob深圳港,INCOMTERMS 2000:046A OCUMENTS REQUIRED 须提供的单据文件*FULL SET (AT LEAST THREE) ORIGINAL CLEAN SHIPPED ON BOARD BILLSOF LADING ISSUED TO THE ORDER OF BANK OF CYPRUS PUBLIC COMPANYLTD,CYPRUS,NOTIFY PARTIES APPLICANT AND OURSELVES,SHOWING全套清洁已装船提单原件(至少三份),作成以“塞浦路斯股份有限公司”为抬头,通知开证人和我们自己,注明CREDIT.运费在目的港付注明该信用证号码*PACKING LIST IN 3 COPIES.装箱单一式三份*CERTIFICATE ISSUED BY THE SHIPPING COMPANY/CARRIER OR THEIR AGENT STATING THE B/L NO(S) AND THE VESSEL(S) NAME CERTIFYING THAT THE CARRYING VESSEL(S) IS/ARE: A) HOLDING A VALID SAFETY MANAGEMENT SYSTEM CERTIFICATE AS PER TERMS OF INTERNATIONAL SAFETY MANAGEMENT CODE ANDB) CLASSIFIED AS PER INSTITUTE CLASSIFICATION CLAUSE 01/01/2001 BY AN APPROPRIATE CLASSIFICATION SOCIETY由船公司或代理出有注明B/L号和船名的证明书证明他们的船是:A)持有根据国际安全管理条款编码的有效安全管理系统证书; 和B)由相关分级协会根据2001年1月1日颁布的ICC条款分类的.*COMMERCIAL INVOICE FOR USD11,202,70 IN 4 COPIES DULY SIGNED BY THE BENEFICIARY/IES, STATING THAT THE GOODS SHIPPED:A)ARE OF CHINESE ORIGIN.B)ARE IN ACCORDANCE WITH BENEFICIARIES PROFORMA INVOICE NO.HL050307 DATED 07/03/05.由受益人签署的商业发票总额USD11,202,70一式四份,声明货物运输:A)原产地为中国B)同号码为HL050307 开立日为 07/03/05的商业发票内容一致:047A: ADDITIONAL CONDITIONS附加条件* THE NUMBER AND DATE OF THE CREDIT AND THE NAME OF OUR BANK MUSTBE QUOTED ON ALL DRAFTS (IF REQUIRED).信用证号码及日期和我们的银行名必须体现在所有单据上(如果有要求)*TRANSPORT DOCUMENTS TO BE CLAUSED: ’VESSEL IS NOT SCHEDULED TOCALL ON ITS CURPENT VOYAGE AT FAMAGUSTA,KYRENTA OR KARAVOSTASSI,CYPRUS.运输单据注明" 船在其航行途中不得到塞***的Famagusta, Kyrenta or Karavostassi这些地方*INSURANCE WILL BE COVERED BY THE APPLICANTS.保险由申请人支付*ALL DOCUMENTS TO BE ISSUED IN ENGLISH LANGUAGE.所有单据由英文缮制*NEGOTIATION/PAYMENT:UNDER RESERVE/GUARANTEE STRICTLY 保结押汇或是银行保函PROHIBITED. 禁止*DISCREPANCY FEES USD80, FOR EACH SET OF DISCREPANT DOCUMENTS PRESENTED UNDER THIS CREDIT,WHETHER ACCEPTED OR NOT,PLUS OURCHARGES FOR EACH MESSAGE CONCERNING REJECTION AND/OR ACCEPTANCEMUST BE BORNE BY BENEFICIARIES THEMSELVES AND DEDUCTED FROM THEAMOUNT PAYABLE TO THEM.修改每个单据不符点费用将扣除80美元(最多40)*IN THE EVENT OF DISCREPANT DOCUMENTS ARE PRESENTED TO US AND REJECTED,WE MAY RELEASE THE DOCUMENTS AND EFFECT SETTLEMENT UPON APPLICANT’S WAIVER OF SUCH DISCREPANCIES,NOTWITHSTANDING ANY COMMUNICATION WITH THE PRESENTER THAT WE ARE HOLDING DOCUMENTS ATITS DISPOSAL,UNLESS ANY PRIOR INSTRUCTIONS TO THE CONTRARY ARE RECEIVED.如果不符点是由我方提出并被拒绝,我们将视为受益人放弃修改这个不符点的权利。
信用证样本及翻译
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信用证样本(1)Name of Issuing BankThe French Issuing Bank38 rue Francois ler75008 Paris, FranceTo: The American Exporter Co. Inc.17 Main StreetTampa, Florida Place and date of issue Paris, 1 January 2006This Credit is advised through The American Advising Bank, 486 Commerce Avenue, Tampa, FloridaDear Sirs,By request of account of The French Importer Co. 89 rue du Comnerce Paris, France we hereby issue an Irrevocable Documentary Credit No. 12345 for USD 100,000 (say US Dollars one hundred thousand only) to expire on March 29, 2006 in American available with the American Advising Bank, Tampa by negotiation at sight against beneficiary's draft(s) drawn on The French Issuing Bank and the documents detailed herein:(1)Commercial Invoice, one original and three copies.(2)Multimodal Transport Document issued to the order of the French Importer Co. marked freight prepaid and notify XYZ Custom House Broker Inc.(3)Insurance Certificate covering the Institute Cargo Clauses and the Institute War and Strike Clauses for 110% of the invoice value blank endorsed.(4)Certificate of Origin evidence goods to be of U.S.A. Origin.(5)Packing ListEvidencing transportation of Machines and spare parts as per pro-forma invoice number 657 dated January 3, 2006 from Tampa, Florida to Paris, France not late than March 15,2006- CIP INCOTERMS 1990.Partial shipment is allowed.Transshipment is allowed.Documents to be presented within 10 days after the date of the transport documents but within the validity of the credit.We hereby engage with drawers and/or bona fide holders that drafts drawn and negotiated in conformity with the terms of Credit will be fully honored on presentation. The number and the date of the Credit and the name of our bank must be quoted on all drafts required.Bank to bank instructions :…Yours faithfullyThe French Issuing Bank, Paris(signature)信用证样本一:中文译本开证行名称:开证地点和日期法兰西依休因银行 2006年1月1日路法兰克勒大街38号本信用证通过750008,巴黎,法国美利坚阿德外斯银行(传递通知书)至:(受益人)美利坚进出口公司(该行地址)商业大道486号梅因大街17号坦帕,弗洛里达州坦帕,弗洛里达州亲爱的先生:应开证申请人法兰西进口公司(法国巴黎商业大街89号)的要求,我们在此开立编号为12345的不可撤消跟单信用证,金额为100000美元(大写:十万美元整),到期日为2006年3月29日美国时间,凭受益人出具给法兰西依休因银行的即期汇票以及如下所列的单据通过美利坚阿德外斯银行以议付方式兑现:(1)商业发票一份正本,三分副本(2)多式联运单据,做成法兰西进口公司的指示抬头,注明运费预付并通知XYZ通关经纪公司。
中国银行国内信用证范本
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中国银行国内信用证范本
【银行名称】
【信用证编号】
【受益人】
【发票号码】
【总价值】
【货物描述】
【装运口岸】
1. 银行开立本信用证,为经受益人的申请,向卖方承诺支付总值为【总价值】美元的货款。
2. 卖方须向【受益人地址】交付【货物描述】,数量、质量和规格必须符合合同规定,并在发票上注明发货日期、运输方式和发货港口。
3. 收到符合合同规定的完整单据后,银行按照单据要求支付货款。
4. 受益人必须在【发票日期】前将单据交至银行,并确保单据符合信用证条款的要求。
任何不符合要求的单据银行均不接受。
5. 除非得到银行书面同意,否则单据必须在信用证有效期内提交银行。
提交后,单据不得修改或撤回。
6. 卖方应按照合同规定,按时按量交付货物,并遵守所有政府机构的规定和法律法规。
如有任何问题或纠纷,受益人有权向银行或卖方提出要求。
7. 本信用证仅由银行承兑,对任何其他机构或个人不得直接或间接使用。
8. 本信用证的全部条款与条件,将因涉及银行间交易而适用国际商会的《统一惯例与惯例执行方式》(UCP 600)。
9. 对于任何有关本信用证的争议,都应在中国银行所在地仲裁,并以中文为仲裁语言。
10. 除非银行书面同意,否则本信用证不得转让。
【授权签字人】。
信用证样本大全
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信用证样本大全(供参考)韩国的如下:Issue of a Documentary CreditBKCHCNBJA08E SESSION: 000 ISN: 000000BANK OF CHINALIAONINGNO. 5 ZHONGSHAN SQUAREZHONGSHAN DISTRICTDALIANCHINA-------开证行Destination Bank : KOEXKRSEXXX MESSAGE TYPE: 700KOREA EXCHANGE BANKSEOUL178.2 KA, ULCHI RO, CHUNG-KO--------通知行Type of Documentary Credit 40A IRREVOCABLE--------信用证性质为不可撤消Letter of Credit Number 20 LC84E0081/99------信用证号码,一般做单时都要求注此号Date of Issue 31G 990916------开证日期Date and Place of Expiry 31D 991015 KOREA-------失效时间地点Applicant Bank 51D BANK OF CHINA LIAONING BRANCH----开证行Applicant 50 DALIAN WEIDA TRADING CO., LTD.------开证申请人Beneficiary 59 SANGYONG CORPORATIONCPO BOX 110SEOULKOREA-------受益人Currency Code, Amount 32B USD 1,146,725.04-------信用证总额Available with...by... 41D ANY BANK BY NEGOTIATION-------呈兑方式任何银行议付有的信用证为ANY BANK BY PAYMENT, 些两句有区别, 第一个为银行付款后无追索权, 第二个则有追索权就是有权限要回已付给你的钱Drafts at 42C 45 DAYS AFTER SIGHT-------见证45天内付款Drawee 42D BANK OF CHINA LIAONING BRANCH-------付款行Partial Shipments 43P NOT ALLOWED---分装不允许Transhipment 43T NOT ALLOWED---转船不允许Shipping on Board/Dispatch/Packing in Charge at/ from44A RUSSIAN SEA----- 起运港Transportation to 44B DALIAN PORT, P.R.CHINA -----目的港Latest Date of Shipment 44C 990913--------最迟装运期Description of Goods or Services: 45A--------货物描述FROZEN YELLOWFIN SOLE WHOLE ROUND (WITH WHITE BELLY) USD770/MT C FR DALIAN QUANTITY: 200MTALASKA PLAICE (WITH YELLOW BELLY) USD600/MT CFR DALIAN QUANTITY: 300MTDocuments Required: 46A------------议付单据1. SIGNED COMMERCIAL INVOICE IN 5 COPIES.--------------签字的商业发票五份2. FULL SET OF CLEAN ON BOARD OCEAN BILLS OF LADING MADE OUT TO ORDER AND BLANK ENDORSED, MARKED "FREIGHT PREPAID" NOTIFYING LIAONING OCEAN FISHING CO., LTD. TEL86)411-3680288-------------一整套清洁已装船提单, 抬头为TO ORDER 的空白背书,且注明运费已付,通知人为LIAONING OCEAN FISHING CO., LTD. TEL86)411-36802883. PACKING LIST/WEIGHT MEMO IN 4 COPIES INDICATING QUANTITY/GROSS A ND NET WEIGHTS OF EACH PACKAGE AND PACKING CONDITIONSAS CALLED FOR BY THE L/C.-------------装箱单/重量单四份, 显示每个包装产品的数量/毛净重和信用证要求的包装情况.4. CERTIFICATE OF QUALITY IN 3 COPIES ISSUED BY PUBLIC RECOGNIZED SU RVEYOR.--------由PUBLIC RECOGNIZED SURVEYOR签发的质量证明三份..5. BENEFICIARY'S CERTIFIED COPY OF FAX DISPATCHED TO THE ACCOUNTEE WITH 3 DAYS AFTER SHIPMENT ADVISING NAME OF VESSEL, DATE, QUANTI TY, WEIGHT, value OF SHIPMENT, L/C NUMBER AND CONTRACT NUMBER.--------受益人证明的传真件, 在船开后三天内已将船名航次,日期,货物的数量, 重量价值,信用证号和合同号通知付款人.6. CERTIFICATE OF ORIGIN IN 3 COPIES ISSUED BY AUTHORIZED INSTITUTION. ----------当局签发的原产地证明三份.7. CERTIFICATE OF HEALTH IN 3 COPIES ISSUED BY AUTHORIZED INSTITUTIO N.----------当局签发的健康/检疫证明三份.ADDITIONAL INSTRUCTIONS: 47A-----------附加指示1. CHARTER PARTY B/L AND THIRD PARTY DOCUMENTS ARE ACCEPTABLE.----------租船提单和第三方单据可以接受2. SHIPMENT PRIOR TO L/C ISSUING DATE IS ACCEPTABLE.----------装船期早于信用证的签发日期是可以接受的3. BOTH QUANTITY AND AMOUNT 10 PERCENT MORE OR LESS ARE ALLOWED.---------允许数量和金额公差在10%左右Charges 71B ALL BANKING CHARGES OUTSIDE THE OPENNING BANK ARE FOR BENEFICIARY'S ACCOUNT.Period for Presentation 48 DOCUMENTSMUST BE PRESENTED WITHIN 15 DAYS AF TER THE DATE OF ISSUANCE OF THE TRANSPORT DOCUMENTS BUT WITHIN THE VALIDITY OF THE CREDIT.Confimation Instructions 49 WITHOUTInstructions to the Paying/Accepting/Negotiating Bank: 781. ALL DOCUMENTS TO BE FORWARDED IN ONE COVER, UNLESS OTHERWISE STATED ABOVE.2. DISCREPANT DOCUMENT FEE OF USD 50.00 OR EQUAL CURRENCY WILL BE DEDUCTED FROM DRAWING IF DOCUMENTS WITH DISCREPANCIES ARE ACC EPTED."Advising Through" Bank 57A KOEXKRSEXXX MESSAGE TYPE: 700KOREA EXCHANGE BANKSEOUL178.2 KA, ULCHI RO, CHUNG-KO越南信用证:Appliant(申请人) : MINEXPORT SAIGON35-37 BEN CHUONG DUONG ST.,DIST.1HOCHIMINH CITY,VIETNAMBeneficiary(受益人): /1207047109045731923TAIZHOU JIADELI DOOR MACHINE CO.,LTD,NO.188,NORTHERN DAXI ROAD,DAXI TOWN,WENLING CITY,ZHEJIANG PRO VINCE,CHINACurrency code,amount(信用证总额):USD7380.00Availlable With By:ANY BANK IN CHINA BY NEGOTIATION 任何银行议付Drafts at: SIGHT FOR 100POT OF INVOICE value付发票的全部金额Drawee(付款行):EBVIVNVXVIETNAM EXPORT IMPORT COMMERCIAL JOMO CHIMINH CITY,VIETNAM Partial Shipments:NOT ALLOWED(不允许分装)Transshipment:ALLOWED 允许转船Loading on Boad/Dispatch/Taking in Charge at /Form: ANY CHINESE PORT起运港Latest Date of shipment(最迟装船日):060820Description of Goods and /or services(货物描述): OF GOODS:ELECTRIC ROL LING DOOR MACHINE(FULL SET)2.QUANTITY:100SETS3.UNITPRICE:USD73.80/SETCIFTANCANG,HOCHINHCITY,VIETNAM(INCOTERMS2000)4.AMOUNT:USD7,380.005.ORIGIN:MADE IN CHINA6.QUALITY:BRAND NEW AND IN GOOD WORKING CONDITION7.PACKING:EACH SET IS PACKED INTO ONE CARTON BOX8.MARKING IEN ANH,VIETNAMDocuments Required: THE FOLLOWING DOCUMENTS IN ENGLISH:1.SIGNED COMMERCIAL INVOICE IN 03 ORIGINALSAND 01 PHOTOCOPY已签发的商业发票三正一副2.FULL SET(3/3) ORIGINALS AND 01 PHOTOSHOP OF SIGNED CLEAN SHIPPED O N BOARD OCEAN BILLL OF LADING MADE OUT TO ORDER OF VIETNAM EXI MBANK MARKED FREIGHT PREPAID AND NOTIFY THE APPLICANT,ADDRESS A ND TELEPHONE NBR OF SHIPPING AGENT IN HOCHIMINH CITY AND L/C NBRMUST BE INDICATED IN B/L已装船的清洁提单三正一副,做成以VIETNAM EXIMBANK 为抬头,注明运费已付,通知申请人,地址和电话号码在胡志明市的货运代理,信用证号码必须显示在提单上。
信用证样本1
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信用证样本1对于很多外贸新手来说,信用证(L/C)是个不小的问题,相信有不少人可能都没见过。
对我来说,信用证也是新的东西,也需要学习。
在此,从其它地方搬来样本,供大家参考、学习。
对于原创者,表示感谢!正题:其实所有的信用证条款都大同小异,具体款项都是那些,下面列出一个样本供大家参考.有一个问题需要新手注意,一般韩国开过来的信用证经常用假远期,这也是韩国人的精明之处,可以用假信用证向开证行押汇,狡猾狡猾地!!信用证样本1SAMPLE LETTER OF CREDIT/1(See Instructions on Page 2)Name and Address of BankDate: __________________Irrevocable letter of Credit No. ______________Beneficiary: Commodity Credit Corporation Account Party: Name of ExporterAddress of ExporterGentlemen:We hereby open our irrevocable credit in your favor for the sum or sums not to exceed a total of _______________dollars ($__________), to be made available by your request for payment at sight upon the presentation of your draft accompanied by the following statement:(Insert applicable statement)/2This Letter of Credit is valid until _____________________/3, provided, however, that this Letter of Credit will be automatically extended without amendment for _________________/4 from the present or any future expiration date thereof, unless at least thirty (30) days prior to any such expiration date the Issuing Bank provides written notice to the Commodity Credit Corporation at the U.S. Department of Agriculture, 14th and Independence Avenue, S.W., Room 4503, South Building, Stop 1035, Washington, D.C. 20250-1035, of its election not to renew this Letter of Credit for such additional ______________________/5 period. The notice required hereunder will be deemed to have been given when received by you.This letter of Credit is issued subject to the Uniform Customs and Practice for Documentary Credits, 1993 Revision, International Chamber of Commerce Publication No. 500(Name of Bank)By: _______________________________________________________________-2-INSTRUCTIONS FOR LETTER OF CREDIT ISSUED FOR DEIP BID1. Send to: Treasurer, CCCU.S. Department of Agriculture14th & Independence Avenue, S.W.Room 4503 South BuildingStop 1035Washington, DC 20250-10352. If the letter of credit is to apply to any Dairy Export Incentive Program (DEIP) Invitation: “The Commodity Credit Corporation (CCC) has a right to the amount drawn in accordance with the terms and conditions of one or more Dairy Export Incentive Program (DEIP) Agreements entered into by the exporter pursuant to 7 C.F.R. Part 1494, and the applicable DEIP Invitation(s) issued by CCC.”If the letter of credit is to apply to a single DEIP Invitation:“The Commodity Credit Corporation (CCC) has a right to the amount drawn in accordance with the terms and conditions of one or more Dairy Export incentive Program (DEIP) Agreements entered into by the exporter pursuant to 7 C.F.R. Part 1494, and DEIP Invitation No.________________.If the letter of credit is to apply to more than one specific DEIP Invitation:“The Commodity Credit Corporation (CCC) has a right to the amount drawn in accordance with the terms and conditions of one or more Dairy Export incentive Program (DEIP) Agreements entered into by the exporter pursuant to 7 C.F.R. Part 1494, and DEIP Invitation Nos.________________, ___________________, and _________________.”3. Insert the last date of the month in which the 90th day after the date of the letter of credit falls (e.g., if the date of the letter of credit is March 15, 2002, the date to be inserted would be Jun 30, 2002).4. Insert a time period of either “one (1) year” or a specific number of whole month(s) which total less than one year (e.g., “one (1) month,” “two (2) months,” etc.).5. Insert the same time period as inserted in the previous space (e.g., “one (1) year,” “one (1) month,” etc.).信用证样本2Issue of a Documentary Credit (开证行,一般为出口商的往来银行,须示开证行的信用程度决定是否需要其他银行保兑confirmation见49)BKCHCNBJA08E SESSION: 000 ISN: 000000 BANK OF CHINA LIAONING NO. 5 ZHONGSHAN SQUARE ZHONGSHAN DISTRICT DALIAN CHINADestination Bank (通知行advising bank见57A)KOEXKRSEXXX MESSAGE TYPE: 700 KOREA EXCHANGE BANK SEOUL 178.2 KA, ULCHI RO, CHUNG-KO (一般由受益人指定往来银行为通知行,如愿意通知,其须谨慎鉴别信用证表面真实性;应注意信用证文本的生效形式和内容是否完整,如需小心信用证简电或预先通知和由开证人直接寄送的信用证或信用证申请书,因其还未生效,且信用证一般通过指定通知行来通知,可参考《出口实务操作》page237)40A Type of Documentary Credit (跟单信用证类型)IRREVOCABLE (信用证性质为不可撤消。
信用证格式范例
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信用证举例(SWIFT格式信用证)信用证格式范例:BOTKJPJTAXXX(开证行SWIFT代码)BANK OF TOKYO-MITSUBISHI LTD.,TOKYO(东京三菱银行有限公司)27 SEQUENCE OF TOTAL : 1/140 FORM OF DOC. CREDIT : IRREVOCABLE(信用证类型)20 DOC. CREDIT NUMBER : BT00158831C DATE OF ISSUE : 00101731D EXPIRY : DATE 001221 PLACE CHINA(效期、效地)50 APPLICANT : ABC I/E CO.,LTD.TOKYO, JAPAN59 BENEFICIARY : SHANGHAI GOOD TRADING CO.,LTD.SHANGHAI CHINA32B AMOUNT : CURRENCY USD AMOUNT 100000,00(币种、金额)41D AVAILABLE WITH/BY : ANY BANK(限制议付行)BY NEGOTIATION42C DRAFTS AT … : DRAFT AT SIGHT FOR FULL INVOICE VALUE 42D DRAWEE : ISSUING BANK43P PARTIAL SHIPMENTS :PROHIBITTED(可否分批出运)43T TRANSSHIPMENT : PERMITTED(可否转运)44A LOADING IN CHARGE : SHANGHAI44B FOR THANSPORT TO : OSAKA44C LATEST DATE OF SHIP. :001130(最晚装运期)45A DESCRIPT OF GOODS : 10000PCS SHIRTSUNIT PRICE USD10.00/PCCIF OSAKA(价格条款 CIF大阪)46A DOCUMENTS REQUIRED : +SIGNED COMMERCIAL INVOICE IN 3+FULL SET OF CLEAN ON BOARD OCEAN B/L+PACKING LIST IN 3 COPIES.+CERTIFICATE OF ORIGIN IN 2 ORIGINAL+INSURANCE POLICY IN 2 COPIES47A ADDITIONAL COND. : ALL DOCS MUST INDICATED LC NO.71B DETAILS OF CHARGE : ALL BANK CHARGES EXCEPT L/C OPENINGCHARGES ARE FOR BENEFICIARY’S A/C(费用条款)48 PRESENTATION PERIOD: DOCUMENTS MUST BE PRESENTED WITHIN 21 DAY (交单期) AFTER DATE OF SHIPMENT BUT WITHIN LC VALIDITY49 CONFIRMATION : WITHOUT78 INSTRUCTIONS : DOCS TO BE SENT TO US IN ONE LOT.。
信用证格式 经典
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SWIFT跟单信用证条款项目代码简介【MT700和MT701开证格式】一、跟单信用证开证格式(MT700)简介必选20 DOCUMENTARY CREDIT NUMBER(信用证号码)可选23 REFERENCE TO PRE-ADVICE(预先通知号码)如果信用证是采取预先通知的方式,该项目内应该填入"PREADV/",再加上预先通知的编号或日期。
必选27 SEQUENCE OF TOTAL(电文页次)可选31C DATE OF ISSUE(开证日期)如果这项没有填,则开证日期为电文的发送日期。
必选31D DA TE AND PLACE OF EXPIRY(信用证有效期和有效地点)该日期为最后交单的日期。
必选32B CURRENCY CODE, AMOUNT(信用证结算的货币和金额)可选39A PERCENTAGE CREDIT AMOUNT TOLERANCE(信用证金额上下浮动允许的最大范围)该项目的表示方法较为特殊,数值表示百分比的数值,如:5/5,表示上下浮动最大为5%。
可选39B MAXIMUM CREDIT AMOUNT(信用证最大限制金额)39B与39A不能同时出现。
可选39C ADDITIONAL AMOUNTS COVERED(额外金额)表示信用证所涉及的保险费、利息、运费等金额。
必选40A FORM OF DOCUMENTARY CREDIT(跟单信用证形式)跟单信用证有六种形式:(1) IRREVOCABLE(不可撤销跟单信用证)(2) REVOCABLE(可撤销跟单信用证)(3) IRREVOCABLE TRANSFERABLE(不可撤销可转让跟单信用证)(4) REVOCABLE TRANSFERABLE(可撤销可转让跟单信用证)(5) IRREVOCABLE STANDBY(不可撤销备用信用证)(6) REVOCABLE STANDBY(可撤销备用信用证)必选41a A V AILABLE WITH...BY...(指定的有关银行及信用证兑付的方式)(1) 指定银行作为付款、承兑、议付。
信用证样本中英文对照
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信用证样本中英文对照信用证是国际贸易中常见的一种支付方式,它是由银行作为中间人,对客户的支付请求进行担保的一种文件。
以下是一份信用证样本,包括中文和英文对照。
样本:Date:2024年6月1日受益人:ABC有限公司123号路城市,国家开证行:XYZ银行456号大街城市,国家亲爱的先生/女士我们开证行为您的受益人ABC有限公司开立信用证,确保在上述日期之前在以下指定条件下付款给您。
定义:1.受益人:指定的ABC有限公司。
2.申请人:我行客户,指定在信用证编号中。
1.信用证金额:信用证金额为:USD10,000.00(美元一万)。
金额以美元为单位,对应其他货币将按照当天的汇率进行折算。
2.有效期:本信用证将在接到受益人提供的所有必需单据之日起生效,并于开证之日的180天后到期。
必备单据的最后接收日期为到期日前15天。
3.运输要求:货物必须在开证生效后60天内装运,并在到期日之前抵达目的地。
装运文件必须包括保险单的正本副本,以确保货物的安全。
4.付款条件:付款将通过电汇方式进行,在所有必需单据获得接纳后的五个工作日内完成。
付款将以美元进行,按照当日汇率折算为其他货币。
5.必备单据:以下是必备单据的清单,所有单据都必须按时提交,并在接收日后十天内由我行接受。
-标准商业发票(正副本)-包装单据-装运货物的提单(正副本)-保险单(正副本)-由欧洲银行证明的发货证明书6.文件发送地址:所有必须的单据,请发送到以下地址:XYZ银行Attn: 信用证部门456号大街城市,国家谢谢您的合作。
此致XYZ银行Dear Sir/Madam,We, the issuing bank, hereby open this letter of credit in favor of your beneficiary, ABC Co. Ltd., ensuring payment to be made to you under the following terms and conditions on or before the above-mentioned date.Definitions:1. Beneficiary: The designated ABC Co. Ltd.2. Applicant: Our customer, as specified in the letter of credit number.1. Amount:The amount of this letter of credit is USD 10,000.00 (Ten Thousand US Dollars). The amount is in USD and equivalent in other currencies will be calculated at the prevailing rate of exchange on the day of negotiation/payment.2. Validity:3. Shipment Requirement:The goods must be shipped within 60 days after the effective date of the letter of credit and arrive at the destination before the expiry date. Shipping documents must include the original and duplicate copies of the insurance policy to ensure the safety of the goods.4. Payment Terms:Payment will be made via telegraphic transfer within five working days after the acceptance of all required documents. The payment will be made in USD and equivalent in other currencies will be calculated at the prevailing exchange rate on the day of payment.5. Required Documents:- Packing List- Bill of Lading (original and duplicate copies)- Insurance Policy (original and duplicate copies)- Certificate of Shipment, attested by a European bank6. Document Submission Address:Please send all required documents to the following address: XYZ BankAttn: Letter of Credit Department456 Main StreetCity, CountryThank you for your cooperation.Yours sincerely,。
信用证的格式及开立形式
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信用证的格式及开立形式1. 信用证的格式:国际商会于1970年制订了《开立跟单信用证标准格式》(Standard Form for the Issuing of Documentary Credit):1)开立不可撤消跟单信用证标准格式-致受益人(The Standard Form for the Issuing of Documentary Letter of Credit-Advice for the Beneficiary)2)开立不可撤消跟单信用证标准格式-致通知行(The Standard Form for the Issuing of Documentary Letter of Credit-Advice for the Advising Bank)3)不可撤消跟单信用证通知书标准格式(The Standard Form for the Notification of Documentary Letter of Credit)4)跟单信用证修改书标准格式(The Standard Form for the Amendment to Documentary Letter of Credit)2. 信用证的开立形式:1)信开本(To open by airmail):开证银行采用印就的信函格式的信用证,开证后以航空邮寄送通知行。
2)电开本(To open by cable):开证银行使用电传、传真、SWIFT 等各种电讯方法将信用证条款传达给通知行。
a)简电本(Brief cable):开证银行只通知已经开证,将信用证的主要内容预先告通知行,详细条款将另邮航寄通知行。
简电本在法律上是无效的,不能作为交单议付的依据。
b) 全电本(Full cable):开证银行以电电讯方式开证,把信用证全部条款传达给通知行。
全电本是交单议付的依据。
信用证样本大全及中英文对照
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信用证样本大全(越南、韩国、塞浦路斯、加拿大、迪拜、阿尔及利亚、印度、日本)一、越南信用证(信开)Appliant(申请人) : MINEXPORT SAIGON35-37 BEN CHUONG DUONG ST.,DIST.1HOCHIMINH CITY,VIETNAMBeneficiary(受益人): /1207047109045731923TAIZHOU JIADELI DOOR MACHINE CO.,LTD,NO.188,NORTHERN DAXI ROAD,DAXI TOWN,WENLING CITY,ZHEJIANG PROVINCE,CHINA Currency code,amount(信用证总额):USD7380.00Availlable With By:ANY BANK IN CHINA BY NEGOTIATION 任何银行议付Drafts at: SIGHT FOR 100POT OF INVOICE value付发票的全部金额Drawee(付款行):EBVIVNVXVIETNAM EXPORT IMPORT COMMERCIAL JOMO CHIMINH CITY,VIETNAMPartial Shipments:NOT ALLOWED(不允许分装)Transshipment:ALLOWED 允许转船Loading on Boad/Dispatch/Taking in Charge at /Form: ANY CHINESE PORT起运港Latest Date of shipment(最迟装船日):060820Description of Goods and /or services(货物描述): OF GOODS:ELECTRIC ROLLING DOOR MACHINE(FULL SET)2.QUANTITY:100SETS3.UNITPRICE:USD73.80/SETCIFTANCANG,HOCHINHCITY,VIETNAM(INCOTERMS2000)4.AMOUNT:USD7,380.005.ORIGIN:MADE IN CHINA6.QUALITY:BRAND NEW AND IN GOOD WORKING CONDITION7.PACKING:EACH SET IS PACKED INTO ONE CARTON BOX8.MARKING IEN ANH,VIETNAMDocuments Required: THE FOLLOWING DOCUMENTS IN ENGLISH:1.SIGNED COMMERCIAL INVOICE IN 03 ORIGINALSAND 01 PHOTOCOPY已签发的商业发票三正一副2.FULL SET(3/3) ORIGINALS AND 01 PHOTOSHOP OF SIGNED CLEAN SHIPPED ON BOARD OCEAN BILLL OF LADING MADE OUT TO ORDER OF VIETNAM EXIMBANK MARKED FREIGHT PREPAID AND NOTIFY THE APPLICANT,ADDRESS AND TELEPHONE NBR OF SHIPPING AGENT IN HOCHIMINH CITY AND L/C NBR MUST BE INDICATED IN B/L已装船的清洁提单三正一副,做成以VIETNAM EXIMBANK 为抬头,注明运费已付,通知申请人,地址和电话号码在胡志明市的货运代理,信用证号码必须显示在提单上。
信用证MT格式
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MT700/701格式,开立信用证时使用;MT705格式,信用证预先通知用;MT707格式信用证修改用;MT710/711格式通知由第三家银行开立跟单信用证用;MT720/721格式转让跟单信用证用;MT730格式确认收妥跟单信用证,并证实已通知受益人用;MT732格式发报行通知收报行有关单据已被开证申请人接受用;MT734格式发报行通知收报行单证不符的拒付通知用;MT740格式发报行授权收报行偿付信用证项下款项,即偿付授权用;MT742格式发报行向收报行索偿用;MT750格式发报行通知收报行有关单据不符点,即所谓“电提”用;MT752格式发报行授权收报行在单据没有其他不符点的情况下,可以付款/承兑/议付,该报文是对MT750的答复;MT754格式发报行通知收报行单证相符,已对有关单据进行付款/承兑/议付,并已按批示寄单,即所谓“通知电”;MT756格式发报行通知收报行,已进行了偿付/付款。
我们一般所接触的是MT700/701和MT707三种格式,其他及MT103、MT199、MT760亦作了解。
单证员必读---SWIFT MT700/MT701 格式信用证综述信用证是银行(开证行)根据买方(申请人)的要求和指示向卖方(受益人)开立的在一定期限内凭规定的,符合信用证条款的单据,即期或在一个可以确定的将来日期,承付一定金额的书面承诺.信用证在贸易中的应用非常广泛,开证人(进口商)可以利用单据条款,约束受益人(出口商);受益人只要提供了符合条件的单据,就能从银行拿到货款.信用证用银行信用替代了商业信用,给国际贸易,国内贸易中的买卖双方提供了便利.现在银行间传递的信用证,几乎都使用’环球同业银行金融电讯协会’( Society for Worldwide Interbank Financial Telecommunication . 简称的处理和信息传递系统,所以受益人收到的信用证大多是Message Types SWIFT-MT700/MT701格式,现在我们来读懂这种格式的信用证.Basic Swift Codes (Message Types)MT400 Advice of PaymentMT410 AcknowledgementMT412 Advice of AcceptanceMT420 TracerMT422 Advice of Fate & Request for InstructionsMT430 Instruction AmendmentMT573 Statement of Pending TransactionsMT700 Issuance Details of a Documentary CreditMT705 Documentary Credit Pre-AdviceMT707 Documentary Credit AmendmentMT710 Third Bank's Documentary Credit AdviceMT720 Documentary Credit TransferMT730 AcknowledgementMT732 Advice of DischargeMT734 Advice of RefusalMT740 Reimbursement AuthorizationMT742 Reimbursement ClaimMT747 Reimbursement Authorization AmendmentMT750 Discrepancy AdviceMT752 Pay, Accept or Negotiate AuthorizationMT754 Pay, Accept or Negotiate AdviceMT760 Issuance of a GuaranteeMT767 Guarantee AmendmentMT768 Guarantee Message AcknowledgementMT769 Advice of a Guarantee Reduction or ReleaseBeginning of message 下面两条------里的是银行间传递的一些信息SWIFT项下开立跟单信用证MT格式SWIFT项下开立跟单信用证MT格式一般有17种:MT700/701格式开立信用证时使用MT705格式信用证预先通知用MT707格式信用证修改用MT710/711格式通知由第三家银行开立跟单信用证用MT720/721格式转让跟单信用证用MT730格式确认收妥跟单信用证,并证实已通知受益人用MT732格式发报行通知收报行有关单据已被开证申请人接受用MT734格式发报行通知收报行单证不符的拒付通知用MT740格式发报行授权收报行偿付信用证项下款项,即偿付授权用MT742格式发报行向收报行索偿用MT750格式发报行通知收报行有关单据不符点,即所谓“电提”用MT752格式发报行授权收报行在单据没有其他不符点的情况下,可以付款/承兑/议付,该报文是对MT750的答复MT754格式发报行通知收报行单证相符,已对有关单据进行付款/承兑/议付,并已按批示寄单,即所谓“通知电”MT756格式发报行通知收报行,已进行了偿付/付款。
信用证样本
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信用证样本Page 1 of 5LETTER OF CREDIT / DOCUMENTARY CREDITSWIFT MT 720 NORMAL TRANSFER LC Noumber: XXXX ADERVISING BANK: XXX Bank, PERU XXXX BANK, PERU To: xxxx From: xxx ban DATE: 27: Sequence of Total 1/240A FORMIRREVOCABLE WITHOUT OUR CONFIRMATION20 TRANSFERING BANK REFERENCE: XXX21 DOCUMENTARY LETTER CREDIT NO.: XXXXX 31C DATE OF ISSUE: XXX 40E APPLICALE RULES UCP LASTEST VESION 31D DATE AND PLACE OF EXPIRY: 1204xxx , CHINA52D ISSUING BANK OF THE ORIGINAL: XXX BANK, CHINA 50 FIRST BENEFICIARY: XX X COMPANY, HONG KONG 59 SECOND BENEFICIARY: XXXX COMPANY, PERU 32B AMOUNT : CURRENCY USD AMOUNT x,000,000.00 39A TOLERANCE: +/-10% 41D AVAILABLE WITH. BY ANY BANK NEGOTIATION42C DRAFTS AT: AT SIGHT FOR 98% INVOICE VALUE42A DRAWEE: ISSUING BANK43P PARTIAL SHIPMENT: NOT ALLOWED 43T TRANSSHIPMENT:NOT ALLOWED44A LOADING AT: XXX PORT, CHILE44B FOR TRANSPORT TO: ANY PORT, CHINA44C LATEST DATE OF SHIPMENT: 40 DAYS FROM ISSUE45A DESCR. OF GOODS: IRON ORE FINEQuantity: 50,000 MT (10PCT MORE OR LESS ALLOWED) Origin: AGENTINAUnit Price: USD XXX PER DRY METRIC TON AT BASIS OF FECONTENTS 67% Specifications: Guaranteed Rejection Page 1 of 5Page 2 of 5FE 67% BASIS 65% REJECTION AL2O3 0.60% MAX 1.00% SIO2 3.50 % MAX 4.00% P 0.02% MAX 0.08% S 0.04% MAX 0.08% TIO 2 0.10% MAX 0.20% Mn 0.03% MaxPhysical size: 0.50mm -10 mm 73% Below 0.5 mm 20% Above 10 mm 7%Free moisture loss at 105o Celsius – 8.00 % Max; above 10% rejection PRICE ITEM: CF R ANY PORT IN CHINA INTERCOM 2000 46A DOCUMENTS REQUIRED:1. THE PROVISIONAL PAYMENT WILL BE PAID AGAGINST THE FOLLOWING DOCUMEN TSA. SIGNED PROVISIONAL COMMERCIAL INVOICE FOR 100% CFR SHIPMENT VALUE IN THREE ORIGINALS AND TWO COPIES INDICATING VALUE OF GOODS SHIPPED, NAM E OF CARRYING VESSEL, CONTRACT NUMBER, B/L NUMBER.B. 3/3 FULL SET OF ORIGINAL “CLEAN ON BOARD” BILLS OF LADING MADE OUT TO ORDER AND BLANK ENDORSED, MARKED "FREIGHT PREPAID" AND NOTIFYING THE P ARTY AS INSTRUCTED IN THE BUYER’S L/C.C. CERTIFICATE OF QUALITY AND WEIGHT IN THREE ORIGINAL ISSUED BY SGS AT LOADING PORT.D. CERTIFICATE OF ORIGIN IN THREE ORIGINAL ISSUED BY PERU CHA MBER OFCOMMERCE WITH DETAILING LOADED QUALITY, COMMODITY, AND CARRYING VESSE L’S NAME.E. BENEFICIARY’S CERTIFIED COPY OF TELEX OR FAX DISPATCHED TO THE BUYER WITHIN 24 HOURS ADVISINGSHIPMENT DETAILS INDICATING CONTRACT NUMBER, N AME OF COMMODITY, NAME OF VESSEL, B/L WEIGHT, APPROXIMATE INVOICE VALUE, SAILING DATE FROM THE LOAD PORT, AND ETA AT THE DISCHARGIN G PORT.F. PACKING LIST IN ONE ORIGINAL AND TWO COPIES2. SEE FIELD 47A ITEM FOR 2% FINAL PAYMENT DETAILS47A ADDITIONAL CONDITION1.THE FIRST BENEFICIARY REMAINING THE RIGHT TO REFUSE US TO ADVISE ALL SUBSEQUENT AMENDMENT(S) RELATED TO THE ORIGINAL LC TO THE SECONDPage 2 of 52. WE WILL FORWARD DOCS, AFTER THE SUBSTITUTION OF DOCS BY THE FIR ST BENEFICIRY TO THE ISSUING BANK FOR ACCEPTANCE AND PAYMENT WITHOUT REFERING TO YOU IN ADVANCE. ONLY UPON RECEIPT OF PAYMENT FROM THE ISS UING BANK, WE SHALL REMIT THE PROCEEDS AS INSTRUCTED3. THE SECOND BENEFICIARY OR HIS BANKER IS NOT ENTITLED TO FORWARD DOCUMENTS DIRECTLY TO THE ISSUING BANK OR CONFIRMING BANK NOR REIM BURSE FROM THE DRAWEE BANK DIRECTLY. WE AND THE FIRST BENEFICIARY MAY RESERVE THE RIGHT TO CLAIM THE SECOND BENEFICIARY OR HIS BANKER ANY LO SSES WHICH WE OR THE FIRST BENEFICIARY MAY SUFFER OR INCUR SHOUD THE DOCUMENTS BE FORWARD.LC ISSSUING BANK STATES THAT:A DISCREPANCY HANDING FEE OF USD 60 OR EQUIVALENT AND RELEATIVE CABLE FEE WILL BE DEDUCTED FROM THE PROCEEDS FOR EACH SET OF DOCUME NTS PRESENTED WITH DISCREPANCY.T/T REIMBURSEMENT NOT ALLOWED+ ALL DOCUMENTS APPLICABLE SHALL MENTION CONTRACT NO. + TOLERAN CE OF +/- 10% FOR BOTH QUANTITY AND AMOUNT.+ PRESENTION PERIOD FOR PROVISIONAL PAYMENT DOCS MUST BE PRESEN TED WITHIN 10 DAYS AFTER B/L DATE, BUT WITHIN VALIDITY OF THE THIS CREDIT . FINAL PAYMENTS DOCS MUST BE PRESENTED WITHIN THE VALIDITY OF THE CR EDIT + THIRD PARTY DOCUMENTS ACCEPTABLE, EXCEPT DRAFT AND INVOICE.+ CHARTER’S B/L ACCEPTABLE, WH ICH SHOULD BE ISSUED BY MASTER OR O WNER OF VESSEL.+ PRICE ADJUSTMENT:PRICE ADJUSTMENT FOR FE CONTENTFOR EACH 1% FE CONTENT ABOVE 67%, THE BASE PRICE SHALL BE INCREASE D BY USD3.00 PER DRY METRIC TONS FRACTION PRO-RATEFOR EACH 1% FE CONTENT BELOW 67%, BUT ABOVE AND INCLUDING 65%, THE BASE PRICE SHALL BE DECREASED BY USD5 PER DRY METRIC TONS, FRACTIO N PRORATE.FOR FE CONTENT BELOW 65%, THE BUYER HAS THE RIGHT TO REJECT THE CARGO.FOR EXCESS OF AL2O3Page 3 of 5FOR EXCESS ALUMINA “AL2O3” AT THE RATE OF US$ 0.10 PER DRY METRIC T ONS OR FRACTION PRO-RATE FOR EACH 0.1 % IN EXCESS OF 0.60%.IF AL2O3 CONTENT IS EXCESS OF 1.00 %, BUYER HAS THE RIGHT TO REJECT THE CARGO. FOR SILICA (SIO2) FOR EXCESS SILICA “SIO2” AT THE RATE OF US$ 0.10 PER DRY METRIC TONS ORFRACTION PRORATE FOR EACH 0.1 % IN EXCESS OF 3.50 %.IF SIO2 CONTENT IS EXCESS OF 4.00%,BUYER HAS THE RIGHT TO REJECT THE CARGO. FOR PHOSPHOR OUS (P)FOR EXCESS PHOSPHOROUS “P” AT THE RATE OF US$ 0.10 PER DRY METRIC TONS OR FRACTION PRORATE FOR EACH 0.01 % IN EXCESS OF 0.02%. IF P CONTE NT IS EXCESS OF 0.08%, BUYER HAS THE RIGHT TO REJECT THE CARGO. FOR SULP HUR (S) FOR EXCESS SULPHUR “S” AT THE RATE OF US$ 0.05 PER DRY METRIC TONS OR FRACTION PRORATE FOR EACH 0.01 % IN EXCESS OF 0.04 %.IF S CONTENT IS E XCESS OF 0.08%,BUYER HAS THE RIGHT TO REJECT THE CARGO.IF FREE MOISTURE LOSS AT 105 DEGREES CENTIGRADE EXCEEDS THE GUARA NTEED MAXIMUM 8%, SELLER SHALL MAKE PAYMENT TO BUYER, WHICH IS EQUA L TO FULL ACTUAL FREIGHT ATTRIBUTABLE TO MOISTURE OVER 8% FOR FINES, A ND IF THE MOISTURE IS EXCEEDING 10%, THE BUYER HAS THE RIGHT TO REJECT T HE CARGO.FOR THE SIZE DISTRIBUTION, IF THE PROPORTION OF THE SIZE OVER 10 MM IS MORE THAN 7%, THE PRICE WILL BE DECREASED BY USD 1.00 PER TON, AND IF THE PROPORTION OF THE SIZE OVER 10 MM IS MORE THAN 10%, THE WHOLE CA RGO WILL BE REJECTED.+ FIANL PAYMENT OF THE BALANCE OF THE CFR VALUE OF THE CARGO PAYA BLE AGAINST DRAFT AT SIGHT ACCOMPANIED DOCS AS FOLLOWS + SIGNED FINAL COMMERCIAL INVOICE IN ONE ORIGINAL AND TWO COPIES, BASED ON INSPECTION CERTIFICATE OF WEIGHT AND INSPECTION CERTIFICATE O F + QUALITY ISSUED BY CIQ INSPECTION CERTIFICATE OF WEIGHT IN ONE COPY IS SUED BY CIQ. (PHOTOCOPY ALLOWED) + INSPECTION CERTIFICATE OF QUALITY IN ONE COPYISSUED BY CIQ. (PHOT OCOPY ALLOWED)+ THE APP SHOULD SUBMIT THE COPY OF THE CIQ INSPECTION REPORT TO THE P AYMENT BANK WITHIN 55 WORKING DAYS FROM THE COMPLETION OF UNLOADI NG AT DISCHARGE PORT AND MEANWHILE FAX THE COPY TO BENEFICIARY. AND T HE COPY MUST BE PRESENTED FOR NEGOTIATION. IN CASE THE APP FAILED TO P ROVIDE THE COPIES OF THE CIQ INSPECTION WITHIN 55 WORKING DAYS, THE BE NEFICIARY MAY DRAW THE BALANCE VALUE AGAINST THE FOLLOWING DOCUME NTS:Page 4 of 5Page 5 of 5+ SIGNED FINAL COMMERCIAL INVOICE IN ONE ORIGINAL AND TWO COPIES, BASED ON INSPECTION CERTIFICATE OF WEIGHT AND INSPECTION CERTIFICATE O F + QUALITY ISSUED BY CIQ.INSPECTION CERTIFICATE OF WEIGHT IN ONE COPY IS SUED BY SGS. (PHOTOCOPY ALLOWED)+ INSPECTION CERTIFICATE OF QUALITY IN ONE COPY ISSUED BY SGS. (PHOT OCOPY ALLOWED)71B CHARGESMASTER DC OPENING BANK’S CHARGE ARE FOR FIRST BENEFICIARY ACCOUN T.48 PRESENTATION PERIOD: see 47A “additional conditions”49 CONFIRMATION INSTRUCTIONSWITHOUT78 INSTRUCTION TO THE PAYING / ACCEPTING1. ALL DOCS MUST BE PRESENTED IN ONE LOT BY COURIER SERVICE THROU GH SECOND BENEFICIARY’S BANKER AND REACH THE COUNTER OF XXX BANK, HO G KONGTHE AMOUNT OF EACH DRAWING MUST BE ENDORSED ONTHE REVERSE OF THI S ADVISE OF TRANSFER72 BANK TO BANK INFORMATIONTHIS IS SOLY AN ADVICE OF TRANSFER OR CONVEYS NO ENGAMENT OR RESPONS IBILITY ON THE PART OF US Page 5 of 5。
信用证格式范例
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信用证举例(SWIFT格式信用证)信用证格式范例:BOTKJPJTAXXX(开证行SWIFT代码)BANK OF TOKYO-MITSUBISHI LTD.,TOKYO(东京三菱银行有限公司)27 SEQUENCE OF TOTAL : 1/140 FORM OF DOC. CREDIT : IRREVOCABLE(信用证类型)20 DOC. CREDIT NUMBER : BT00158831C DATE OF ISSUE : 00101731D EXPIRY : DATE 001221 PLACE CHINA(效期、效地)50 APPLICANT : ABC I/E CO.,LTD.TOKYO, JAPAN59 BENEFICIARY : SHANGHAI GOOD TRADING CO.,LTD.SHANGHAI CHINA32B AMOUNT : CURRENCY USD AMOUNT 100000,00(币种、金额)41D AVAILABLE WITH/BY : ANY BANK(限制议付行)BY NEGOTIATION42C DRAFTS AT … : DRAFT AT SIGHT FOR FULL INVOICE VALUE 42D DRAWEE : ISSUING BANK43P PARTIAL SHIPMENTS :PROHIBITTED(可否分批出运)43T TRANSSHIPMENT : PERMITTED(可否转运)44A LOADING IN CHARGE : SHANGHAI44B FOR THANSPORT TO : OSAKA44C LATEST DATE OF SHIP. :001130(最晚装运期)45A DESCRIPT OF GOODS : 10000PCS SHIRTSUNIT PRICE USD10.00/PCCIF OSAKA(价格条款 CIF大阪)46A DOCUMENTS REQUIRED : +SIGNED COMMERCIAL INVOICE IN 3+FULL SET OF CLEAN ON BOARD OCEAN B/L+PACKING LIST IN 3 COPIES.+CERTIFICATE OF ORIGIN IN 2 ORIGINAL+INSURANCE POLICY IN 2 COPIES47A ADDITIONAL COND. : ALL DOCS MUST INDICATED LC NO.71B DETAILS OF CHARGE : ALL BANK CHARGES EXCEPT L/C OPENINGCHARGES ARE FOR BENEFICIARY’S A/C(费用条款)48 PRESENTATION PERIOD: DOCUMENTS MUST BE PRESENTED WITHIN 21 DAY (交单期) AFTER DATE OF SHIPMENT BUT WITHIN LC VALIDITY49 CONFIRMATION : WITHOUT78 INSTRUCTIONS : DOCS TO BE SENT TO US IN ONE LOT.。
信用证范本
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信用证范本尊敬的先生/女士:感谢您选择使用我们的服务,并委托我们为您开立信用证。
我们将竭尽全力满足您的需求,并确保交易的顺利进行。
以下是我们为您提供的信用证范本:——————————————————————————————————————————————————————信用证第 001 号Date: [日期]装运人: [贸易公司名称]地址: [贸易公司地址]电子邮件: [邮件地址]电话: [联系电话]信用证借款人: [借款人名称]地址: [借款人地址]电话: [借款人电话]电子邮件: [借款人邮箱]我们根据贵方在[日期]通过电子邮件的要求,现为您开立如下信用证:发证行:[发证行名称]地址:[发证行地址]电子邮件:[发证行邮箱]电话:[发证行电话]受益人:[受益人名称]地址:[受益人地址]电子邮件:[受益人邮箱]电话:[受益人电话]信用证金额:[金额]有效期:[有效期]货币:[货币类型]装运地点:[装运地点]装运期限:[装运期限]条款和条件:1. 货物描述及规格应符合合同规定;2. 发货期限不得晚于信用证有效期;3. 货物必须严格按照发票、提单和装箱单所示标示装箱;4. 运输方式必须符合合同规定;5. 卖方应提供符合国际贸易惯例的装箱单、提单、发票等证明文件;6. 卖方应及时向买方提供货品交付通知和跟踪信息;7. 买方有权在货物收货后15天内进行检验,如发现质量问题,卖方应负责解决或退货;8. 信用证有效期到期前7天内发货,若违反此规定,买方有权拒付款项。
款项支付:支付将在收到以下文件后进行:1. 符合信用证条款的全部正本;2. 经买方验收通过的货物证明文件;3. 运输文件及保险单据。
此为无其他索赔保险,不可撤销信用证,买方付款单据应至发证行支付给受益人。
如受益人提供的文件符合信用证的要求,我们将按照约定的金额支付款项。
此信用证适用于国际电子银行合同(UCP)的最新版本。
希望上述范例对您有所帮助。
信用证常见的格式
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LETTER OF CREDIT:40A: form of documentary credit(跟单信用证形式)IRREVOCABLE(不可撤销跟单信用证):20: documentary credit number(信用证号码)764351:31C: date of issue(开证日期)如果这项没有填表,则开证日期为电文的发送日期12TH AUG. 2005:31D: date of expiry(信用证有效期和有效地点)该日期为最后交单的日期30TH SEP.2005Place of expiryCHINA:51A: applicant bank(信用证开证的银行)HONGKONG AND SHANGHAI BANKCORP:50: applicant(信用证开证申请人)一般为进口商KINGHOME TRADE CO.,LTD23567DOMINGGO RD. COWCITY CAUSA TEL:467 897623:59: beneficiary(信用证的受益人)一般为出口商SHANGHAI DACHANGHANG CO.,LTD18/F INGMAO BUILING NO.88 XUJIAHU RD S HANGHAI TEL86 21 88821903 :32B: currency code, amount(信用证结算的货币和金额)USD6200.00:41D: available. With… by…(指定的有关银行及信用证总付的方式)ANY BANK FOR NEGOTITAON:42C: drafts…at…(汇票付款日期)必须与42A同时出现SIGHT:43P: partial shipment allowed(分装条款)表示该信用证的货物是否可以分批装运:43T: transshipment allowed(转运条款)表示该信用证是直接到达,还是通过转运到达:44: loading on board(装船、发运和接收监管的地点)SHANGH:44B: for transportatior to…(货物发运的最终地)ROTTERDAM:44C: latest date on shipment(最后装船工期)装船的最迟的日期44C与44D不能同时出现20TH.SEP.2005:45A: description of goods and/or sercices(货物描述)货物的情况、价格条款GLASS CANDLEHDLADER ITEM NO.025 100PCSPacked IN 8 CTNS:46A: documents required(单据要求)各种单据的要求●IN THREEFOLD UNLESS OTHERWS E SPECIED:●SIGNED COMERCIAL INVOICE 3 FOLD●INSURANCE POLICY OR CERTIFICATE,ENDORSED IN BLANK,COVERING ALL RISKS AND WAR RIS KS●FULL SET CLEAN ON BOARD BILL(S) OF LADING MADE OUT OUR ORDER AND ENDORSED IN BLANK, MARKED FREIGHT PREPAID AND NOTFYING APPLICANT●PACKING LIST:47A: additional conditions(特别条款)SHORT PORMABLANK BACK B/L IS NOT ACCEPTABLE:71B: charges(费用情况)表明费用是否有受益人(出口商)出,如果没有这一条,表示除了议付费、转让费以外,其他各种费用由开信用证的申请人(进出口商)出ALL BANKING CHARGES OUTSIDE THE OFENING BANK ARE FOR BENEFICALARYS ACCOUNT:48: period for presentation交单期限)表明开立运输单据后多少天内交单ALL DOCUMENT MUST BE PRESEBTED WITHIN 10 DAYS AFTER DATE OF ISSUANCE OF THE B/L, BUT WITHIN THE VALIDITY OF THIS L/C VALIPITY OF THIS L/C:49: confirmation instruction; (保兑指示)WITHOUT不要求收报行保兑该信用证。
信用证MT格式
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SWIFT项下开立跟单信用证MT格式一般有17种:MT700/701格式,开立信用证时使用;MT705格式,信用证预先通知用;MT707格式信用证修改用;MT710/711格式通知由第三家银行开立跟单信用证用;MT720/721格式转让跟单信用证用;MT730格式确认收妥跟单信用证,并证实已通知受益人用;MT732格式发报行通知收报行有关单据已被开证申请人接受用;MT734格式发报行通知收报行单证不符的拒付通知用;MT740格式发报行授权收报行偿付信用证项下款项,即偿付授权用;MT742格式发报行向收报行索偿用;MT750格式发报行通知收报行有关单据不符点,即所谓“电提”用;MT752格式发报行授权收报行在单据没有其他不符点的情况下,可以付款/承兑/议付,该报文是对MT750的答复;MT754格式发报行通知收报行单证相符,已对有关单据进行付款/承兑/议付,并已按批示寄单,即所谓“通知电”;MT756格式发报行通知收报行,已进行了偿付/付款。
我们一般所接触的是MT700/701和MT707三种格式,其他及MT103、MT199、MT760亦作了解。
单证员必读---SWIFT MT700/MT701 格式信用证综述信用证是银行(开证行)根据买方(申请人)的要求和指示向卖方(受益人)开立的在一定期限内凭规定的,符合信用证条款的单据,即期或在一个可以确定的将来日期,承付一定金额的书面承诺.信用证在贸易中的应用非常广泛,开证人(进口商)可以利用单据条款,约束受益人(出口商);受益人只要提供了符合条件的单据,就能从银行拿到货款.信用证用银行信用替代了商业信用,给国际贸易,国内贸易中的买卖双方提供了便利.现在银行间传递的信用证,几乎都使用’环球同业银行金融电讯协会’( Society for Worldwide Interbank Financial Telecommunication s.c. 简称S.W.I.F.T.)的处理和信息传递系统,所以受益人收到的信用证大多是Message Types SWIFT-MT700/MT701格式,现在我们来读懂这种格式的信用证.Basic Swift Codes (Message Types)MT400 Advice of PaymentMT410 AcknowledgementMT412 Advice of AcceptanceMT420 TracerMT422 Advice of Fate & Request for InstructionsMT430 Instruction AmendmentMT573 Statement of Pending TransactionsMT700 Issuance Details of a Documentary CreditMT705 Documentary Credit Pre-AdviceMT707 Documentary Credit AmendmentMT710 Third Bank's Documentary Credit AdviceMT720 Documentary Credit TransferMT730 AcknowledgementMT732 Advice of DischargeMT734 Advice of RefusalMT740 Reimbursement AuthorizationMT742 Reimbursement ClaimMT747 Reimbursement Authorization AmendmentMT750 Discrepancy AdviceMT752 Pay, Accept or Negotiate AuthorizationMT754 Pay, Accept or Negotiate AdviceMT760 Issuance of a GuaranteeMT767 Guarantee AmendmentMT768 Guarantee Message AcknowledgementMT769 Advice of a Guarantee Reduction or ReleaseBeginning of message 下面两条------里的是银行间传递的一些信息SWIFT项下开立跟单信用证MT格式SWIFT项下开立跟单信用证MT格式一般有17种:MT700/701格式开立信用证时使用MT705格式信用证预先通知用MT707格式信用证修改用MT710/711格式通知由第三家银行开立跟单信用证用MT720/721格式转让跟单信用证用MT730格式确认收妥跟单信用证,并证实已通知受益人用MT732格式发报行通知收报行有关单据已被开证申请人接受用MT734格式发报行通知收报行单证不符的拒付通知用MT740格式发报行授权收报行偿付信用证项下款项,即偿付授权用MT742格式发报行向收报行索偿用MT750格式发报行通知收报行有关单据不符点,即所谓“电提”用MT752格式发报行授权收报行在单据没有其他不符点的情况下,可以付款/承兑/议付,该报文是对MT750的答复MT754格式发报行通知收报行单证相符,已对有关单据进行付款/承兑/议付,并已按批示寄单,即所谓“通知电”MT756格式发报行通知收报行,已进行了偿付/付款。
信用证标准格式
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:45A:货物/或服务名称
description of goods and/or services
:46A:单据要求
documents required
:47A:附加条件
additional conditions
:71B:费用
charges
:48:交单期限
跟单从信用证做起,信用证从格式看起。
applicant bank-BIC
:50:开证申请人
applicant
:59:受益人
beneficiary
:32B:货币与金额
currency code, amount
:41D:指定银行与兑付方式
available with … by …
:42C:汇票
drafts at…
:42A:汇票付批装运
partial shipments
:43T:转船
transshipment
:44A:装船/发运/接受监管地点
loading on board / dispatch/taking in charge
:44B:货物运往
for transportation to …
:44C:最迟装运期
批注本地保存成功开通会员云端永久保存去开通
信用证标准格式
信用证
LETTER OF CREDIT
编号:
Reference:
作者:
Author:
标题:
Title:
发往:
Send to:
报文类型:
Message Type:
优先级:
Priority:
传送监控:
Delivery Monitoring:
信用证的标准格式[修改版]
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第一篇:信用证的标准格式信用证的标准格式LETTER OF CREDIT编号:Reference:作者:Author:标题:Title:发往:Send to:报文类型:Message Type:优先级:Priority:传送监控:Delivery Monitoring:27 :报文页次sequence of total40A :跟单信用证类型form of documentary credit20:跟单信用证号码documentary credit number31C :开证日期date of issue31D :到期日date of expiry 到期地点place of expiry51A :开证申请人银行——银行代码applicant bank-BIC50 :开证申请人applicant59 :受益人beneficiary32 :币别代号与金额currency code, amount41D :向银行押汇…押汇方式为available with …by …name/address42C :汇票汇款期限drafts at…42A :汇票付款人——银行代码drawee-BIC43P :分批装运条款partial shipments43T :转运条款transshipment44A :装船/发运/接受监管的地点loading on board / dispatch/taking in charge44B :货物发送最终目的地for transportation to …44C :最迟装运日期latest date of shipment45A :货物/劳务描述description of goods and/or services46A :单据要求documents required47A :附加款件additional conditions71B :费用负担charges48 :交单期限period for presentation49 :保兑指示confirmation instructions78 :给付款行/承兑行/议付行的指示instructions to pay/accept/negotiate bank72 :附言sender to receiver information第二篇:国际商会《标准跟单信用证格式》介绍国际商会《标准跟单信用证格式》介绍为便于《跟单信用证统一惯例》(以下简称UCP500)的正确实施,国际商会对《标准跟单信用证格式》(The New Standard Documentary Credit 进行了修订,编辑出版了《为UCP500制定的新版标准跟单信用证格式》Forms for the UCP500),即国际商会第516号出版物。
信用证样本及翻译
![信用证样本及翻译](https://img.taocdn.com/s3/m/bd03e05858eef8c75fbfc77da26925c52cc591f4.png)
信用证样本及翻译Sample of Credit Letter of Credit[Issuer’s Letterhead][Date][Beneficiary Name][Address][City, State, ZIP Code]Dear Sir/Madam,We are pleased to inform you that we have established an irrevocable credit in your favor, as per your request and instructions. The details of the credit are as follows:1. Credit Number: [XXX]2. Date of Issue: [Date]3. Expiry Date: [Date]4. Amount: [Amount]5. Beneficiary: [Beneficiary Name]6. Applicant: [Applicant Name]7. Advise Through: [Advising Bank]8. Available With: [Negotiating Bank]9. Partial Shipments: [Allowed/Not Allowed]10. Transshipment: [Allowed/Not Allowed]11. Description of Goods: [Detailed Description]12. Documents Required: [List of Required Documents]We kindly request you to review the credit and acknowledge your acceptance by signing and returning two copies of this letter to our bank. Please note that failure to do so may result in delay or refusal of payment.We trust that this credit will facilitate a smooth transaction between you and our customer. Should you have any questions, please feel free to contact us at the contact details mentioned below.Thank you for your cooperation. We look forward to a successful and mutually beneficial business relationship.Yours sincerely,[Issuing B ank’s Representative][Designation][Contact Details]【发证行抬头】【日期】【受益人姓名】【地址】【城市,州,邮编】尊敬的先生/女士我们很高兴地通知您,根据您的请求和指示,我们已为您建立了一种不可撤销的信用证。
信用证阅读
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信用证格式范例:BOTKJPJTXXX(开证行SWIFT代码)BANK OF TOKYO-MITSUBISHI LTD.,TOKYO目前信用证的格式主要都是用SWIFT电文,因此有必要对SWIFT进行了解。
SWIFT又称:“环球同业银行金融电讯协会”“环球银行财务电讯协会”,是(Society for Worldwide Interbank Financial Telecommunication)的缩写,成立于一九七三年在,是国际银行同业间的国际合作组织,专门为银行业务信息传递提供服务,目前全球大多数国家大多数银行已使用SWIFT系统。
SWIFT的使用,为银行的结算提供了安全、可靠、快捷、标准化、自动化的通讯业务,从而大大提高了银行的结算速度。
SWIFT在互联网上有专用服务器,银行里面也有相应的电脑硬件和SWIFT软件,用于登录、收发SWIFT电子文件。
这种SWIFT电文当然跟电子邮件不同,有专门的、非常古板的格式(银行做事情都很古板)--message type,简称MT。
而且不同类别的银行业务还有不同的MT格式,分别编号。
比如用于电汇的就是MT100格式,用于托收的MT400格式,信用证开证则是MT700等等。
SWIFT的代码: 8位的一般是总行的代码,11位的就是细到分行的代码。
每个银行(包括每个分行、支行)都有一个代码,是由银行名称的英文缩写和总行所在地的英文缩写(也有用数字加字母表示某城市的)以及该分行所在地的代码(字母、数字或混合)组成。
在国际上,银行的SWIFT Code 都是统一的格式,例如:BKCHCNBJ110 ,1-4位为一家银行的统一代码(中国银行为BKCH),5-6位代表国家代码(中国为CN),7-8位代表城市代码(北京为BJ),110代表北京市分行。
其中总行的SWIFT Code没有所在地代码,位数为8位(如中国银行总行BKCHCNBJ),其余都为11位。
Bank of Tokyo-Mitsubishi UFJ Ltd, Tokyo(东京三菱日联银行,东京)27 SEQUENCE OF TOTAL : 1/1合计次序。
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SWIFT跟单信用证条款项目代码简介
【MT700和MT701开证格式】
一、跟单信用证开证格式(MT700)简介
必选20 DOCUMENTARY CREDIT NUMBER(信用证号码)
可选23 REFERENCE TO PRE-ADVICE(预先通知号码)
如果信用证是采取预先通知的方式,该项目内应该填入"PREADV/",再加上预先通知的编号或日期。
必选27 SEQUENCE OF TOTAL(电文页次)
可选31C DATE OF ISSUE(开证日期)
如果这项没有填,则开证日期为电文的发送日期。
必选31D DA TE AND PLACE OF EXPIRY(信用证有效期和有效地点)
该日期为最后交单的日期。
必选32B CURRENCY CODE, AMOUNT(信用证结算的货币和金额)
可选39A PERCENTAGE CREDIT AMOUNT TOLERANCE(信用证金额上下浮动允许的最大范围)该项目的表示方法较为特殊,数值表示百分比的数值,如:5/5,表示上下浮动最大为5%。
可选39B MAXIMUM CREDIT AMOUNT(信用证最大限制金额)
39B与39A不能同时出现。
可选39C ADDITIONAL AMOUNTS COVERED(额外金额)
表示信用证所涉及的保险费、利息、运费等金额。
必选40A FORM OF DOCUMENTARY CREDIT(跟单信用证形式)
跟单信用证有六种形式:
(1) IRREVOCABLE(不可撤销跟单信用证)
(2) REVOCABLE(可撤销跟单信用证)
(3) IRREVOCABLE TRANSFERABLE(不可撤销可转让跟单信用证)
(4) REVOCABLE TRANSFERABLE(可撤销可转让跟单信用证)
(5) IRREVOCABLE STANDBY(不可撤销备用信用证)
(6) REVOCABLE STANDBY(可撤销备用信用证)
必选41a A V AILABLE WITH...BY...(指定的有关银行及信用证兑付的方式)
(1) 指定银行作为付款、承兑、议付。
(2) 兑付的方式有5种:BY PAYMENT(即期付款);BY ACCEPTANCE(远期承兑);BY NEGOTIATION(议付);
BY DEF PAYMENT(迟期付款);BY MIXED PAYMENT(混合付款)。
(3) 如果是自由议付信用证,对该信用证的议付地点不做限制,该项目代号为:41D,内容为:ANY BANK IN。
可选42a DRAWEE(汇票付款人)
必须与42C同时出现。
可选42C DRAFTS AT。
(汇票付款日期)
必须与42a同时出现。
可选42M MIXED PAYMENT DETAILS(混合付款条款)
可选42P DEFERRED PAYMENT DETAILS(迟期付款条款)
可选43P PARTIAL SHIPMENTS(分装条款)
表示该信用证的货物是否可以分批装运。
可选43T TRANSSHIPMENT(转运条款)
表示该信用证是直接到达,还是通过转运到达。
可选44A LOADING ON BOARD/DISPATCH/TAKING IN CHARGE A T/FORM(装船、发运和接收监管的地点)
可选44B FOR TRANSPORTATION TO...(货物发运的最终地)
可选44C LATEST DATE OF SHIPMENT(最后装船期)
装船的最迟的日期。
44C与44D不能同时出现。
可选44D SHIPMENT PERIOD(船期)
44C与44D不能同时出现。
可选45A DES CRIPTION OF GOODS AND/OR SERVICES(货物描述)
货物的情况、价格条款。
可选46A DOCUMENTS REQUIRED(单据要求)
各种单据的要求
可选47A ADDITIONAL CONDITIONS(特别条款)
可选48 PERIOD FOR PRESENTATION(交单期限)
表明开立运输单据后多少天内交单。
必选49 CONFIRMATION INSTRUCTIONS(保兑指示)
其中, CONFIRM :要求保兑行保兑该信用证
MAY ADD :收报行可以对该信用证加具保兑。
WITHOUT :不要求收报行保兑该信用证。
必选50 APPLICANT(信用证开证申请人)
一般为进口商。
可选51a APPLICANT BANK(信用证开证的银行)
可选53A REIMBURSEMENT BANK(偿付行)
可选57a "ADVISE THROUGH" BANK(通知行)
必选59 BENEFICIARY(信用证的受益人)
一般为出口商。
可选71B CHARGES(费用情况)
表明费用是否有受益人(出口商)出,如果没有这一条,表示除了议付费、转让费以外,其他各种费用由开出信用证的申请人(进口商)出。
可选72 SENDER TO RECEIVER INFORMATION(附言)
可选78 INSTRUCTION TO THE PAYING/ACCEPTING/NEGOTIATING BANK (给付款行、承兑行、议付行的指示)
【MT707信用证修改格式】
二、信用证修改(MT707)格式简介
必选20 SENDER'S REFERENCE(信用证号码)
必选21 RECEIVER'S REFERENCE(收报行编号)
发电文的银行不知道收报行的编号,填写"NONREF"。
可选23 ISSUING BANK'S REFERENCE(开证行的号码)可选26E NUMBER OF AMENDMENT(修改次数)
该信用证修改的次数,要求按顺序排列。
可选30 DA TE OF AMENDMENT(修改日期)
如果信用证修改没填这项,修改日期就是发报日期。
可选31C DATE OF ISSUE(开证日期)
如果这项没有填,则开证日期为电文的发送日期。
可选31E NEW DATE OF EXPIRY(信用证新的有效期)。