2016年全国国际商务单证员专业考试国际商务单证缮制与操作试题(附答案)

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2016单证员考试基础理论与知识真题及答案

2016单证员考试基础理论与知识真题及答案

2016单证员考试基础理论与知识真题及答案一、单项选择题(总共 80 小题,每小题 0.5 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.缮制各种进出口单证时,原则上应该做到()。

A.完整、及时、无差错 B.完整、简洁、清晰C.及时、正确、完整、简洁、清晰 D.正确、完整、及时、简明、整洁2.海运提单的抬头是指提单的()。

A.SHIPPER B.CONSIGNEEC.NOTIFY PARTY D.VOYAGE NO.3.进出口合同的基本内容由()构成。

A.约首、基本条款、约尾B.约首、基本条款、有关部门批准文件C.约首、基本条款D.约首、有关部门批准文件、基本条款和约尾4.各种运输单据中,能同时具有货物收据、运输合同证明和物权凭证作用的是()。

A.铁路运单 B.航空运单C.海运提单 D.海运单5.在出口业务中,如果国外客户要求出口商提供“GSP FORM A”,那么这种单证的签发机构是()。

A.商会 B.海关C.贸促会 D.检验检疫局6.卖方在指定装运港按合同规定日期或在规定期限内,将货物装到买方指定的船上,或通过“取得”已交付至船上货物的方式交货,并及时通知买方,负担货物在装运港交到船上之前的一切风险和费用。

这术语应该是()。

A.DAT B.FASC.FOB D.CIF7.广义的国际贸易单证是国际贸易中使用的()与证书的统称。

A.各种单证 B.各种批准文件C.各种单据、文件 D.各种许可证、文件8.贸易术语又称(),其表现形式为三字母英文代码,其含义是用来说明价格的构成,以及买卖双方在交接货物过程中各自承担的责任、风险、手续和费用的划分。

A.贸易方式 B.价格术语C.《INCOTERMS 2010》 D.《华沙—牛津规则》单证基础理论与知识试题第 1 页(共 14 页)9.根据制单的“完整”原则,下列表述不正确的是()。

A.单据种类的完整 B.单据所填内容的完整C.每种单据份数的完整 D.所有单证都必须签署10.某公司于 5 月 15 日用特快专递发盘,限 5 月 25 日复到有效。

国际商务单证员考题及答案

国际商务单证员考题及答案

国际商务单证员考题及答案1.班轮运费的计算标准可采用(ABD)等计算。

A、按毛重B、按体积C、按净重D、按数量2.班轮提单的作用是(ABC)。

A、物权凭证B、承运人签发给托运人的货物收据C、承运人与托运人之间运输契约的证明D、出口人纳税的依据3.在国际贸易中,常见的计重方法有(ABCD)。

A、毛重B、净重C、公量D、理论重量和法定重量4.交易磋商的主要内容涉及商品品名、数量、包装外,还有(ABCD)。

A、商品价格B、货物装运C、货款支付D、商品品质5.构成共同海损的条件有(BCD)。

A、必须是自然灾害造成的损失B、采取的措施必须是为了解除船货共同危险、有意和合理的C、所作的牺牲是特殊的,所付的支出是额外的D、所作的牺牲和支出的费用必须是有效的6.以下关于信用证与合同关系的表述正确的选项是(ABC)。

A.信用证的开立以买卖合同为依据B.信用证的履行不受买卖合同的约束C.有关银行只根据信用证的规定办理信用证业务D.合同是审核信用证的唯一依据7.常见的规定远期汇票起算日期的方法有(ABD)。

A、自出票日起算B、自见票日起算C、自开证日起算D、自提单日起算8.远期汇票使用的一般程序有(ABCD)。

A、承兑B、贴现C、提示D、付款9.托收业务的主要当事人有(ABD)。

A、委托人B、托收行C、开证行D、代收行10.涉及国际货物买卖的索赔通常有(ABC)。

A、买卖双方之间的索赔B、向保险公司索赔C、向运输部门索赔D、向商检部门索赔'11.FOB、CFR、CIF和FCA、CPT、CIP术语的主要区别是( ABCD )。

A、适用的运输方式不同B、风险转移的地点不同C、租船时的装卸费用负担不同D、运输单据不同12.在国际贸易中,常用的度量衡制度有( ABCD )。

A、公制B、英制C、美制D、国际单位制13.海海联运提单与国际多式联运提单在性质上的区别是( ABCD )。

A、使用的范围不同B、签发人不同C、签发人对运输负责的范围不同D、单据性质不同14.在我国海洋运输货物保险业务中,以下险种中( ABC)均可适用“仓至仓”条款。

全国国际商务单证专业考试国际商务单证缮制与操作试题答案

全国国际商务单证专业考试国际商务单证缮制与操作试题答案

NATIONALE P ARIS (9)大写金额不对,不是SAY EURO EIGHTY THREE THOUSAND FOUR HUNDRED AND THIRTYONLY .,应为:SAY EURO EIGHTY THREE THOUSAND THREE HUNDRED AND FORTY ONLY.(10) TO 受票人(付款人) BANQUE NATIONALE PARIS 不对,应为开证行: BANK OF CHINA, TIANJIN BRANCH (11) 出票人 GUYENNOISE GROU P(12)签字人不对,应为卖方公司的MAITY操作试题参考答案一、根据下述合同内容审核信用证,指出不符之处,并提出修改意见。

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

[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

[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。

2016年全国国际商务单证员专业考试国际商务单证缮制与操作试题(附答案)

2016年全国国际商务单证员专业考试国际商务单证缮制与操作试题(附答案)

2016年全国国际商务单证员专业考试国际商务单证缮制与操作试题(附答案)2016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5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 CONFIRMATIONThe Seller: SUNSHINE TRADING CORP.Contract No. STE0518 108 Nanjing Road Tianjin,China Date: July 15,2015 The Buyer: JOYFAIR TRADING CORP.Rm9008 Tower Building NY,USADescription of Goods Quantity UnitPrice Amount 100% Cotton Shirt Style No. KSN948As per the Order No.2015110EColour: BlackPinkBlueWhite1000PCS1000PCS1000PCS1000PCSCIFC5 NEW YORKUSD19.99/PC USD79960.00 TOTAL 4000PCS USD79960.00Total Amount: SAY U.S.DOLLARS SEVENTY NINE THOUSAND NINE HUNDRED SIXTY ONLY Packing: 20pcs are packed in one export standard cartonTime of Shipment: Before the end of Sept.2015Loading Port and Destination: From Tianjin, China to New York, USAPartial Shipment: Not Allowed Transshipment: AllowedInsurance: T o be effected by the seller for 110% invoice value covering All Risks and War RiskTerms of Payment: By L/C at 30 days after sight, reaching the seller before Aug. 15,2015, 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 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 endors ed 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:SUNSHINE TRADING CORP.JOYFAIR TRADING CORP.Young Lee1.根据合同,合理的信用证开证日期应为A. Aug.15, 2015B. the beginning of Aug.C. July 15,2015D. Before the end of Sept.2. 如果提单日期为Sept.15, 2015,信用证的有效期应为A. Sept.30, 2015B. Sept.15, 2015C. July 15,2015D. Aug.15, 20153. 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. SUNSHINE TRADING CORP.B. JOYFAIR TRADING CORP.C. BANK OF CHINAD. BANK OF AMERICA5. 根据合同,信用证的受益人应为A. SUNSHINE TRADING CORP.B. JOYFAIR TRADING CORP.C. BANK OF CHINAD. BANK OF AMERICA6. 根据合同,信用证金额应为A. USD19.99B. USD19.90C. USD79960D. USD796907. 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8. 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9. 根据合同,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.天津B. 纽约C. 洛杉矶D. 南京12. 根据合同,信用证的目的港应为A.天津B. 纽约C. 洛杉矶D. 南京13. 根据合同,信用证的装运日期规定正确的是A. before Sept.15, 2015B. before Sept.1, 2015C. before Sept.30, 2015D. Sept.30, 201514. 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. SUNSHINE TRADING CORP.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. 根据合同,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进口单据中错误的地方并改正,请在答题纸上作答。

《国际商务单证缮制与操作》真题与参考答案

《国际商务单证缮制与操作》真题与参考答案

07操作卷参考答案一、根据合同审核信用证(本题20分)经审核信用证存在如下问题:1.开证人的地址错为450;2.信用证币别错误,应为美元;3.汇票期限有误,应为提单日期后30天1.1/3正本提单直寄开证申请人不妥;5.提单显示“运费到付”有误,应为“运费预付”;6.最迟装运期限与合同不符;7.禁止分批装运与合同不符;8.投保加成过高,与合同不符;9.“受益人证明要求买方代表会签且字迹与开证行预留的相符”为软条款;10.规定国外到期对收汇有风险。

二、请写出在CIF合同履行中,出口人涉及的部分单据的出单机构(本题10分)三、根据已知资料改正下列单据中错误的地方(本题30分,发票9 分,提单14分,核销单7分)改正后的单据如下:1.海运提单缮制错误的地方有:ShipperQINGDAO(SHANDONG) HUARUI CO.NO.35 WUYI ROAD QINGDAO, CHINAConsigneeTO ORDER OF SHIPPERNotify PartyMARCONO CORPORATION.RM1001 STAR BLDG.TOKYO,JAPANPort of loadingQINGDAO,CHINAPort of transshipment应空白Port of dischargeOSAKA, JAPANContainer seal No. or marks and Nos.N/M应改为:MQHA1101OSAKANOS1-3400Number and kind of packages Description of goods应补充:2X20' FCL CY/CY数量应为:3400CASESSAYTHREETHOUSANFDOURHANDARWDOODECNASESONLY) Gross weight(kgs) 47600KGSMeasurement(M)6.8 MFreight and chargesFREIGHT PREPAIDPlace and date of issue DEC.5,2006 QINGDAOSigned for or on behalf of the master as Agen缺少盖章2.商业发票缮制错误的地方有:L/C NO. ______________LC-320-0254771MARKS & NUMBERSMQHA1101OSAKANOS1-3400UNIT PRICECFR OSAKAAMOUNT11000110002400024000TOTAL AMOUNT:SAY US DOLLARS SEVENTY THOUSAND ONLYTOTAL NUMBER OF PACKAGE :3400 CASES漏填APPLICANT S REF. NO. SCLI -98-0474 .漏掉手签“品名描述”处漏级别的SPEC3.出口收汇核销单缮制错误的地方有:出口单位:(第三联)漏填:青岛华瑞贸易公司出口币种总价(第一联)USD 70000.00收汇方式:L/C约计收款日期:报关日期:数量3400CASE币种总价(第三联)USD 70000.00四、根据已知资料制单(本题40分)报检单:(每格0.5分,共13分)中华人民共和国出入境检验检疫出境货物报检单报检单位(加盖公章)众诚国际贸易有限公司编号:AN5009张敏电话:报检日期:05年04月10 日2.汇票(每格1分,共7分)Drawn underSAY US DOLLARS THIRTY FIVE THOUSAND ONLY22 MARK STREET, OSLO, NORWAYZHONGCHENGTERNATIONALTRADECO.,LTD3 .装箱单:(每格1分,共20分)DETAILED PACKING LISTNO. ET335信用 证或购 买证第L/C or A/P No.日期datedPayable with @ Per annuminterest号码 汇票金额 中国, 南京No. ET335 Exchange for USD35,000.00Nanking, China. APR.20,2005见票 后(本 汇 票 之 正本 未 付)付<1D/PAt30 DAYS AFTER B/L DATESight of thisFirst of Exchange(Second of exchange being unpaid)Pay to the order ofBANK OF CHINA JIANGSU^RANCH或其指定人The sum ofTOGREEN TRADE CO. INVOICE此致To22 MARK STREET, OSLO , NORWAYDATE: APR 10, 2005S/CNO. 05SUG0012L/C NO. __________________SHIPPING MARKS:GREEN05SUG0012OSLOCTN.1/1125ZHONGCHENGINTERNATIONAL TRADE CO., LTD。

国际商务单证缮制与操作模式试题及答案(一)

国际商务单证缮制与操作模式试题及答案(一)

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

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

为了避免届时外商不履行合同,我方应采用()比较稳妥。

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

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

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

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

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

国际商务单证缮制与操作试卷五及答案

国际商务单证缮制与操作试卷五及答案

《国际商务单证缮制与操作》试卷五一、根据所给销售合同制作装箱单(55分)。

(注:该批货最终海运至法国马赛港,发票号码为ABS2045,发票日期为2004.11.20,)SALES CONTRACTNO.: 03CAN- 1109DATE: NOV. 08,2004 SELLER: JIANGSU INTERNATIONAL IMP. & EXP. CORP. LTD.80 ZHONGSHAN ROAD, NANJING, CHINAFAX: 86-025-******** TEL: 86-025-********BUYER: SHEMSY NEGOCE ID CORP.75 ROUTE 96570 DARDILLY, FRANCEFAX: 33-56-12345678 TEL: 33-56-12345678BUYER’S ORDER NO.:FE021GTHIS SALES CONFIRMATION IS HEREBY MUTUALLY CONFIRMED, TERMS ANDGROSS WEIGHT: 22.00KGS EACH CARTONNET WEIGHT: 20.00KGS EACH CARTONMEASUREMENT (L×W×H): 82.5CM×25.5CM×61CM PER CARTONSHIPPING MARKS: NO MARKSHIPMENT: TO BE MADE (45 DAYS BY SEA AFTER RECEIVED 30% T/TPAYMENT) FROM SHANGHAI,CHINA TO MARSEILLE,FRANCE PARTIAL SHIPMENTSAND TRANSSHIPMENT ARE ALLOWED.PAYMENT: 30% T/T IN DEPOSIT, 70% AGAINST FAXED B/LSELLER: JIANGSU INTERNATIONAL IMP. & EXP. CORP. LTD. BUYER: SHEMSY NEGOCE ID CORP.一、制作装箱单(总共55分,每空2.5分,共计22空)。

国际商务单证员《国际商务单证缮制与操作》模拟试题和详解(一)

国际商务单证员《国际商务单证缮制与操作》模拟试题和详解(一)

2016年国际商务单证员《国际商务单证缮制与操作》模拟试题及详解(一)一、根据下述合同内容审核信用证,指出不符之处,并提出修改意见。

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

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_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。

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

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。

国际商务单证缮制与操作试卷三及答案

国际商务单证缮制与操作试卷三及答案

《国际商务单证缮制与操作》试卷三题目要求:根据下列信用证信息缮制汇票(40分)和产地证(60分)注:货物被装在"皇后轮"V.918K船上,船方确认的最后装船期为2004.2.26,提单号为DR-0459。

商品用1000只纸箱等量包装,每只纸箱毛重GW:14KGS, ,MEAS: 200×210×220CM/CTN。

发票号ZJT040218,发票日期为:FEB 3,2004。

H.S CODE:80255938.APPLICATION HEADER: THE TORONTO DOMINION BANK,THE MONTEREAL FORM OF DOCUMENTARY CREDIT: IRREVOCABLE , NO.188818DATE OF ISSUED: 040130EXPIRY DATE AND PLACE: 040316 IN CHINAAPPLICANT: BIMA SPA CORPORATION.,NO.93 BANGKOK STREET, MONTEREAL, CANADABENEFICIARY:ZHEJIANG TEXTILES IMPORT AND EXPORT CORP. NO.165 ZHONG HE ROAD,HANGZHOU,CHINAAMOUNT: CURRENCY USD AMOUNT 14280.00A V AILABLE WITH: ANY BANKBY: NEGOTIATION OF BENEFICIARY’S DRAFT(S) AT SIGHT DRAWN ON US DESCRIPTION OF GOODS:GARMENT MATERIALS AS PER S/C NO.198393 14,000KGSLATEST SHIPMENT DATE: MAR.06/2004USD1.02/KG FOB SHANGHAI CHINADOCUMENTS REQUIRED:-SINGED COMMERCIAL INVOICE IN 3 COPIES. CONTAIN S/C NO. AND L/C NO. -PACKING LIST IN 3 COPIES SHOWING THE INDIVIDUAL WEIGHT AND MEASUREMENT OF EACH PACKAGE-ORIGINAL CERTIFICATE OF ORIGIN IN 3 COPIES ISSUED BY THE CHAMBER OF COMMERCE-FULL SET CLEAN ON BOARD OCEAN BILLS OF LADING MARKED FREIGHT COLLECT SHOWING CREDIT NO.CONSIGNED TO ORDER OF THE TORONTO DOMINION BANK NOTIFY FABTRENDS INTERNATIONAL INC.-BENEFCIARY’S CERTRIFICATE STATING THAT:1.TERMS AND CONDITIONS ON THE PURCHASE ORDER HA VE BEEN MET, INCLUDE QUANTITIES SHIPPED BY BOAT PER DSN/COLOUR .2. GOODS ARE FIRST QUALITY FABRIC PACKED IN WATERPROOF EXPORT CARTONS.3. GOODS ASSORTMENT FOR EACH PURCHASE ORDER AND DESIGN IS AS PER APPLICANT’S ORDER.PARTIAL SHIPMENTS: PERMITTEDTRANSSHIPMENTS: PERMITTEDSHIPMENT FROM: SHANGHAI, CHINATO: MONTEREAL, QUEBEC, CANADAPRESENTATION PEERIOD: DOCUMENTS MUST BE PRESENTED WITHIN 10 DAYS AFTER SHIPMENT, BUT WITHIN V ALIDITY OF THE LETTER OF CREDIT. SPECIAL INSTRUCTIONS:ALL BANKING CHARGES OUTSIDE CANADA ARE FOR ACCOUNT OF BENEFICIARY.ALL GOODS MUST BE SHIPPED IN FOUR 20” CY TO CY CONTAINER AND B/L SHOWING THE SAME.UPON RECEIPT THE DOCUMENTS COMPLIANCE WITH THE TERMS AND CONDITIONSWITH THE L/C, WE WILL REIMBURSE YOU AS PER YOUR INSTRUCTIONS. THIS CREDIT IS SUBJECT TO THE UNIFORM CUSTOMS AND PRACTICE FOR DOCUMENTARY CREDITS 1993 REVISION BY THE INTERNATIONAL CHAMBER OF COMMERCE PUBLICATION NO. 500.一、制作汇票(总分为40分,每空为4分)汇票DRAWN UNDER ………………………………………..…………………..L/C NO…………………………… DATED………………….PAYABLE WITH INSTERST @....……...% PER ANMUM NO:…………EXCHANGE FOR………………HANGZHOU , CHINA…………..……AT……..…………………SIGHT OF HIS FIRST OF EXCHANGE (SECOND OF EXCHANGE BEING UNPAID)PAY TO THE ORDER OF BANK OF CHINA, HANGZHOU BRANCHTHE SUM OFTO………………………………………..………………………………………..二、制作产地证(总分为60分,其中每空为5分)第三套答案1.汇票THE TORONTO DOMINION BANK,THE MONTEREAL;L/C NO. 188818 ,JAN 30,2004 ,ZJT040218,USD14280 ,FEB 28,2004 ,***,U.S DOLLARS FOURTEEN THOUSAND TWO HUNDRED AND EIGHTY ONL Y ,THE TORONTO DOMINION BANK , THE MONTEREAL;ZHEJIANG TEXTILES IMPORT AND EXPORT CORP.STAMP&SIGANITURE。

单证员缮制与操作试题(答案)

单证员缮制与操作试题(答案)
marksdescriptionquantityunitpriceamountnumbersofgoodswomens1500pcsusd395pcsusd798900jacket1200pcsusd172pc国际商务单证缮制与操作试题第1页共10页13根据上述资料用英文改正商业发票局部上错误的地方并将应添加的内容补齐
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)

2016年国际商务单证员《国际商务单证缮制与操作》历年真题及详解

2016年国际商务单证员《国际商务单证缮制与操作》历年真题及详解

2016年国际商务单证员《国际商务单证缮制与操作》历年真题及详解2014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,指出不符之处,并提出修改意见。

(36分)SHANGHAI ANDYS TRADING CO>.,LTD>.SALES CONTRACTTHE SELLER:SHANGHAI ANDYS TRADING CO>.,LTD>. NO>.AD13007NO>.126 Wenhua Road,Shanghai,China DATE:MAR>.16,2013SIGNED AT:SHANGHAI,CHINATHE BUYER:HAZZE AB HOLDINGBOX 1237,S-111 21 HUDDINGE,SWEDENThis contract is made by and between the Seller and Buyer,wherebythe Seller agree to sell and the Buyer agree to buy the under-mentioned commodity according to the terms and conditions stipulated below:Commodity &amp; specificationQuan>.Unit priceAmountGas DetectorsART NO>.BX616ART NO>.BX31950pcs50pcsFOB SHANGHAIUS9><>D380>.00/pcUSD170>.00/pcUSD19,000>.00USD 8500>.00Total100pcsUSD27,500>.00Total Amount:SAY U>.S>.DOLLARS TWENTY SEVEN THOUSAND AND FIVE HUNDRED ONLYPACKING:In Carton>. SHIPPING MARKS:TIME OF SHIPMENT:During July,2013>. HAZZEPLACE OF LOADING AND DESTINATION: AD2013007From Shanghai,China to Stockholm,Sweden STOCKHOLM,SWEDEN Partial shipment and transshipment are allowed>. NOS>.1-UP INSURANCE:To be effected by the Buyer>.TERMS OF PAYMENT:By irrevocable L/C at sight which should be issued before May 31,2013,valid for negotiation in China for further 15 days after time of shipment>.INSPECTION:In the factory>.This contract is made in two original copies and become valid after signature,one copy to be held by each party>.Signed by:THE SELLER THE BUYERSHANGHAI ANDYS TRADING CO>.,LTD>. HAZZE AB HOLDING信用证:MT 700 ISSUE OF A DOCUMENTARY CREDITSENDER SWEDBANKRECEIVER BANK OF CHINA, SHANGHAI,CHINA SEQUENCE OF TOTAL 27:1/1FORM OF 0>#ffff66'>DOC.CREDIT 40A:IRREVOCABLE#ffff66'>DOC. CREDIT NUMBER 20:BCN1008675DATE OF ISSUE 31C:130612APPLICABLE RULES 40E:UCP LATEST VERSIONDATE AND PLACE OF EXPIRY>. 31D:DATE 130630 PLACE IN SWEDENAPPLICANT 50:HAZZE ABC HOLDINGBOX 1237,S-111 21 HUDDINGE,SWEDENBENEFICIARY 59:SHANGHAI ANDY TRADING CO>.,LTD>. NO>.126 WENHUAROAD,SHANGHAI,CHINA>.AMOUNT 32B:CURRENCY EUR AMOUNT 27,000>.00 AVAILABLE WITH/BY 41D:ANY BANK IN CHINA,BY NEGOTIATIONDRAFTS AT… 42C:30 DAYS AFTER SIGHTDRAWEE 42A:HAZZE AB HOLDINGPARTIAL SHIPMTS 44P:NOT ALLOWEDTRANSSHIPMENT 44T:NOT ALLOWEDPORT OF LOADING 44E:TIANJIN, CHINAPORT OF DISCHARGE 44F:STOCKHOLM,SWEDENLATEST SHIPMENT 44C:130615DESCRIPTION OF GOODS 45A:1000 PCS OF GAS DETECTORS AS PER S/C NO>.AD13007CIF STOCKHOLMPACKED IN CARTONSDOCUMENTS REQUIRED 46A:+COMMERCIAL INVOICE SIGNED MANUALLY INTRIPLICATE>.+PACKING LIST IN TRIPLICATE>.+CERTIFICATE OF CHINESE ORIGIN CERTIFIED BYCHAMBER OF COMMERCE>.+INSURANCE POLICY/CERTIFICATE IN DUPLICATEENDORSED IN BLANK FOR 110% INVOICE VALUE,COVERING ALL RISKS AND WAR RISK OF CIC OF PICC(1/1/1981)+FULL SET OF CLEAN ‘ON BOARD’ OCEAN BILLS OFLADING MADE OUT TO ORDER MARKED FREIGHTPREPAID AND NOTIFY APPLICANT>.ADDITIONAL CONDITION 47A:+ALL PRESENTATIONS CONTAINING DISCREPANCIESWILL ATTRACT A DISCREPANCY FEE OF USD50>.00>. THISCHARGE WILL BE DEDUCTED FROM THE BILL AMOUNTWHETHER OR NOT WE ELECT TO CONSULT THEAPPLICANT FOR A WAIVER>.CHARGES 71B:ALL CHARGES AND COMMISSIONS ARE FOR ACCOUNT OFBENEFICIARY>.CONFIRMATION INSTRUCTION 49:WITHOUT【答案与解析】本题主要考察受益人根据合同和《UCP 600》对信用证的审核。

国际商务单证员《国际商务单证缮制与操作》模拟试题及详解(二)(圣才出品)

国际商务单证员《国际商务单证缮制与操作》模拟试题及详解(二)(圣才出品)

国际商务单证员《国际商务单证缮制与操作》模拟试题及详解(二)一、根据下述合同内容审核信用证,指出不符之处,并提出修改意见。

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

全国外经贸单证员考试单证缮制与操作真题 附答案

全国外经贸单证员考试单证缮制与操作真题 附答案

2016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5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 CONFIRMATIONThe Seller: SUNSHINE TRADING CORP.Contract No. STE0518 108 Nanjing Road Tianjin,China Date: July 15,2015The Buyer: JOYFAIR TRADING CORP.Rm9008 Tower Building NY,USADescription of Goods Quantity UnitPrice Amount 100% Cotton Shirt Style No. KSN948As per the Order No.2015110EColour: BlackPinkBlueWhite1000PCS1000PCS1000PCS1000PCSCIFC5 NEW YORKUSD19.99/PC USD79960.00 TOTAL 4000PCS USD79960.00Total Amount: SAY U.S.DOLLARS SEVENTY NINE THOUSAND NINE HUNDRED SIXTY ONLY Packing: 20pcs are packed in one export standard cartonTime of Shipment: Before the end of Sept.2015Loading Port and Destination: From Tianjin, China to New York, USAPartial 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 30 days after sight, reaching the seller before Aug. 15,2015, 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 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:SUNSHINE TRADING CORP.JOYFAIR TRADING CORP.Young Lee1.根据合同,合理的信用证开证日期应为A. Aug.15, 2015B. the beginning of Aug.C. July 15,2015D. Before the end of Sept.2. 如果提单日期为Sept.15, 2015,信用证的有效期应为A. Sept.30, 2015B. Sept.15, 2015C. July 15,2015D. Aug.15, 20153. 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. SUNSHINE TRADING CORP.B. JOYFAIR TRADING CORP.C. BANK OF CHINAD. BANK OF AMERICA5. 根据合同,信用证的受益人应为A. SUNSHINE TRADING CORP.B. JOYFAIR TRADING CORP.C. BANK OF CHINAD. BANK OF AMERICA6. 根据合同,信用证金额应为A. USD19.99B. USD19.90C. USD79960D. USD796907. 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8. 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9. 根据合同,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.天津B. 纽约C. 洛杉矶D. 南京12. 根据合同,信用证的目的港应为A.天津B. 纽约C. 洛杉矶D. 南京13. 根据合同,信用证的装运日期规定正确的是A. before Sept.15, 2015B. before Sept.1, 2015C. before Sept.30, 2015D. Sept.30, 201514. 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. SUNSHINE TRADING CORP.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. 根据合同,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进口单据中错误的地方并改正,请在答题纸上作答。

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2016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5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 CONFIRMATION
The Seller: SUNSHINE TRADING CORP.Contract No. STE0518 108 Nanjing Road Tianjin,China Date: July 15,2015
The Buyer: JOYFAIR TRADING CORP.
Rm9008 Tower Building NY,USA
Description of Goods Quantity Unit
Price Amount 100% Cotton Shirt Style No. KSN948
As per the Order No.2015110E
Colour: Black
Pink
Blue
White
1000PCS
1000PCS
1000PCS
1000PCS
CIFC5 NEW YORK
USD19.99/PC USD79960.00 TOTAL 4000PCS USD79960.00
Total Amount: SAY U.S.DOLLARS SEVENTY NINE THOUSAND NINE HUNDRED SIXTY ONLY Packing: 20pcs are packed in one export standard carton
Time of Shipment: Before the end of Sept.2015
Loading Port and Destination: From Tianjin, China to New York, USA
Partial Shipment: Not Allowed Transshipment: Allowed
Insurance: 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. 15,2015, 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 Commerce
Signed by:
THE SELLER: THE BUYER:
SUNSHINE TRADING CORP.JOYFAIR TRADING CORP.
Young Lee
1.根据合同,合理的信用证开证日期应为
A. Aug.15, 2015
B. the beginning of Aug.
C. July 15,2015
D. Before the end of Sept.
2. 如果提单日期为Sept.15, 2015,信用证的有效期应为
A. Sept.30, 2015
B. Sept.15, 2015
C. July 15,2015
D. Aug.15, 2015
3. 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. SUNSHINE TRADING CORP.
B. JOYFAIR TRADING CORP.
C. BANK OF CHINA
D. BANK OF AMERICA
5. 根据合同,信用证的受益人应为
A. SUNSHINE TRADING CORP.
B. JOYFAIR TRADING CORP.
C. BANK OF CHINA
D. BANK OF AMERICA
6. 根据合同,信用证金额应为
A. USD19.99
B. USD19.90
C. USD79960
D. USD79690
7. 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
8. 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
9. 根据合同,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.天津
B. 纽约
C. 洛杉矶
D. 南京
12. 根据合同,信用证的目的港应为
A.天津
B. 纽约
C. 洛杉矶
D. 南京
13. 根据合同,信用证的装运日期规定正确的是
A. before Sept.15, 2015
B. before Sept.1, 2015
C. before Sept.30, 2015
D. Sept.30, 2015
14. 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.CIF
B.FOB
C.CFR
D.CIP
16. 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 BEARER
D. SUNSHINE TRADING CORP.
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. 根据合同,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进口单据中错误的地方并改正,请在答题纸上作答。

(每错1分,共20分)
已知资料:
卖方:NICHIMEN CORPORATION
2-2 NAKANOSHIMA 3-CHOME, KITA-KU
OSAKA, JAPAN
买方:TIANJIN FUTAI INTERNATIONAL IMP. & EXP.CO
8TH FLOOR FOREIGN TRADE BUILDING
200 NANJING ROAD, TIANJIN, CHINA
买方名称缩写:TJFT
货物描述:100 PCT COTTON GREIGE PRINT CLOTH
数量:ABOUT 200,000 YDS
包装:IN SEAWORTHY BALES, 200 YDS/BALE
G.W: 140KGS/BALE
N.W: 138KGS/BALE
MEAS.:30×40×50CM/BALE
汇票金额:USD84,000.00
合同号:JQ515
发票号:NT01FF004
贸易术语:CIF TIANJIN
装运港:NAGOYA
保险单及提单日期:APR. 30, 2015
船名和航次:SARA, V.6A
提单号:DMDF2390
船长:DA VID
合同规定投保险别为ICC(A)和WAR RISK
信用证要求提交两份正本清洁已装船海运提单,做成凭指示,并通知信用证申请人。

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