2019年单证员考试《操作与缮制》试题及答案(卷二)
[财经类试卷]国际商务单证员单证操作与缮制(运输单据的缮制、其他附属单据的缮制)模拟试卷1及答案与解析
国际商务单证员单证操作与缮制(运输单据的缮制、其他附属单据的缮制)模拟试卷1及答案与解析一、根据已知资料改正下列单据中错误的地方(本题30分)1 请根据相关资料及所填制好的海运提单,指出错误并修改。
(1)资料一。
广东省荣华贸易有限公司与芬兰ABC公司成交一笔出口交易。
ABC公司按期开来信用证,荣华公司按期出运,并填制好海运提单,请根据下面信用证提供的内容审核海运提单编号①至⑧的内容,对单证不符的内容进行修改。
Issuing Bank: METITA BANK LTD.FIN-00020 METITA,FINLANDTarm of Doc.Credit:IRREVOCABLECredit Number:LRT9802457Date of Issue: 120505Expiry:Date 120716 Place CHINAApplicant: ABC CORP.AKEKSANTERINK AUTO P.O.BOX 9,FINLANDBeneficiary: GUANGDONG RONGHUA TRADE CO.,LT.D. 168 DEZHENG ROAD SOUTH,GUANGZHOU,CHINAAmount:Currency USD Amount 36 840.00(SAY US DOLLARS THIRTY SIX THOUSAND FOURH HUNDRED AND EIGHTY ONLY.)Pos./Neg.Tol.(%):5/5Available with/by: ANY BANK IN ADVISING COUNTRY BY NEGOTIATIONPartial Shipments: NOt AllowedTransshipment: AllowedLoading in Charge: GUANGZHOUFor Transport to:HELSINKIShipment Period: AT THE LATEST JULY 16,2012Description of Goods:9600PCS OF WOMEN’S SWEATERSUnit Price:USD3.80/PC, OTHER DETAILS AS PER S/C NO.98GQ468001Packing:12PCS/CTN TOTAL 800CTNS CFRHELSINKI(INCOTERMS2010)Documents Required: FULL SET OF CLEAN ON BOARD MARINE BILLS OF LADING,MADE OUT TO ORDER OF METITA BANK LTD.,FINLAND,MARKED“FREIGHT PREPAID”AND NOTIFY APPLICANT(AS INDICATE ABOVE)Additional Cond.:1.T.T.REIMBURSEMENT IS PROHIBITED.2.ALL DOCUMENTS MUST BE MARKED THE S/C NO. AND L/C NO..3.SHIPPING MARKS:ABC/HELSINKI/NO.1—800.(2)资料二:填制完成的海运提单。
2019单证缮制与操作试题参考答案
2019单证缮制与操作试题参考答案一、单选题(40分)AACBA CDAAB BDBCC ADABD二、根据所给资料审核并修改已填制错误的汇票、海运提单(20分)汇票错误的地方如下:(10分)1. 出票依据2. 信用证号3. 开证日期4. 汇票号5. 金额小写6. 出票日期7. 汇票期限8. 收款人9.金额大写10. 付款人海运提单错误的地方如下:(10分)1. 收货人2. 提单号3. 船名航次4. 唛头5. 件数小写6. 货名7. 毛重8. 体积9. 运费到付地点10. 件数大写三、根据已知资料缮制商业发票、装箱单、装运通知(40分)商业发票Commercial Invoice1.出口商Exporter(1)TIANJIN ESHOW CO., LTD.81 FUHUA ROAD, TIANJIN,CHINA 4.发票日期和发票号Invoice Date and No. (4)May 20,2019 EXP20190335.合同号Contract No.(5) EXP09050336.信用证号L/C No.(6) TK246802.进口商Importer(2)MARCO FOERSTER GMBHNUERTINGER STR.5 METZINGEN, HAMBURG, GERMANY 7.原产地国Country/region of origin(7) P. R. CHINA8.贸易方式Trade mode GENERAL3.运输事项Transport details(3)FROM TIANJIN, CHINA TO HAMBURG, GERMANY BY SEA 9.交货和付款条款Terms of delivery and payment (8) LC AT SIGHT CFR10.运输标志和集装箱号码Shipping marks;Container No.(9) M.F.GEXP0905033 HAMBURGC/NO. 1-200 11.包装类型及件数;商品编码;商品描述Number and kind of packages;CommodityNo.;Commodity description(10)200 CARTONS OF RETEVISBRAND RT628 PORTABLE WALKIETALKIE 0.5W UHF EUROPE FREQUENCY446MHZ.HS CODE: 8517122012.数量Quantity(11)10,000 PCS13.单价Unit price(12)USD18/PCCFRHAMBURG14.金额Amount(13)USD180,000.0015.总值(用数字和文字表示)Total amount(in figure and word)(14)SAY U.S.DOLLARS ONE HUNDRED EIGHTY THOUSAND ONL Y16.出口商签章Exporter stamp and signature(15) TIANJIN ESHOW CO., LTD.江海装箱单Packing List1.出口商(Exporter)(1)TIANJIN ESHOW CO., LTD.81 FUHUA ROAD, TIANJIN,CHINA 3.装箱单日期(Packing list date) (3)May 20,20192.进口商(Importer)(2)MARCO FOERSTER GMBHNUERTINGER STR. 5 METZINGEN, HAMBURG, GERMANY 4.合同号(Contract No.)(4)EXP09050335.发票号和日期(Invoice No. and Date) (5)May 20,2019 EXP20190336.运输标志和集装箱号(Shippingmarks;Container No.) 7.包装类型及件数;商品名称Number and kind ofpackages;Commodity name8.毛重kgGrossweight9.体积m3(6)(7)(8)2700KGS (9)M.F.GEXP0905033HAMBURGC/NO. 1-200200 CARTONS OF 4.8CBMRETEVIS BRAND RT628 PORTABLEWALKIE TALKIE10.出口商签章Exporter stamp and signature(10)TIANJIN ESHOW CO., LTD.江海装运通知Shipping note1出口商Exporter(1)TIANJIN ESHOW CO., LTD.81 FUHUA ROAD, TIANJIN,CHINA 4发票号Invoice No.(4) EXP20190335合同号Contract No.(5) EXP09050336.信用证号L/C No.(6) TK246802进口商Importer(2) MARCO FOERSTER GMBHNUERTINGER STR. 5 METZINGEN, HAMBURG, GERMANY 7运输单证号Transport document No.(7) BL NO.TSGC09/778价值Value(8) USD180,000.003运输事项Transport details (3)FROM TIANJIN, CHINA TO HAMBURG, GERMANY BY SEA 9装运口岸和日期Port and date of shipment (9) MAY 30,2019 TIANJIN, CHINA10运输标志和集装箱号Shipping marks; Container No.11包装类型及件数;商品名称或编码;商品描述Number and kind of packages; Commodity No.; Commodity description自由处置区Free disposal(10) M.F.GEXP0905033HAMBURGC/NO. 1-200(11) 200 CARTONS(12) RETEVIS BRAND RT628 PORTABLE WALKIE TALKIE(13) Gross weight: 2700KGS(14) 4.8CBM12出口商签章Exporter stamp and signature(15) TIANJIN ESHOW CO., LTD.江海。
国际商务单证员《操作与缮制》复习题及答案
国际商务单证员《操作与缮制》复习题及答案2017国际商务单证员《操作与缮制》复习题及答案一、单选题1、汇票的抬头是汇票的( )A.出票人B.受票人C.受款人[答案]B2、货物装船后,凭以换取正本提单的单据是( )A.大副收据B.下货纸C.托运单[答案]A3、提单的抬头一般作成( )A.记名式B.不记名式C.指示抬头[答案]C4、提单日期是7月15日,信用证的.有效期是8月15日,按《UCP500》规定,受益人向银行交单的最迟日期是( )A.7月15日B.8月5日C.8月15日[答案]B5、《INCOTERM2000》C组贸易术语与其他各组贸易术语的重要区别之一是( )。
A.交货地点不同B.风险划分地点不同C.风险和费用划分的地点相分离D.以上都不是[答案]C6、《932年华沙-牛津规则》解释了多少种贸易术语?( )A.1种B.6种C.13种D.14种[答案]A7、《2000通则》解释的贸易术语有( )A.6种B.9种C.13种D.14种[答案]C二、判断题8、信用证的修改可以随时进行,发现一处即可以向国外开证行申请修改一处。
[答案]错误9、所有的进出口公司都可以直接向海关办理报关手续。
[答案]错误10、如果我方取得的提单日期是3月5日,而保险单的日期是3月8日,不会影响我方安全迅速地收汇。
[答案]错误11、出口退税制度有利于我国对外贸易的发展。
[答案]正确12、进口合同采用CIF成交时,我方必须办理投保手续。
[答案]错误。
单证员缮制与操作试题(答案)
+Do not mention any shipping marks in your L/C.
+Partial and transshipment allowed.
+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 LC:
203 LODIA HOTEL OFFICE 1546, DONF-GU, DATE: AUGUST 08, 2005
BUSAN,KOREASIGNED AT:NANJING,CHINA
SELLER: WONDER INTERNATIONAL COMPANY LIMITED
NO. 529,QIJIANG ROADHE DONG DISTRICT,
1. COMMODITY: UNBLEACHEDKRAETLINEBOARD
UNIT PRICE: USD390.00/PER METRIC TON,CFRBUSANKOREA
TOTAL QUANTITY: 100METRIC TONS, ±10% ARE ALLOWED.
PAYMENT TERM: BY IRREVOCALE L/C 90 DAYS ADTER B/L DATE
2. TOTAL VALUE: USD39,000.00 (SAY U.S.DOLLARS THIRTY NINE THOUSAND ONLY.***10% MORE OR LESS ALLOWED)
国际商务单证缮制与操作试题答案
20XX年国际商务单证员专业考试国际商务单证缮制与操作试题(考试时间:6月15日下午2:00—4:00)题号一二三总分阅卷组长得分一、根据下述合同内容审核信用证,并指出不符之处。
(36分)SALES CONTRACTThe Sellers: SHANGHAI SHENG DA CO., LTD.UNIT C 5/F JINGMAO TOWER No. SD080215SHANGHAI, CHINAThe Buyers: ALFAGA ENTERPRISE Date: Feb.15, 2008 28, IMAMGONJDHAKA, BANGLADESH Signed at: Shanghai, ChinaThe undersigned Sellers and Buyers have agreed to close the following transactions according to the terms and conditions stipulated below:Commodity & Specification QuantityPrice TermsUnit price AmountSTEEL TAPE RULESJH-392W 3M X 16MM JH-380W 3M X 16MM 2000DOZ PAIR500 DOZ PAIRCFRCHITTAGONGUSD3.60/DOZPAIRUSD4.20/DOZPAIRUSD7,200.00USD2,100.00USD9,300.00Total amount: U.S.DOLLARS NINE THOUSAND THREE HUNDRED ONL Y 得分评卷人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 Buyers shall open through a bank acceptable to the Sellers an Irrevocable Sight Letter of Credit to reach the Sellers 30 days before the month ofshipment. Valid for negotiation in China until the 15th day after the month ofshipment.The Seller The BuyerSHANGHAI SHENG DA CO.,LTD. ALFAGA ENTERPRISE信用证:SQUENCE OF TOTAL 27: 1/1FORM OF DOC. CREDIT 40A:IRREVOCABLEDOC. CREDIT NUMBER 20: 06660801DA TE OF ISSUE 31C: FEBRUARY 24, 2008APPLICABLE RULES 40E: UCP LATEST VERSIONDA TE 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, BANGLADESH BENEFICIARY 59: SHANGHAI DA SENG CO., LTD.UNIT C 5/F JINGMAO TOWERSHANGHAI, CHINAAMOUNT 32B: CURRENCY HKD AMOUNT 9800.00AVAILABLE WITH /.BY ... 41D: ANY BANK IN CHINABY NEGOTIATIONDRAFTS AT... 42C: DRAFTS AT 60 DAYS SIGHTFOR 100PCT INVOICE V ALUEDRAWEE 42D: AB BANK LIMITED, IMAMGANJ BRANCHPARTIAL SHIPMENT 43P: NOT ALLOWEDTRANSSHIPMENT 43T: NOT ALLOWEDLOADG/DSPACHG/TAKING 44A: ANY CHINESE PORTSTRANSPORTATION TO... 44B: CHITTAGANG SEA PORT, BANGLADESHLATEST DATE OF SHIPMET 44C: MAY 2, 2008DESCRIP OF GOODS 45A: TAPE RULES(1) 2000 DOZ PAIR MDEL: JH-395WSIZE: 3M X 16MM @HKD3.60 PER DOZEN CIF CHITTAGONG(2) 500 DOZ PAIR MODEL: JH-386WSIZE: 3M X 16MM @HKD4.20 PER DOZEN CIF CHITTAGONGPACKING: EXPORT STANDARD SEAWORTHY 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 STATIN G T HA T ONE SETOF ORIGINAL SHIPPING DOCUMENTS INCLUDINGHAS BEEN SENT DIRECTL Y TO T HEORIGINAL “FORM A” APPLICANT AFTER THE SHIPMENT.+INSURANCE POLICY OR CERTIFICATE ENDORSED INBLANK FOR 110 PCT OF CIF VALUE, COVERINGW.P.A RISK AND W AR RISK+3/3 PLUS ONE COPY OF CLEAN “ON BOARD” OCEANBILLS OF LADING MADE OUT TO ORDER AND BLANKENDORSED MARKED “FREIGHT COLLECT” ANDNOTIFY APPLICANT.ADDITIONAL CONDITION 47A:“DRA WN+ALL DRAFTS DRA W N HERE UNDER MUST BE MARKEDUNDER A B BANK LIMITED, IMAMGANJ BRANCH CREDIT NO.06660801 DA TED FEBRUARY 24, 2008”+T/T REIMBURSEMENT IS NOT ACCEPTABLEDETAILS OF CHARGES 71B: ALL BANKING CHARGES OUTSIDE BANGLADESHARE FOR BENEFICIARY’S ACCOUNTPRESENTAION PERIOD 48: DOCUMENTS MUST BE PRESENTED WITHIN 15 DAYSAFTER THE DATE OF ISSUANCE OF THE SHIPPINGDOCUMENTS BUT WITHIN THE V ALIDITY OF THE CREDIT. CONFIRMATION 49: WITHOUTINSTRUCT. TO NEGOTIATING BANK 78: THE AMOUNT AND DA TE OF NEGOTIATIONOF EACH DRAFT MUST BE ENDORSED ON THE REVERSEOF THIS CREDIT. ALL DOCUMENTS INCLUDINGBY COURIER SER VICEBENEFICIAR Y’SDRAFTS MUST BE SENTDIRECTL Y TO US IN ONE LOT UPON OUR RECEIPTOF THE DRAFTS AND DOCUMENTS WE SHALL MAKEPAYMENT AS INSTRUCTED BY YOU经审核信用证后存在的问题如下:1.31D错,应该是20XX年6月15日在中国到期2.50申请人的地址错,应该是28 IMAMGONJ3.59受益人名称错,应该是:SHANGHAI SHENGDACO., LTD.4.32B错,应该是USD9300.005.42C错,应该是DRAFTSA TSIGHT6.43P错,应该是ALLOWED7.43T错,应该是ALLOWED8.44C错,应该是MAY 31 20089.45A中的品名错,应该是:STEELTAPERULES10.2000DOZPAIR的货号错,应该是:JH-392W11.该款卷尺的单价错,应该是:USD3.60 PER DOZPAIR12.该款卷尺的贸易术语错,应该是:CFR CHITTAGONG13.500DOZPAIR的货号错,应该是:JH-380W14.该款卷尺的单价错,应该是:USD4.20 PER DOZPAIR15.该款卷尺的贸易术语错,应该是:CFR CHITTAGONG16.包装错,应该是:PACKING: IN CARTONS17.46A中有一个单证:G.S.P. FORM A 不能提供,因为货物没有出口去欧盟、日本、加拿大等发达国家,不能出具普惠制产地证,因此这个单据要去掉。
单证员六套练习答案
练习一(答案)一、单项选择题ABCAB CABBD DBBCB DBBCB二、判断题√×√×√×××√×√√√×××√√√×三、根据合同内容审核信用证,指出不符之处并提出修改意见。
(1)APPLICANT: TAI HING LONG SDN, BHD., P.O.B.666 SINGAPORE应改为APPLICANT: TAI HING LOONG SDN, BHD., P.O.B.666 SINGAPORE(2)BENEFICIARY: GU TAI TEXTILES I/E CORP.应改为BENEFICIARY: GUO TAI TEXTILES I/E CORP.(3)AMOUNT: USD 90,000.00 应改为USD 900,000.00(4)UNITED STATES DOLLARS TWO HUNDRED THREE THOUSAND ONLY应改为UNITED STATES DOLLARS NINE HUNDRED THOUSAND ONLY(5)EXPIRY DATE: JUN. 15, 2009 应改为 JULY 15, 2009或AUG. 15, 2009(6)“FREIGHT COLLECT”应改为“FREIGHT PREPAID”(7)MARINE INSURANCE POLICY OR CERTIFICATE FOR FULL INVOICE VALUE PLUS 50% 应改为10%(8)COVERING ALL RISKS AND WAR RISK 应改为COVERING W.P.A AND WAR RISK (9)ABOUT 300,000 YARDS OF 65% POLYESTER, 35% COTTON GREY LAWN应改为100% COTTON GREY LAWN(10) TWO EQUAL SHIPMENTS DURING MAY/ JUNE.应改为DURING JUNE/JULY四、单据缮制与操作(每空格1分,共40分)请根据下面所给信用证以及相关资料缮制商业发票、汇票、一般原产地证书各一份1)IssuerSHANGHAI FUJI GARMENTS GROUP CO .LTD 321, CHONGSHAN ROAD SHANGHAI, CHINA商业发票COMMERCIAL INVOICE2)TOYI YANG TRADING CORPORATION88 MARSHALL AVE DONCASTER VIC 3108 CANADA 3)INVOICE NO.SEP.28,20094)INVOICE DA TEMN88665)Transport DetailsFROM SHANGHAI CHINA TO MONTREAL,CANADA BY SEA 6)S/C NOMN8087)L/C NOWCBN20098)Marks and Numbers9)Description of Goods10)Quantity 11)Unit Price12)AmountYI YANG MONTREALC/NO. 1—360 LADIES'100% COTTON WOVENJACKET AS PER S/C MN80812,000PCSCIF MONTREALUSD8.00/PCUSD96,000.0013)T OTAL VALUE IN WORDS: SAY U.S.DOLLARS NINETY SIX THOUSAND ONLY.14)WE HEREBY CERTIFY THAT THE CONTENTS IN THIS INVOICE ARE TRUE AND CORRECT.15)SHANGHAI FUJI GARMENTS GROUP CO .LTDXXXBILL OF EXCHANGESNo.:(1)MN8866For:2)USD96,000.00(3-4)OCT 25,2009 SHANGHAI,CHINA(amount in figure) (place and date of issue)At(5) ******** sight of this FIRST Bill of Exchange (SECOND being unpaid) Pay to the order of (6)BANK OF CHINA ,SHANGHAI BRANCH the sum of (7) SAY U.S.DOLLARS NINETY SIX THOUSAND ONLY.(amount in words)Drawn under (8) NATIONAL PARIS BANKL/C No. (9) WCBN2009Dated(10) SEP. 18,2009To:11) NATIONAL PARIS BANK24 MARSHAL AVE DONCASTER MONTREAL, CANADAFor and on behalf of(12) SHANGHAI FUJI GARMENTS GROUP CO .LTDXXX(1)Exporter(full name and address) SHANGHAI FUJI GARMENTS GROUP CO .LTD 321, CHONGSHAN ROAD SHANGHAI, CHINA (5)CERTIFICATE NO. 200986CERTIFICATE OF ORIGINOFTHE PEOPLE’S REPUBLIC OF CHINA(2)Consignee(full name, address, country) YI YANG TRADING CORPORATION88 MARSHALL AVE DONCASTER VIC 3108 CANADA(3)Means of transport and routeFROM SHANGHAI CHINA TO MONTREAL,CANADA BY SEAFor certifying authority use only (4)Country / region of destination MONTREAL , CANADA(6)Marks and numbers YI YANG MONTREAL C/NO. 1—360(7)Number and kind of packages; description of goodsTHREE HUNDRED AND SIXTY (360) CTNS OF LADIES ' 100% COTTON WOVEN JACKET************************(8)H.S.Code 6104 3200 10(9)Quantity 12000PCS(10)Number and date of invoices NO.MN8866 SEP.28th,2009Declaration by the exporterThe undersigned hereby declares that the above details and statement are correct; that all the goods wereproduced in China and that they comply with the rules of origin of the People’s Republic of China.(11-13)CertificationIt is hereby certified that the declaration by the exporter is correct. 中国国际贸易促进委员会单据证明专用章(沪)CHINA COUNCIL FOR THE PROMOTIONOF INTERNATIONAL TRADE OCT. 18th,2009 SHANGHAI黄 飞Place and date, signature and stamp of certifying authoritySHANGHAI FUJI GARMENTS GROUP CO .LTD 321 CHONGSHAN ROAD ,SHANGHAI ,CHINA OCT .15th,2009 SHANGHAI XXXPlace and date, signature and stamp of authorized signatory练习二(答案)一、单项选择题 DBBAD DBDCA CADBB CCDAB二、判断题 √√××× ××√×√ √√×√√ ××√√× 三、根据合同内容审核信用证,指出不符之处并提出修改意见。
2019单证员单证操作与缮制、基础理论与知识真题及答案
2019单证员单证操作与缮制真题及答案1.航空公司的运价通常以“s”表示( )。
A,最低运价B.附减运价C.附加运价D.普通运价【答案】C【解析】航空公司一般用不同的运价代码表示运价种类。
通常以“s”表示等级货物附加运价(Class Rate SurCharge);“M”表示最低运费;“N”表示45公斤以下普通货物运价; “Q”表示45公斤以上普通货物运价;“R”表示等级货物附减运价。
2.我国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.自动与非自动同时使用【答案】A【解析】按金额循环在使用后恢复到原金额的具体做法不同,循环信用证分为自动循环信用证、半自动循环信用证和非自动循环信用证。
非自动循环信用证是指该信用证规定金额被使用后,需等开证行通知到达,原金额才能恢复使用。
3.某外贸企业对外以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.DDP【答案】C【解析】与CFR术语下卖方在约定的装运港交货不同的是,采用CPT术语成交时,卖方向指定的承运人交货。
故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CPT 术语成交为宜。
4.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【答案】C【解析】我国是《万国邮政公约》的缔约国。
根据《万国邮政公约》的规定,进出口邮包必须由寄件人填写“报税单”(小件邮包填写“绿色标签”),列明所寄物品的名称、价值、数量,向邮包寄达国家的海关申报。
进出境邮递物品的“报税单”和“绿色标签”随同物品通过邮政企业或快递公司呈递给海关。
国际商务单证缮制与操作试题
国际商务单证缮制与操作试题一、根据下述合同内容审核信用证,并指出不符之处。
经审核信用证后存在的问题如下:______二、根据买方订单及相关资料缮制形式发票三、根据合同、信用证及补充资料缮制商业发票、海运提单、汇票及普惠制产地证FORM A补充资料1.INVOICE NO. YL710012.INVOICE DATE: NOV.10,20073.C.W: 36KCS/CTN N.W: 35KC5/CTN MEAS.0.55CBN/CTN 4.H. S. CODE: 4819.10005.VESSEL: KAOHSIUNG V.0707S6.B/L NO.TH14HK075967.B/L DATE: NOV.29,20078.C/N: SNBU71218209.REFERENCE NO.2007081910.ORICINAL CRITERION:"P"国际商务单证缮制与操作试题一、审核分析根据合同审核信用证是每年全国单证考试“规定动作”,也是从业人员必须掌握的技能之一,因为尽管凭信用证付款在各种付款方式中的比例逐步下降,但信用证仍是最主要的方式。
该种试题考核重点大同小异。
本年度考核并不要求考生对不符合合同的地方进行修改,这样,考生在回答本题时可根据所学知识,结合所给条件对比分析并列明信用证存在的问题即可。
经审核该证存在的问题如下:(括号中的数字表示SWIFTMTT00格式中的数字编码。
) 1.信用证中的受益人名称(59)与合同卖方(Seller)不符。
合同中显示的是“SHANGHAI SHENG DA CO.,LTD.,”而信用证中是“SHANGHAI DA SENG CO.,LTD.”。
2.开证申请人(50)的地址不符。
合同中规定的是"28,IMAMGONJ",信用证中则误为"26,IMAMGONJ"。
3.商品名称不符。
合同中买卖的货物(COMMODITY & SPECIFICATION)是“STEEL TAPE RULES”,而信用证中(45A)里却显示“TAPERULES”,缺少了“STEEL”字样。
单证员考试《操作与缮制》多项选择题精选100题.
单证员考试《操作与缮制》多项选择题精选100题1.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.装卸费用的负担不同D.运输单据不同2.对于信用证与合同关系的表述正确的是(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3.CIF术语与DES术语的区别是(BCD )。
A.两者都只适用水上运输B.两者风险划分界限不同C.前者是象征性交货,后者是实际交货D.前者是装运合同,后者是到达合同4.运输工具在运输途中发生了搁浅、触礁、沉没等意外事故,不论意外发生之前或之后货物在海上遭遇恶劣气候、雷电、海啸等自然灾害造成的被保险货物的部分损失,属于以下(ABC )的范围。
A.平安险B.水渍险C.一切险D.附加险5.确定进出口商品的价格,除了要考虑商品的质量和档次、运输的距离、成交数量外、还要考虑(ABCD )。
A.交货地点和交货条件B.季节性需求的变化C.支付条件和汇率变动的风险D.国际市场商品供求变化和价格走势6.信用证作了如下规定,其中属于“非单据条件”的有(AB )。
A.载货船舶的船龄不超过15年B.载货船舶挂巴拿马国旗C.装船后立即通知申请人装货细节并提交传真副本D.提供原产地证明书7.假远期信用证与远期信用证的区别是(ABCD )。
A.开证基础不同B.信用证条款不同C.利息的负担者不同D.收汇的时间不同8.以下哪些条款应被视为信用证的“软条款”(ABCD )?A.检验人在检验证书上的签名必须与开证行所保留的签名样本相符B.受益人出具的报关单、合同及商业发票必须做使馆认证C.必须得到开证申请人对样品的确认后,信用证方可生效D.货物必须经开证申请人的代表检验合格后方可装船9.FOB、CFR、CIF和FCA、CPT、CIP两组术语的价格构成都包括(BCD )。
外贸类《单证员》缮制与操作《缮制与操作》考试试题及答案解析
外贸类《单证员》缮制与操作《缮制与操作》考试试题及答案解析姓名:_____________ 年级:____________ 学号:______________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个正确答案:B答案解析:暂无解析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 、单货一致正确答案:A答案解析:暂无解析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 、05%C 、5D 、05%正确答案:D答案解析:暂无解析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)制单正确答案:A答案解析:暂无解析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正确答案:A答案解析:暂无解析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、买卖合同正确答案:B答案解析:暂无解析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、货币贬值正确答案:A答案解析:暂无解析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、易燃性标志正确答案:B答案解析:暂无解析9、在海洋运输货物保险业务中,共同海损()。
国际商务单证缮制与操作模式试题(二)
国际商务单证缮制与操作模式(二)国际商务单证缮制与操作模式(二)一、单选题(共20题,共40分)1.根据海关法规定,滞报金的日征收金额为进口货物的完税价格的( )。
A.0.5%B.0.05%C.5%D.50%2.报关单位是指办理了( )手续,取得办理进出口货物报关资格的境内法人。
A.工商注册登记B.税务登记C.企业主管部门登记D.海关报关注册登记3.某纺织品进口公司在国内购一批坯布运出境印染,复运进境后委托服装厂加工成服装,然后回收出口。
前后两次出口适用的报关程序分别是:()A.暂准出境和一般出口B.一般出口和进料加工C.出料加工和一般出口D.出料加工和进料加工4.请指出下列哪一项货物或物品不适用暂准进出口通关制度:()A.进口待转口输出的转口贸易货物B.在展览会中展示或示范用的进口货物、物品C.承装一般进口货物进境的外国集装箱D.来华进行文艺演出而暂时运进的器材、道具、服装等5.根据《中华人民共和国海关法》的规定,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6.郑州某企业使用进口料件加工的成品,在郑州海关办妥出口手续,经天津海关复核放行后装船运往美国。
此项加工成品复出口业务,除按规定已办理了出口手续外,同时,还要办理的手续的是:()A.境内转关运输手续B.货物过境手续C.货物登记备案手续D.出口转关运输手续7.某服装进出口公司自日本进口一批工作服,在向海关申报时,其报关单“贸易方式”栏应填报为:()A.一般贸易B.货样广告品C.货样广告品D.货样广告品B8.()是海关接受申报时给予报关单的编号。
A.预录入编号B.海关编号C.备案号D.项号9.英国生产的产品,中国购自新加坡,经香港转运至中国,填写报关单时起运地为()A.英国B.新加坡C.香港D.不用填写10.报关单备注栏目应该选填下列哪项内容。
单证员缮制与操作试题(答案)
BUSANKOREA
5. TIME OF SHIPMENT: BEFORE OCTOBER 02, 2005
6.PORTOFSHIPMENT: MAIN PORTS OFCHINA
7.PORTOFDESTINATION:BASAN,KOREA
8. INSURANCE: To be covered by the Buyer after shipment. (F.O.B terms)
11. REMATKS: The last date of L/C opening: 20 August, 2005.
国际商务单证缮制与操作试题 第3页(共10页)
BANK OF KOREA LIMITED, BUSAN
SEQUENCE OF TOTAL *27: 1/1
FORM OFDOC. CREDIT *40: REVOCABLE
DRAWEE42A: BANK OFKOREALIMITED, BUSAN
PARTIAL SHIPMENTS 43P: NOT ALLOWED
TRANSSHIPMENT 43T: NOTALLOWED
LOADING IN CHARGE44A: MAIN PORTS OFCHINA
FOR TRANSPORT TO… 44B:MAINPORTOFKOREA
国际商务单证缮制与操作试题 第4页(共10页)
单证缮制与操作试题
2019年全国外经贸单证专业培训考试单证缮制与操作试题(考试时间:6月23日下午16﹕00—18﹕00)一、根据已知资料回答以下单选题,请在答题纸上作答(每小题2分,共40分)SALES CONTRACTThe Seller:SHANGHAI ESHOW INTERNATIONAL CO., LTD.Address: 17 KONGJIANG ROAD, SHANGHAI,CHINA Contract No. MC191537 Date: JUL. 12,2019 The Buyer: PARM TRADING CORP.Address: RM1001 TOWER BUILDING NY,USAThis Sales Contract is made by and between the Seller and the Buyer, whereby the Seller agree to sell and the Buyer agree to buy the under-mentioned goods according to the terms and conditions stipulated below:Time of Shipment: Before the end of Sep. , 2019.Loading Port and Destination: FROM SHANGHAI,CHINA TO NEWYORK, USA.Partial Shipment: NOT ALLOWED.Transshipment: ALLOWEDInsurance: To be effected by the seller for 110% invoice value covering All Risks and War Risk.Terms of Payment: By L/C at 30 days after sight, reaching the seller before Aug. 15,2019, and remaining valid for negotiation in China for further 15 days after the effected shipment. L/C must mention this contract number. L/C advised by BANK OF CHINA. All banking Charges outside China (the mainland of China) are for account of the Drawee.Documents:+ Signed commercial invoice in triplicate.+ Full set (3/3) of clean on board ocean Bill of Lading marked “Freight Prepaid”made out to order blank endorsed notifying the applicant.+ Insurance Policy in duplicate endorsed in blank.+ Packing List in triplicate.+ Certificate of Origin issued by China Chamber of CommerceSigned by:THE SELLER: THE BUYER:SHANGHAI ESHOW INTERNATIONAL CO., LTD. PARM TRADING CORP.XIAY AN PETER1.根据合同,合理的信用证开证日期应为A. Before Aug.15, 2019B. Aug.16,2019C. July 15,2019D. Before the end of Sept.2.如果提单日期为Sept.15, 2019,信用证的有效期应为A. Sept.30, 2019B. Sept.15, 2019C. July 15, 2019D. Aug.15, 20193.根据合同,信用证的到期地点应为A.开证申请人所在地B.货物所在地C.受益人所在地D.目的港4.根据合同,信用证的开证申请人应为A. SHANGHAI ESHOW INTERNATIONAL CO.LTD.B. PARM TRADING CORP.C. BANK OF CHINAD. BANK OF AMERICA5.根据合同,信用证的受益人应为A. SHANGHAI ESHOW INTERNATIONAL CO., LTD.B. PARMN TRADING CORP.C. BANK OF CHINAD. BANK OF AMERICA6.根据合同,信用证金额应为A. USD61.50B. USD61.00C. USD307,500.00D. USD307,000.007.根据合同,信用证的付款期限应为A.即期B.出票后30天C.提单日期后30天D.见票后30天8.根据《UCP600》,信用证项下汇票的付款人应为A.开证行B.开证申请人C.受益人D.通知行9. 根据合同,信用证采用的贸易术语应为A.CIFB.FOBC.CFRD.CIP10.根据合同,包装应该是A.木箱装B.纸箱装C.铁箱装D.塑料箱装11.根据合同,信用证关于分批装运和转船的规定应为A.允许分批不允许转船B.不允许分批允许转船C.允许分批允许转船D.不允许分批不允许转船12.根据合同,信用证的装运港应为A.天津B. 纽约C. 洛杉矶D. 上海13. 根据合同,信用证的目的港应为A.天津B. 纽约C. 洛杉矶D. 上海14.根据合同,信用证的装运日期规定正确的是A. before Sept.15, 2019B. before Sept.1, 2019C. before Sept.30, 2019D. Sept.30, 201915.按照惯例,信用证项下商业发票的签署人应为A.出口地商会B.出口地银行C.受益人D.开证申请人16.按照合同,保险加成比例应该是A.10%B.20%C.30%D.5%17.按合同,保险单的险别应为A.平安险B.平安险加战争险C.一切险D.一切险加战争险18.根据合同,信用证项下海运提单的抬头应为A.TO ORDERB. TO ORDER OF APPLICANTC. TO BEARERD. TO PARM TRADING CORP.19.根据合同,信用证项下原产地证明的出单人应为A.受益人B.出口地商会C.出口地银行D.出口地海关20.按惯例,承担信用证开证费用的人应为A.议付行B.受益人C.开证行D.开证申请人二、根据所给相关资料指出下列进口单据中错误的地方。
单证员缮制与操作模拟试题及答案_1
单证员缮制与操作模拟试题及答案一、单选题(共10题,共20分)1.国际上普遍对于不符点单据的交单,规定出口商提供给议付行的额外单据是()A.权威机构出具的检验证书B.担保书( indemnity )C.出口商的财务报表D.出口商的经营情况2.如果信用证没有规定装运日期,应理解为装运期与该证有效期为同一天即双到期。
但需注意的是()A.最迟装运日期不得因为信用证到期日及或装运日后交单期限的顺延而顺延。
即如果效期由于银行的非营业日而顺延,装期跟着顺延,装期仍然以信用证规定的效期为最迟装运日期B.最迟装运日期因为信用证到期日及或装运日后交单期限的顺延而顺延即如果效期由于银行的非营业日而顺延,期不能跟着顺延,装期仍然以信用证规定的效期为最迟装运日期C.最迟装运日期因为信用证到期日及或装运日后交单期限的顺延而顺延。
即如果效期由于银行的非营业日而顺延,装期跟着顺延,装期仍然以信用证规定的效期为最迟装运日期D.最迟装运日期不得因为信用证到期日及或装运日后交单期限的顺延而顺延。
即如果效期由于银行的非营业日而顺延,装期不能跟着顺延,装期仍然以信用证规定的效期为最迟装运日期3.保险金额大小写必须一致;金额必须符合信用证的要求,如信用证未注明金额要求时,应按发票上货物金额的()投保。
投保货币按信用证(有特殊规定的除外)A.110%B.100%C.90%D.120%4.托运人( Shipper),亦称发货人( Consignor),一般应为()。
A.信用证申请人B.进口商或其代理人C.出口商或信用证的受益人D.议付行5.“ 抬头人” ,表明发票是开给谁的,一般应是()进口商的名称和详细地址。
如为信用证支付。
A.出口商的名称和详细地址B.进口商银行的名称和详细地址C.出口商银行的名称和详细地址D.进口商的名称和详细地址6.装货港和卸货港的表示方法,发票、产地证、海关发票等单据的这两部分内容的表达方法较简单,一般按()A.货运人的意愿填B.合同和信用证价格条款以及实际情况填C.买方的意愿填D.开证行的意愿填7.当 L/C 规定INVOICE TO BE MADE IN THE NAME OF ABC… ,应理解为()A.一般写成(中间商) FOR ACCOUNT OF ABC(实际购货方,真正的付款人)B.将受益人 AB 作为发票的抬头人C.议付行 ABC作发票的抬头D.将 ABC作为发票的抬头人8.采用信用证方式的,按L/C 要求办,若没有具体要求时,发票的抬头应做成()A.受益人B.开证行C.L/C 的开证申请人D.议付行9.汇票的受票人即付款人的表示法,在托收方式项下,T0后面填()A.一般 TO 后面填进口商,当合同或进口商有特别要求时,可考虑按要求办理B.出口商C.出口商的议付行D.通知行10.在信用证支付方式的交易中,制作单据的主要依据是()A.买卖合同B.信用证C.发票D.进出口许可证二、多选题(共10题,共20分)11.所谓清洁运输单据是指承运人未在运输单据上加注针对货物表面状况的不良批注。
国际商务单证缮制与操作试卷二及答案
《国际商务单证缮制与操作》试卷二题目要求:根据下列信用证内容及相关资料缮制汇票(40分)和提单(60分)ISSUING BANK: CYPRUS POPULAR BANK LTD, LARNAKAADVISING BANK: BANK OF CHINA, SHANGHAI BRANCH.SEQUENCE OF TOTAL *27: 1/1FORM OF DOC. CREDIT *40A: IRREVOCABLEDOC. CREDIT NUMBER *20: 186/04/10014DA TE OF ISSUE 31C: 040105EXPIRY *31D: DATE 040229 PLACE CHINAAPPLICANT *50: LAIKI PERAGORA ORPHANIDES LTD.,020 STRATIGOU TIMAGIA A VE.,6046, LARNAKA,CYPRUSBENEFICIARY *59: SHANGHAI GARDEN PRODUCTS IMP.AND EXP. CO., LTD.27 ZHONGSHAN DONGYI ROAD, SHANGHAI,CHINAAMOUNT *32B: CURRENCY USD AMOUNT 6115.00A V AILABLE WITH/BY *41D: ANY BANKBY NEGOTIATIONDRAFT AT … 42C: AT SIGHTDRAWEE *42D: LIKICY2NXXX*CYPRUS POPULAR BANK LTD*LARNAKAPARTIAL SHIPMENT 43P: ALLOWEDTRANSSHIPMENT 43T: ALLOWEDLOADING IN CHARGE 44A: SHANGHAI PORTFOR TRANSPORT TO…. 44B: LIMASSOL PORTLATEST DATE OF SHIP. 44C: 040214DESCRIPT. OF GOODS 45A:WOODEN FLOWER STANDS AND WOODEN FLOWER POTSAS PER S/C NO. E03FD121.CFR LIMASSOL PORT, INCOTERMS 2000DOCUMENTS REQUIRED 46A:+COMMERCIAL INVOICE IN QUADRUPLICATE ALL STAMPEDAND SIGNED BY BENEFICIARY CERTIFYING THAT THEGOODS ARE OF CHINESE ORIGIN.+FULL SET OF CLEAN ON BOARD BILL OF LADING MADE OUTTO ORDER OF SHIPPER AND BLANK ENDORSED, MARKEDFREIGHT PREPAID AND NOTIFY APPLICANT.+PACKING LIST IN TRIPLICATE SHOWING PACKING DETAILSSUCH AS CARTON NO.S AND CONTENTS OF EACH CARTON.+CERTIFICATE STAMPED AND SIGNED BY BENEFICIARYSTA TING THAT THE ORIGIAL INVOICE AND PACKING LISTHA VE BEEN DISPATCHED TO THE APPLICANT BY COURIERSERVISE 2 DAYS BEFORE SHIPMENT.ADDITIONAL COND. 47A:+EACH PACKING UNIT BEARS AN INDELIBLE MARKINDICATING THE COUNTRY OF ORIGIN OF THE GOODS.+A USD50.00 DISCREPANCY FEE, FOR BENEFICIARY’SACCOUNT, WILL BE DEDUCTED FROM THE REIMBURSEMENTCLAIM FOR EACH PRESENTATION OF DISCREPANTDOCUMENTS UNDER THIS CREDIT.DETAILS OF CHARGES 71B: ALL BANK CHARGES OUTSIDE CYPRUS ARE FOR THEACCOUNT OF THE BENEFICIARY.PRESENTATION PERIOD 48: WITHIN 15 DAYS AFTER THE DATE OF SHIPMENT BUTWITHIN THE V ALIDITY OF THE CREDIT. CONFIRMATION *49: WITHOUTINSTRUCTION 78: ON RECEIPT OF DOCUMENTS CONFIRMING TO THETERMS OF THIS DOCUMENTARY CREDIT, WE UNDERTAKE TOREIMBURSE YOU IN THE CURRENCY OF THE CREDIT INACCORDANCE WITH YOUR INSTRUCTIONS, WHICH SHOULDINCLUDE YOUR UID NUMBER AND THE ABA CODE OF THERECEIVING BANK.相关资料:发票号码:04SHGD3029 发票日期:2004年2月9日提单号码:SHYZ042234 提单日期:2004年2月12日集装箱号码:FSCU3214999 集装箱封号:12953121x20’FCL, CY/CY船名:LT USODIMARE航次:V. 021W木花架,WOODEN FLOWER STANDS, H.S.CODE: 44219090.90,QUANTITY:350PCS, USD8.90/PC, 2pcs/箱, 共175箱。
2019单证员考试缮制与操作真题
2019单证员考试缮制与操作真题一、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)1.根据合同,合理的信用证开证日期应为A. June 15, 2019B. the beginning of June,2019C. May 18, 2019D. Before the end of July. 20192. 如果提单日期为 July15, 2019,信用证的有效期应为A. July 30, 2019B. July 15, 2019C. Aug. 15, 2019D. Aug. 30, 2019 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. SHANGHAI MAITY INTERNATIONAL CO., LTD.B.DESEN EUROPE GMBHC. Bank of ChinaD. Deutsche Bank5. 根据合同,信用证的受益人应为A. SHANGHAI MAITY INTERNATIONAL CO., LTD.B. DESEN EUROPE GMBHC. Bank of ChinaD. Deutsche Bank6. 根据合同,信用证金额应为A. € 9,008.00B. € 9,800.00C. € 9,080.00D. € 9,808.007. 根据合同,信用证的币别应为A. 欧元B.美元C.英镑D.人民币元8. 根据合同,信用证的付款期限应为A.即期B.出票后 30 天C.提单日期后 30 天D. 见票后 30 天9. 根据惯例,信用证项下汇票的付款人应为A.开证行B.开证申请人C.受益人D.通知行10. 根据合同,信用证关于分批装运和转船的规定应为A.允许分批不允许转船B.不允许分批允许转船C.允许分批允许转船D.不允许分批不允许转船11. 根据合同,信用证的装运港应为A.上海B. 汉堡C. 法兰克福D. 南京12. 根据合同,信用证的目的港应为A.上海B. 汉堡C. 法兰克福D. 南京13. 根据合同,信用证的装运日期规定正确的是A. before July15, 2019B. before July 1, 2019C. before July 31, 2019D. July 31, 201914. 根据合同,信用证项下保险单的险别应为A.平安险B.平安险加战争险C.一切险D.一切险加战争险15. 根据合同,信用证的贸易术语应为A.CIFB.FOBC.CFRD.CIP16. 根据合同,信用证项下保险单的保险加成应为A.发票金额B.合同金额C.合同金额的 110%D.发票金额的 110%17. 根据合同,信用证项下海运提单的抬头应为A.空白指示B.记名指示C.TO BEARERD. Erort Co., Ltd.18. 根据合同,信用证项下原产地证明的出单人应为A.受益人B.出口地商会C.商检机构D.出口地海关19. 根据惯例,信用证项下商业发票的签署人应为A. 出口地商会B.商检机构C.受益人D.开证申请人20. 根据惯例,承担信用证开证费用的人应为A.议付行B.受益人C.开证行D.开证申请人二、根据下面相关资料指出下列进口单据中错误的地方,请在答题纸上作答。
国际商务单证员(单证操作与缮制)模拟试卷13(题后含答案及解析)
国际商务单证员(单证操作与缮制)模拟试卷13(题后含答案及解析)全部题型 4. 制单根据已知资料制单(本题40分)根据信用证资料回答问题及制单。
Form of Doc.Credit *40A:IRREVOCABLEDoc.Credit Number *20:BL—121805Date of Issue 31C:120325Expiry *31D:Date 120531 P1ace CHINAApplicant *50:THOMAS IMP.AND EXP.COMPANY 32 BLUEBIRD STREET BANGKOK THAILANDApplicant Bank 51:KRUNG THAI BANK PUBLIC Co.,LTD. RANGKOKBeneficiary *59:HANGZHOU HOPESHOW GARMENTS CO.,LTD. 842 MOGANSHAN ROAD HANGZHOU,CHINAAmount *32B:Currency USD Amount 36 300.00Available with/by *41D:ANY BANK BY NEGOTIATIONDraft at... 42C:AT SIGHT FOR FULL INVOICE V ALUEDrawee 42D:KRUNG THAI BANK PCL SUANMALI IBC BANGKOKPartial Shipments 43P:PROHIBITEDTransshipment 43 T:PERMITPort of Loading 44E:SHANGHAIPort of Discharge 44F:BANGKOKDescript.of Goods 45A:65 PCT COTTON 35 PCT RAYON LADIES’COArS CIF BANGKOK ITEM NO.3501T,1000PCS,USD9.00/PC ITEM NO.3501B,1000PCS,USD9.50/PC ITEM NO.3502T,1000PCS,USD8.80/PC ITEM NO.3502B,1000PCS,USD9.00/PCDocuments Required 46A:+MANUALLY SIGNED COMMERCIAL INVOICE IN QUADRUPLICATE CERTIFYING THAT ALL DETAILS ARE AS PER PROFORMA INVOICE NO TH120316 DATED 2012—03—16 AND ALS0 SHOW THE FREIGHT CHARGE,PREMIUM,FOB V ALUE AND COUNTRY OF ORIGIN SEPARATELY +FULL SET C LEAN 0N BOARD OCEAN BILLS OF LADING MADE OUT TO 0UR ORDER MARRKED F、REIGHT PREPAID NOTIFY APPUCANT AND SHOWING THE NAME AND ADDRESS OF THE SHIPPING AGENT AT DESTINATION +SINGNED PACKING ASSORTED LIST IN QUADRUPLICATE STATING THAT ONE PC IN ONE PP BAG AND 48PCS IN AN EXPORT CARTON.+SIGNED CERTIFICATE OF ORIGIN IN DUPLICAI、E SHOWING THE NAME OF THE MANUFATUURER +INSURANCE POLICY IN DUPLICATE FOR 110 PCT OF THE INVOICE V ALUE COVERING ALL RISKS AS PER CIC OF PICC DATED 01/01/1981 WAREHOUSE TO WAREHOUSE CLAUSE INCLUDED IN THE SAME CURRENCY OF THE DRAFTS CLAIM PAYABLE IN THAILAND +BENEFICIARY’S CERTIFICATE STATING THAT ONE SET OF N/N SHIPPING DOCUMENTS HA VE BEEN SENT TO THE APPLICANT DIRECTLY IMMEDIATELY AFTER SHIPMENNT EFFECTEDAdditional Cond.47A:+ALL DOCUMENTS MUST SHOW THE CREDIT NUMBER AND DATE ANDNAME OF THE ISSUING BANK +A DISCREPANCY HANDLING FEE OF USDl 00.00 SHOULD BE DEDUCTED AND INDICATED oN THE BILL SCHEDULE FOR EACH PRESENTATION OF DISCREPANT DOCUMENTS UNDER THIS CREDIT +THIS DOCUMENTARY CREDIT IS SUBJ ECT TO UNIFORM CUSTOMS AND PRACTICE FOR DOCUMENTARY CREDIT ICC PUBLICATION NO.600Presentation Period 48:WITHIN 15 DAYS AFTER THE DATE OF B/L BUT WITHIN THE V ALIDITY oF THIS CREDITConfirmation *49:WITHOUTAdvising through 57:THIS CREDIT IS ADVISED THRoUGH BANK OF CHINA HANGZHOU BRANCHDetails of Charges 71B:ALL BANKING CHARGES OUTSIDE THAILAND ARE FOR THE ACCOUNT OF BENEFICIARYInstruction 78:ON RECEIPT OF DOCUMENTS CONFIRMING TO THE TERMS OF THIS DOCUMENTARY CREDIT,WE UNDERTAKE TO REIMBURSE YOU IN THE CURRENCY OF THE CREDIT IN ACCORDANCE WITH YOUR INSTRUCTIONS,WHICH SHOULD INCLUDE YOUR UID NUMBER AND THE ABA CODE OF THE RECEIVING BANKSend to rec.info.72:DOCUMENTS TO BE DISPATCHED BY COURIER SERVICE IN ONE LOT TO BANK OF CHINA BANGKOK BRANCH TRADE SERVICES,2 6 BOLIDEN ROAD,BANGKOK,THAILAND 相关资料如下。
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2019年单证员考试《操作与缮制》试题及答案(卷二)
1.以下关于联合国设计推荐使用的地名代码表述正确的是:(B)
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
2.在信用证项业务中,各有关方面当事人处理的是:(A)
A.单据
B.货物
C.服务
D.其他行为
3.各种单据的签发日期应符合逻辑性和国际惯例,通常(A)日期是确定各单据日期的关键。
A.发票B提单
C.许可证
D.报关单
4.各种单据的签发日期应符合逻辑性和国际惯例,通常(D)日期是议付单据出单最晚的时间。
A.发票
C.保险单
D.汇票
5.在信用证业务中,有关当事方处理的是(C)。
A.服务
B.货物
C.单据
D.其他行为
6.采用信用证支付方式,受益人向客户收取货款的凭据是:(C)
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
7.单证缮制必须做到正确、完整、及时、简明和整洁,其中(A)是单证工作的前提。
A.正确
B.完整
C.及时
D.简明
8.各种单据的签发日期应符合逻辑性和国际惯例,通常(A)日期是议付单据出单最早时间。
A.发票
C.保险单
D.报关单
9.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(D)。
Y65.00
B.GBP65.00
D65.00
D.RMB65.00
10.狭义的单证是指(C)。
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
进口国开来的信用证:
ISSUING BANK: UNITED GREAT KINGDOM BANK LTD, LONDON
CREDIT NUMBER: LOD88095
DATE OF ISSUE: 2008.09.01
EXPIRYDATE AND PLACE: DATE 2008.10.20 PLACE U.K.
APPLICANT:
EASTERN TRADING COMPANY
81 WORDFORD STREET,。