练习二 02制全套议付单据(含答案)
货款的支付练习试卷2(题后含答案及解析)
货款的支付练习试卷2(题后含答案及解析) 题型有:1. 单选题 2. 多选题 3. 判断题单项选择题请在下列各题的答案选项中,选出一个正确答案,在答题卡上将该题答案对应的英文字母标号框涂黑。
(每题1分,共25分)1.在一笔出口业务中,付款方式采用信用证和D/P即期各半,为收汇安全,应在合同中规定( )。
A.开两张汇票,各随附一套等价的货运单价B.开两张汇票,信用证项下采用光票,托收项下采用跟单汇票C.开两张汇票,信用证项下采用跟单汇票,托收项下采用光票D.开一张汇票即可正确答案:B解析:本例中,部分货款采用信用证支付,余额用托收方式支付。
一般做法是信用证规定出口人开立两张汇票属于信用证部分的货款凭光票付款,全套单据附在托收部分的汇票项下,按即期或远期付款交单方式托收,但在信用证上订明“在发票金额全部付清后才可交单”的条款,以利安全收汇。
知识模块:货款的支付2.托收是出口人委托并通过银行收取货款的一种支付方式,在托收方式下,使用的汇票是( ),属于( )。
A.商业汇票,商业信用B.银行汇票,银行信用C.商业汇票,银行信用D.银行汇票,商业信用正确答案:A解析:按照签发汇票的人的不同,汇票分为商业汇票和银行汇票。
凡是由商业企业、商号或个人签发的汇票即为商业汇票。
而且托收方式下,卖方最后能否收到货款完全取决于买方的商业信誉,所以说它是商业信用。
知识模块:货款的支付3.如果信用证条款与买卖合同规定不一致,受益人可以( )。
A.要求开证行修改B.要求通知行修改C.要求开证申请人修改D.自行修改正确答案:C解析:对信用证进行全面细致的审核以后,如果没有发现任何问题,发货商就可按信用证条款发货、装运、制单结汇。
但是,审证后发现问题也是常有的事。
这些问题可能会涉及到包装,信用证总金额、装船期、保险乃至一些拼写方面的错误。
根据问题性质的不同,就要作出不同的处理方法。
一般来说,凡是属于不符合我国对外贸易方针政策,影响合同履行和安全收汇的情况,我们必须要求国外客户通过开证行进行修改;凡不违反政策原则,经过努力可以做到而又不增加太多费用的情况,可以酌情处理,或不作修改,按信用证规定走货。
第2套审单练习和答案
第二套审单练习(带中文解释)1.信用证(本信用证是SWIFT格式,请参阅课件第12课SWIFT格式解释阅读本信用证)ISSUE OF A DOCUMENTARY CREDITMSGACK DWS765 AUTH OE, KEY B 1980719DD190849, BKCHCNBJ MELIIRTH RECORD银行识别代码BASIC HEADER(基本报头) F 01 BKCHCNBJA300 9643 583176APPLICANTION HEADER应用报头O 700 1717 991226 MELIIRTHAXXX 2675473954 991226 2*BANK MELLI IRAN*TEHRANUSER HEADER用户报头SERVICE CODE 103:BANK PRIORITY 113:MSG USER REF. 108: 0544/CNINFO. FROMCI 115:SEQUENCE OF TOTAL *27: 1/1FORM OF DOC. CREDIT *40A: IRREVOCABLE信用证格式不可撤销DOC. CREDIT NUMBER *20: EXIM54478702788信用证编号DATE OF ISSUE 31C: 991226开证日期EXPIRY *3ID: DATE 000326 PLACE CHINA信用证到期日到期地点APPLICANT *50: M/S ALIREZA RAMEZANIE申请人的名字和地址TEHRAN IRAN A/C M/S ALIREZA RAMERANCETEHRAN, IRANBENEFICIARY *59: M/S SHANGHAI WORLDBEST MACHINERY IMP受益人的名字和地址AND EXP CO LTD. HUA YUAN WORLD PLAZA1958 ZHONGSHAN NORTH ROAD SHANGHAI200063 CHINAAMOUNT *32B: CURRENCY USD AMOUNT 11,792.50金额POS./NEG. TOL. (%) 39A: 0/0即期付款/议付A VAILABLE WITH/BY *4lA: BKCHCNBJ300付款银行/议付行*BANK OF CHINA*SHANGHAIBY NEGOTIA TION议付方式DRAFT AT...汇票期限*42C: A T SIGHT(即期)PARTIAL SHIPMENTS 43P: NOT ALLOWED是否允许分批装运TRANSSHIPMENT 43T: NOT ALLOWED是否允许转运LOADING IN CHARGE 44A: CHINA BY VESSEL装货港FOR TRANSPORT TO... 44B: BANDAR ABBAS (PERSIAN GULF波斯湾)卸货港LA TEST DATE OF SHIP. 44C: 000326(3月26日)最迟装运日DESCRIPT. OF GOODS 45A: UNIVERSAL通用型BRAND商品名称THREE JA W SELFCENTRING CHUCK固定中心的三爪夹盘KLL 250(型号)160 PCS件KLL 160(型号)18PCS件IRANIAN CUSTOMS TARIFF NO.8466/20 SHOULD BE INDICA TED ON ALL DOCS.所有单据上应显示伊朗海关关税编号FOR VALUE FOR USD11292.50 AND FREIGHT CHARGES FOR USD500商品价值运费SHOULD BE INDICA TED ON INVOICES.应该在发票上显示TOTAL CFR US DLS(=dollars)11792.50总的CFR价值DOCUMENTS REQUIRED单据要求46A:+A) FULL SET CLEAN ON BOARD OCEAN B/L EVIDENCING全套清洁已装船海运提单证明GOODS EN ROUTE,货物在运输途中B/L MARKED FREIGHT PREPAID, ISSUED OR ENDORSED TO提单注明运费预付,提单前发给或背书给OUR ORDER IN 3 ORIGINAL (S) AND 2 NON-NEGOTIABLE按我方(指开证行)指令,3份正本和2份不可流通的COPY (IES). THE B/L SHOULD BE DATED NOT LATER THAN副本提单日期不应晚于26.3.2000 NOR PRIOR TO THE DATE OF THIS SWIFT MESSAGE OR2000年3月26日,也不应早于本SWIFT信用证的开证日期或THE DATE ON WHICH L/C BECOMES OPERATIVE (IF ISSUED信用证生效日期(如果开立时未生效)NON OPERATIVE) AND SHOULD INDICA TE M/S ALIREZA应表明(申请人的名字)RAMERANCE, TEHRAN, IRAN AS NOTIFY PARTY AS WELL AS为被通知方,以及THE NAME OF BANK MELLI IRAN, KHASHA YAR BRANCH AND(开证行的名字)L/C NUMBER. NOTIFY PARTY MUST WITH FULL NAME AND ADDRESS.信用证编号被通知人完整名字和地址+B) BENEFICIARY (IES) SIGNED COMMERCIAL INVOICES MADE受益人签发的发票,发票抬头是OUT IN THE NAME OF BUYER (S) IN 2 ORIGINAL (S). 1 COPY (IES)买方2份正本1份副本OF WHICH SHOULD BE COUNTERSIGNED BY THE发票上有申请人的代表会签REPRESENTA TIVE OF APPLICANT (MR. WANGYONG OR MR. LI(代表的名字)QIANG), CERTIFIED BY LOCAL CHAMBER OF COMMERCE,并由本地商会证明LEGALIZED BY IRANIAN CONSULATE PLUS 1 EXTRA COPY(IES)由伊朗领事的签证加上1份副本(副本上也要有签证)INVOICES MUST INCLUDE BENEFICIARIE'S STATEMENT THAT发票上必须有受益人的声明“已经严格按照编号为…….日期为…..GOODS HA VE BEEN SHIPPED IN STRICT COMPLIANCE WITH.形式发票的以及随后的信用证修改同志(如有)上的规定装运货物CONDITIONS STIPULATED IN PROFORMA INVOICE NUMBER:PI9933001 DD 11. NOV. 99 AND SUBSEQUENT AMENDMENT (IFANY).+C) CERTIFICA TE OF ORIGIN ISSUED BY A LOCAL CHAMBER OF由本地商会或任何官方贸易机构签发的产地证书,COMMERCE OR ANY OFFICIAL TRADE ORGANIZATIONCONFIRMING THA T GOODS ORIGINA TED IN CHINA PLUS 1证明货物是中国产的,加上一份副本DUPLICA TE (S).+D) PACKING LIST IN 2 COPY (IES) BEARING THE BENEFICIARIES装箱单2份上面带有受益人的CONFIRMA TION THAT PACKING SUITS THE AGREED MODE OF证实,包装适合协商的运输方式TRANSPORT.+E) FREIGHT INVOICE ISSUED BY CARRIER OR ITS AUTHORIZEDAGENT IN 1 ORIGINAL (S) AND 2 COPY (IES).+F) SHIPPING ADVICE MUST BE SENT TO APPLICANT ADVISING必须向申请人发送装运通知,通知船名、装运日起、商品名称、货物NAME OF VESSEL, SHIPMENT DATE, DESCRIPTION OF GOODS,重量和价值、提单编号,等。
国际贸易单证练习题有答案
TRANSPORT AND ROUTE)必须填报运输方
式、运输工具、装运港和目的港,但不需要填
报中转港的名称。
(X )
4、普惠制原产地证明书 FORM A 的收货人应填写 最终收货人的名称。如果信用证未明确最终收 货人,可以填写商业发票的抬头人,也可填写 中间商的名称。( X )
第八章 练习题
1、包装单据一般不应显示货物的( B)因为进口商把商品转 售时只要交付包装单据和货物,不愿泄漏其购买成本。
A. 品名、总金额
B.单价、总金额
C.包装件数、品名 D.品名、单价
2、信用证中规定“PACKING LIST IN FIVE COPIES”,则受 益人提交的装箱单的份数为( B
A. 5份副本
B. 1份正本4份副本
C. 不需要提交正本
D. 5份正本至5份副本
3、信用证要求 PACKING LIST TO BE MADE OUT IN NEUTRAL FORM ,则装箱单中不能显 示出具人名称。(对 )
A.出口方
B. 进口方
C.出口国海关
D.进口国海关
4、下列哪点不是商业发票的作用(D ) A.是进出口报关完税必不可少的单据 B. 是全套单据的核心 C. 是结算货款的依据 D. 是物权凭证
5.以下所注内容可以被接受的提单是:( B ) A.提单显示SHIPPED ON DECK B.提单显示 THE GOODS MAY BE CARRIED ON DECK C.提单显示 FOUR CARTONS ARE BROKED D.提单显示 PACKAGE IS NOT SUFICIENT FOR THE SEA
第一章习题
? 1.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.整洁
《进出口贸易实务》2章试卷(附答案)
班级 姓名 成绩
一、填空题(每空1分,共20分)
1、作为卖方,最基本的义务是_。
2、贸易术语具有两重性:即一方面表示,另一方面表示_____________________。
3、有关贸易术语的国际贸易惯例有三种:
(1)、
(2)、
(3)。
4、《2010年通则》于正式实施,包括组共种术语。
D、《国际贸易术语解释通则》
3、CFR的变形是用来说明由谁负担()
A、报关费用B、装船费用
C、运输费用D、卸货费用
4、 我以CIF价格条件与外商达成一笔出口合同,当我规定制好全套单据提交买方时,获悉货物在海运途中全部灭失。在这种情况下 ( )
(A)外商因货未到岸,可以不付款。
(B)应由我方向保险公司索赔。
8、 以FOB价格条件成交,无论按何种贸易术语,出口手续都由卖方办理。 ( )
9、在CIF条件下由卖方负责办理货物运输保险,在CFR条件下是由买方投保,因此,运输途中货物灭失和损失的风险,前者由卖方负责,后者由买方负责。( )
10、按照CIF术语成交时,若卖方提供的单据不正确,但是,只要货物完全符合合同规定,买方就必须支付货款,而不能拒收货物。 ( )
谁办理
租船订舱
谁办理保险
谁支付到目的港运费
谁支付
保险费
FOB
买方
买方
买方
买方
买方
CFR
买方
卖方
买方
卖方
买方
CIF
买方
卖方
卖方
买方
买方
2.简述贸易术语的两重性及作用。
答:贸易术语是在国际贸易中用来表明商品的价格构成,说明货物交接过程中有关的风险、责任和费用划分问题的专门用语,贸易术语的两重性是,一方面表示交货条件,另一方面表示成交价格的构成因素。
《国际结算(第2版)》 第四章 结算单据习题答案
单据课后作业答案:一、名词解释商业发票:卖方开立的载有货物名称、数量、价格等内容的清单,作为买卖双方交接货物和结算货款的主要单证,是进口国确定征收进口关税的依据,也是买卖双方索赔、理赔的依据。
形式发票:亦称预开发票。
出口商有时应进口商的要求,将准备出口货物的名称、规格、数量、单价、估计总值等等开立一种非正式的参考性发票,以供进口商向其本国金融或外贸管理当局申领进口许可证和核批外汇之用,由于它不是一种正式单据,既不能用作交易双方的记帐依据,也不能用于托收议付,对交易双方更无最终约束力,当正式成交履行合同时仍需按照有关规定内容另开正式发票。
海运提单:是船方或其代理人签发的,证明已收到货物,允许将货物运至目的地,并交付给托运人的书面凭证。
它是承运人和托运人之间的契约证明,在法律上具有物权证书的效用。
装箱单:是发票的补充单据,它列明了信用证(或合同)中买卖双方约定的有关包装事宜的细节,便于国外买方在货物到达目的港时供海关检查和核对货物,通常可以将其有关内容加列在商业发票上,但是在信用证有明确要求时,就必须严格按信用证约定制作。
保险单:保险人与投保人签订保险合同的书面证明。
受益人证明:是一种由受益人自己出具的证明,以便证明自己履行了信用证规定的任务或证明自己按信用证的要求办事,如证明所交货物的品质、证明运输包装的处理、证明按要求寄单等。
二、判断对错1、“Port of discharge”和”Final destination”都是卸货港,指提单上所指名的轮船卸货港。
(错)2、在开证行收到提单后发现提单日期倒签,并有根据证实倒签的事实,开证行可以以伪造单据为由提出拒付。
(对)3、信用证规定装运期为During the end of May,2006,应理解为5月21日至5月31日止为装运期。
(对)4、若合同与信用证中规定:SHIPMENT FROM HONGKONG TO LONDON,TRNSHIPMENT PROHIBITED. 如果我是卖方一般是不能接受的。
国际贸易货款的收付练习试卷2(题后含答案及解析)
国际贸易货款的收付练习试卷2(题后含答案及解析) 题型有:1. 必答题 2. 选答题 4. 论述题必答题在每小题给出的四个选项中,只有一项符合题目要求1.在国际贸易业务中,信用证的开证申请人通常是( )A.进口商B.卖方C.买方的开户银行D.卖方的开户银行正确答案:A解析:开证申请人是向开证行申请开立信用证的人,是信用证业务的发起人。
在国际贸易结算中,开证申请人通常是进口商,即买方。
知识模块:国际贸易货款的收付2.在信用证方式下,通知银行的职责是( )A.通知受益人银行B.接受申请人委托,开立信用证C.买入跟单汇票并垫付资金D.实际支付货款正确答案:A解析:通知银行只证明信用证的真实性,并不承担其他义务。
知识模块:国际贸易货款的收付3.银行审单议付的依据是( )A.合同与信用证B.合同与单据C.单据与信用证D.信用证与委托书正确答案:C解析:银行审单议付的依据是单据与信用证。
知识模块:国际贸易货款的收付4.信用证开立的依据是( )A.汇票B.本票C.发票D.买卖合同正确答案:D解析:信用证的开立是以买卖合同作为依据,但信用证一经开出,就成为独立于买卖合同以外的另一种契约,不受买卖合同的约束。
知识模块:国际贸易货款的收付5.在实际业务中,承担信用证审证任务的当事人是( )A.银行和进出口公司B.银行C.受益人D.生产企业正确答案:C解析:在实际业务中,承担信用证审证任务的当事人是出口人。
知识模块:国际贸易货款的收付6.国际贸易中所使用的信用证绝大部分是( )A.光票信用证B.跟单信用证C.可撤销信用证D.保兑信用证正确答案:B解析:国际贸易所使用的信用证绝大部分是跟单信用证。
知识模块:国际贸易货款的收付7.贸易结算中的预支信用证和非贸易结算中的旅游信用证都属于( )A.跟单信用证B.光票信用证C.循环信用证D.议付信用证正确答案:B解析:光票信用证是指凭不附有单据的汇票付款的信用证。
有时,信用证也要求提供发票、垫款清单等非货运性质的票据,这也属于光票信用证。
国际结算题库(含参考答案)
国际结算题库(含参考答案)一、单选题(共30题,每题1分,共30分)1、信用证业务中,( )不承担审查单据的责任。
A、保兑行B、议付行C、开证行D、偿付行正确答案:D2、L/C、D/P和D/A三种支付方式下,就买方风险而言,按由大到小顺序排列,应为( D )。
A、L/C>D/ A>D/PB、L/C>D/P>D/AC、D/A>D/P>L/CD、D/P>D/A>L/C正确答案:D3、某银行议付即期信用证项下单据一套并于5月3日寄出开证行于5月7日(星期五)签收单据,单证相符最迟付款日为( )。
A、5月15日B、5月19日C、5月10日D、5月18日正确答案:D4、信用证受益人审查信用证的重点是( )。
A、开证行的政治背景B、信用证的可信度C、信用证内容与合同内容是否一致D、开证行的资信正确答案:C5、根据贸易方式和信用证的特点转口贸易应用( )信用证。
A、对开B、背对背C、可转让D、循环正确答案:B6、因付款人拒付,代收行按托收行指示将单据退回.单据存根旧途中遗失的风险由( )承担。
A、托收行B、代收行C、委托人D、付款人正确答案:C7、对于出口商来说,( )最符合安全及时收汇的原队A、付款文单托收B、远期付款信用证C、即期付款信用证D、附有电资条款的信用证正确答案:C8、跟单托收中,银行办理了出口押汇,风险在于( )。
A、托收行B、委托人C、付款人D、代收行正确答案:B9、承兑是( ) 对远期汇票表示承担到期付款责任的行为。
A、持票人B、收款人C、受益人D、受票人正确答案:A10、对于受益人来说.下列种类信用证中( )最为有利。
A、不可撤销承兑B、不可撤销远期付款C、不可撤销议付D、不可撤销即期付款正确答案:D11、当中央银行要紧缩银根时,将( )票据的再贴现率。
A、提高B、降低正确答案:A12、即期付款信用证项下,可以用来取代汇票的是( )。
A、海运提单B、商业发票C、保险单D、商品检验单正确答案:B13、在下列“可撤销信用证的描述中错误的是( )。
全套单据制作(含答案)
根据合同内容审核信用证,指出不符之处,并提出修改意见。
第一题:1.买卖双方签署的合同浙江永康剑鼓手工具进出口有限公司ZHEJIANG YK GG HAND TOOL I/E CO.,LTD.296 HUAYANG ROAD, YONGKANG CITY ZHEJIANG, CHINA销售确认书SALES CONFIRMATIONTo:SAYID TOOL ENTERPRISES S/C No.: YKGG080609753 TARRAGONA ROAD Date: 09 JUNE 2008DURBAN SOUTH AFRICA Place: YONGKANG, CHINADear Sirs:Total Amount in words: SAY U. S. DOLLARS TWENTY FOUR THOUSAND FOUR HUNDRED ANDFIFTEEN ONLY.Port of loading: NINGBO / SHANGHA IPort of discharge: DURBAN, SOUTH AFRICATime of Shipment: ON OR BEFORE 16 JULY 2008Partial: NOT ALLOWEDTransshipment: ALLOWEDInsurance: TO BE EFFECTED BY THE SELLER FOR 110 PCT OF THE INVOICE VALUECOVERING ALL RISKS AND WAR RISK AS PER ICC(A)DATED 01/01/1982 Terms of Payment: BY CONFIRMED AND IRREVOCABLE LETTER OF CREDIT IN FAVOUR OF THESELLER TO BE AVAILABLE BY SIGHT DRAFTS AND TO BE OPENED ANDREACH CHINA ON OR BEFORE 13 JUN. 2008REMAINING VALID FORNEGOTIATION IN CHINA UNTIL THE 15TH DAYS AFTER THE TIME OFSHIPMENTInspection: INSPECTED BY CIQShipping Marks: AS PER SELLER’S OPTIONDocuments required: MANUALLY SIGNED COMMERCIAL INVOICE IN TRIPLICATEFULL SET CLEAN ON BOARD BILL OF LADING MADE OUT TO ORDER ANDBLANK ENDOURSED NOTIFY THE BUYERINSURANCE POLICY IN DUPLICATEINSPECTION CERTIFICATE ISSUED BY CIQPACKING LIST IN TRIPLICATECERTIFICATE OF ORIGINThe Seller: The Buyer:Zhejiang YK GG Hand Tool I/E Co., Ltd.Sayid Tool Enterprises李四Mohamed Sayid2.进口国开来的有错误的信用证ISSUING BANK: NATIONAL BANK OF SOUTH AFRICA, DURBAN ADVISING BANK: BANK OF CHINA, ZHEJIANG BRANCHSEQUENCE OF TOTAL *27: 1/1FORM OF DOC. CREDIT *40A: IRREVOCABLEDOC. CREDIT NUMBER *20: NBB08-06-287DATE OF ISSUE 31C: 080612EXPIRY *31D: DATE 080716 PLACE AT DURBAN APPLICANT *50: SAYID TOOL ENTERPRISES753 TARRAGONA ROADDURBAN SOUTH AFRICABENEFICIARY *59: ZHENJIANG YK GG HAND TOOL I/E CO., LTD. 269 HUAYANG ROADZHEJIANG CHINAAMOUNT *32B: CURRENCY USD AMOUNT 25700.00 AVAILABLE WITH/BY *41D: ANY BANKBY NEGOTIATIONDRAFT AT … 42C: AT SIGHTFOR FULL INVOICE VALUEDRAWEE 42D: NATIONAL BANK OF SOUTH AFRICA DURBANPARTIAL SHIPMENT 43P: NOT ALLOWEDTRANSSHIPMENT 43T: ALLOWEDPORT OF LOADING 44E: NINGBO / SHANGHAIPORT OF DISCHARGE 44F: DURBAN SOUTH AFRICALATEST DATE OF SHIP. 44C: 080716DESCRIPTION OF GOODS 45A:HAND TOOLS AS PER S/C NO. YKGG080906CIFC5 DURBAN10PCS COMBINATION SPANNER1200SETS, USD11.00PER SET12PCS DOUBLE OFFSET RING SPANNER1000SETS, USD12.50 PER SETPACKING: IN ONE CARTON OF 20 SETS EACH, TOTAL INONE 20 FEET FULL CONTAINER LOAD.DOCUMENTS REQUIRED 46A:+SIGNED COMMERCIAL INVOICE IN THREE COPIES+FULL SET CLEAN ON BOARD OCEAN BILL OF LADINGMADE OUT TO ORDER MARKED FREIGHT COLLECTNOTIFY APPLICANT+PACKING LIST IN THREE COPIES+CERTIFICATE OF ORIGIN GSP FORM A IN ONE COPIES+ INSPECTION CERTIFICATE FOR QUALITY ISSUED BYENTRY-EXIT INSPECTION AND QUARANTINE OF THEPEOPLE’S REPUBLIC OF CHINA+BENEFICIARY’S CERTIFICATE STATING THAT EACHCOPY OF INVOICE, BILL OF LADING AND PACKINGLIST HAVE BEEN SENT TO APPLICANT IMMEDIATELYAFTER SHIPMENTADDITIONAL COND. 47A:+DOCUMENTS PRESENTED WITH DISCREPANCYWHETHER INDICATED OR FOUND IS SUBJECT TO AHANDLING FEE OF USD50.00 WHICH IS PAYABLE BYTHE BENEFICIARY AND WILL BE DEDUCTED FROMPROCEEDS UPON NEGOTIATION+THIS CREDIT IS SUBJECT TO THE U. C. P. FORDOCUMENTARY CREDITS (2007 REVISION)ICCPUBLICATION NO 600DETAILS OF CHARGES 71B: ALL BANK CHARGES OUTSIDE SOUTH AFRICA AREFOR ACCOUNT OF THE BENEFICIARYPRESENTATION PERIOD 48: WITHIN 5 DAYS AFTER THE DATE OF SHIPMENT BUTWITHIN THE VALIDITY OF THE CREDITCONFIRMATION *49: WITHOUTINSTRUCTION 78: ON RECEIPT OF DOCUMENTS IN ORDER AT OURCOUNTER, WE SHALL REMIT IN ACCORDANCE WITHTHE NEGOTIATING BANK’S INSTRUCTION IN THESAME CURRENCY OF THE CREDITSEND. TO REC. INFO. 72: DOCUMENTS TO BE DISPATCHED BY COURIER SERVICEIN ONE LOT TO NATIONAL BANK OF SOUTH AFRICA,TRADE SERVICES, 109 ORANGE STREET DURBAN,SOUTH AFRICA答:发现信用证存在如下问题:(1)40A,信用证种类错,应该是:CONFIRMED AND IRREVOCABLE。
外贸单证全套单据制作(后面附答案)
体验活动根据下述材料,缮制商业发票和装箱单(1)销售合同SALES CONFIRMATIONNO.: ZHT081115DATE:NOV.15,2008THE SELLER:SHANGHAI ZHENHUA IMP&EMP CO LTD THE BUYER:GR-TRAG Co., Ltd.ADRESS: Rm 501 Longju Building No. 87 Longju Rd., Pudong Shanghai 200136 P.R.ChinaTel:0086-21-58334388Fax:0086-21-58334389ADRESS: A904 Wealth Building,Kando Jinbocho Chiyodaku, Tokyo Japan Tel.:+81-3-5283-6765Fax: +81-3-5283-6775THE UNDERSIGNED SELLERS AND BUYERS HAVE AGREED TO CLOSE THE FOLLOWING TRANSACTIONS ACCORDING TO THE TERMS AND CONDITIONS STIPULATED BELOW:PACKING:ONE PIECE IN ONE POLYBAG, 30 POLYBAGS IN ONE CARTONSHIPMENT:NOT LATER THAN JAN.31,2009,FROM SHANGHAI TO TOKYO JAPAN,ALLOWING TRANSHIPMENT & PARTIAL SHIPMENTS.PAYMENT:THE BUYER SHOULD OPEN THROUGH A BANK ACCEPTABLE TO THE SELLER AN 100% IRREVOCABLE L/C PAYABLE AT 30 DAYS AFTER SIGHT DRAFT TO REACH THE SELLERSBEFORE DEC.1, 2008 AND VALID FOR NEGOTIATION IN CHINA UNTIL THE 15TH DAY AFTERTHE DATE OF SHIPMENT.INSURANCE:TO BE EFFECTED BY THE SELLER FOR 110% OF INVOICE VALUE AGAINST F.P.A. AS PER THE RELEVANT OCEAN MARINE CARGO OF P. I. C. C. DATED 1/1/1981.THE BUYERS: THE SELLERSGR-TRAG Co., Ltd. SHANGHAI ZHENHUA IMP&EMP CO LTD (SIGNATURE) (SIGNATURE)PLEASE SIGN AND RETURN ONE COPY(2)信用证APPLICATION HEADER 0 700 1417 970214FKBKJPJTAXXX 1343 337998 97021 1317* SUMITOMO MITSUI BANKING CORPORATION TOKYOUSER HEADER SERVICE CODE 103:BANK. PRIORITY 113:MSG USER REF. 108:INFO. FROM CI 115:SEQUENCE OF TOTAL *27 : 1/1FORM OF DOC. CREDIT *40A : IRREVOCABLEDOC. CREDIT NUMBER *20 : TK0842DATE OF ISSUE *31C : 081201EXPIRY *31D : DATE 090215 PLACE CHINAISSUING BANK *51 :SUMITOMO MITSUI BANKING CORPORATIONNAKANOMACHI 1-10-15, MIYAKOJIMA-KU TOKYO JAPAN APPLICANT *50 : GR-TRAG CO., LTD.A904 WEALTH BUILDING, KANDO JINBOCHO CHIYODAKU,TOKYO JAPANBENEFICIARY *59 : SHANGHAI ZHENHUA IMP&EMP CO LTDRM 501 LONGJU BUILDING NO.87 LONGJU RD.,PUDONG SHANGHAI 200136 P.R.CHINAAMOUNT *32B : CURRENCY USD AMOUNT 18120.00MAX. CREDIT AMOUNT 39B: NOT EXCEEDINGAVAILABLE WITH/BY *41D : ANY BANKBY NEGOTIATIONDRAFTS AT…42C : 30 DAYS AFTER SIGHTDRAWEE 42A : SUMITOMO MITSUI BANKING CORPORATIONNAKANOMACHI 1-10-15, MIYAKOJIMA-KU TOKYO JAPAN PARTIAL SHIPMENTS 43P : ALLOWEDTRANSSHIPMENT 43T : ALLOWEDLOADING IN CHARGE 44A : SHANGHAI, CHINAFOR TRANSPORT TO 44B : TOKYO JAPANLATEST DATE OF SHIP. 44C : 090131DESCRIPT. OF GOODS 45A : WOMEN JEANW3301 2400 PCS USD 5.30/PCW3001 1200 PCS USD 4.50/PCDOCUMENTS REQUIRED 46A :1.SIGNED COMMERCIAL INVOICE IN 3 COPIES INDICATING CREDIT NO.2.FULL SET CLEAN ON BOARD MARINE BILL OF LADING MADE OUT TO ORDER OFSHIPPER AND BLANK ENDORSED NOTIFY APPLICANT MARKED FREIGHT PREPAID3.PACKING LIST IN 3 COPIES4.CERTIFICATE OF ORIGIN5.FULL SET INSURANCE POLICY OR CERTIFICATE COVERING F.P.A. FROMWAREHOUSE TO WAREHOUSE WITH CLAIMS PAYABLE AT DESTINATION ADDITIONAL COND *47B :+REIMBURSENT BY TELECOMMUNICATION IS PROHIBITED+ONE COPY OF INVOICE, PACKING LIST AND ORIGINAL CERTIFICATE OF ORIGIN (FORM A) MUST BE SENT TO THE ACCOUNTEE BY COURIER IMMEDIATELY AFTER SHIPMENT AND BENEFICIARY’S CERTIFICATE TO THIS EFFECT IS REQUIREDDETAILS OF CHARGES 71B : ALL BANKING CHARGES OUTSIDE CANADA ARE FORACCOUNT OF THE BENEFICIARYPRESENTATION PERIOD 48 : DOCUMENTS TO BE PRESETNED WITHIN 15 DAYSAFTER THE DATE OF SHIPMENT BUT WITHIN THEVALIDITY OF THE CREDITCONFIRMATION *49 : WITHOUTINSTRUCTIONS 78 :+REIMBURSENENT IS SUBJECT TO ICC URR525+PROVIDED THAT THE TERMS AND CONDITIONS OF THIS CREDIT ARE COMPLIED WITH PLEASE REIMBURSE YOURSELVES FROM ABOVE REIMBURSEMENT BANK +DRAFT AND DOCUMENTS ARE TO BE SENT BY COURIEDR TO OUR HEAD OFFICE SUMITOMO MITSUI BANKING CORPORATION (ADDRESS: NAKANOMACHI 1-10-15, MIYAKOJIMA-KU TOKYO JAPAN) IN ONE LOT(3)补充资料:发票日期:2008.12.5 发票号码:ZHT5743装船日:2009.12.15 船名船次:Dingyuan V.352卖方负责人:张启东唛头:GR-TRAG / TK0842 / TOKYO / C/NO.1-UP 提单号:B2233101Q 投保日期:DEC-12-2008保单签发日:DEC-14-2008报检单位登记号:1361845216 联系人:李莉:65756156 报检日期:2008.12.8报关日期:DEC-10,2008集装箱号:ONE 20' CONTAINER NO.TEX22332H.S编码:6204620099 产地证编号:300311288净重:10.5KGS/CNT 毛重:12KGS/CNT 体积:0.6CBM/CNT20) SIGNATUREP A C K I N G L I S TP A C K I N G L I S T中保财产保险有限公司上海市分公司The People’s Insurance (Property)Company of China, Ltd. Shanghai Branch进出口货物运输保险投保单Application Form for I/E marine Cargo Insurance保险公司填写:保单号:费率:核保人: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:编号:中华人民共和国海关出口货物报关单SHANGHAI ZHENHUA IMP&EMP CO LTD20) SIGNATUREP A C K I N G L I S T中保财产保险有限公司上海市分公司The People’s Insurance (Property)Company of China, Ltd. Shanghai Branch进出口货物运输保险投保单Application Form for I/E marine Cargo Insurance保险公司填写:保单号:费率:核保人:中华人民共和国出入境检验检疫出境货物报检单(检验检疫局)报检单位:上海振华进出口有限公司编号:中华人民共和国海关出口货物报关单预录入编号:海关编号:。
国际贸易实务模拟考试题含答案
国际贸易实务模拟考试题含答案1、1/C与托收相结合的支付方式,其全套货运单据应()。
A、随信用证项下的汇票B、随托收项下的汇票C、50%随信用证项下的汇票,50%随托收项下的汇票D、单据与票据分列在信用证和托收汇票项下答案:B2、《2010年通则》中买方责任最小的术语是()。
A、DDPB、CIFC、FCAD、EXW答案:A3、进口索赔可区别不同情况向责任方索赔,如发现交货数量短少属于原装数量不足;货物的品质、规格与合同规定不符等,可以向()oA、保险公司索赔B、承运人索赔C、卖方索赔D、保管仓库索赔答案:C4、在进出口业务中,经过背书能够转让的单据有()A、铁路运单B、海运提单C、航空运单D、邮包收据答案:B5、银行审单议付的依据是()oA、合同,信用证B、合同,单据C、单据,信用证D、信用证,委托书答案:C6、审核信用证的依据是()。
A、合同B、一整套单据C、开证申请书D、商业发票答案:A7、根据《联合国国际货物销售合同公约》的规定,接受的生效采取()A、投邮生效原则B、签订书面合约原则C、口头协商原则D、到达生效原则答案:B8、中国人民保险公司海洋运输货物保险条款中,以下不是主要险别是()。
A、平安险B、水渍险C、一切险D、战争险答案:D9、信用证上若未注明汇票的付款人,根据《UCP600》的解释,汇票的付款人应是()oA、开证申请人B、开证行C、议付行D、出口商答案:B10、《联合国国际货物销售合同公约》对接受的生效时间采取()oA、投邮生效原则B、到达生效原则C、理解生效原则D、经发盘人进一步确认后方产生效力的原则答案:B11、佣金的支付方式多采用()。
A、汇付B、托收C、信用证D、银行保函答案:A12、我国如发生人力不可抗拒事故后,通常由()出具该证明文件。
A^出口商本公司B、中国国际贸易促进委员会C、出入境商品检验检疫局D、出口商的上级单位答案:B13、表明“主运费己付”的是()术语。
国际贸易术语国际贸易结算(二)_真题(含答案与解析)-交互
国际贸易术语、国际贸易结算(二)(总分94, 做题时间90分钟)一、多项选择题1.对于信用证与合同的关系表现为______。
• 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依据SSS_SIMPLE_MULA B C D分值: 1答案:A,B,C,D2.按《跟单信用证统一惯例》的规定,信用证______。
• A.未规定是否保兑,即为不保兑信用证• B.未规定可否撤销,即为不可撤销信用证• C.未规定是否保兑,即为保兑信用证• D.未规定可否转让,即为可转让信用证SSS_SIMPLE_MULA B C D分值: 1答案:A,B3.假远期信用证与真远期信用证的区别是______。
• 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SSS_SIMPLE_MULA B C D分值: 1答案:C,D4.在国际贸易中,常用的支付方式有______。
• A.预付• B.汇付• C.托收• D.信用证SSS_SIMPLE_MULA B C D分值: 1答案:B,C,D5.国际货款结算工具的主要分类是______。
• A.支票• B.汇票• C.外币现钞• D.票据SSS_SIMPLE_MULA B C D分值: 1答案:C,D6.在实际业务中,远期汇票付款时间的规定的办法有______。
• A.见票后若干天付款• B.出票后若干天付款• C.提单签发日后若干天付款• D.指定日期付款SSS_SIMPLE_MULA B C D分值: 1答案:A,B,C,D7.以下对可转让信用证表述正确的是______。
• A.可转让信用证只能转让一次• B.可转让信用证可转让无数次• C.第二受益人可将信用证转让回给第一受益人• D.信用证必须注明“transferable”字样SSS_SIMPLE_MULA B C D分值: 1答案:A,C,D8.根据《UCP600》规定,银行在处理信用证业务时应做到______。
练习一 05 制全套议付单据(含答案)
题目要求和说明世格国际贸易有限公司DESUN TRADING CO., LTD.224 JINLIN ROAD, NANJING, CHINA TEL: 025-******* 025-******* FAX: 4691619 COMMERCIAL INVOICETo: WAV GENEAL TRADING CO., LTD5-18 ISUKI-CHOHAKI, OSAKA, JAPAN Invoice No.: SH25586 Invoice Date:APR.20,2003 S/C No.: SHL553From: NANJING PORT, CHINA To: OSAKA PORT, JAPANLetter of Credit No.: JST-AB12TOTAL: 2000 PCS USD10,300.00 SAY TOTAL: SAY U.S. DOLLARS TEN THOUSAND THREE HUNDRED ONLY.世格国际贸易有限公司DESUN TRADING CO., LTD.224 JINLIN ROAD,NANJING,CHINA TEL:025-******* 025-******* FAX:4691619PACKING LISTTo: WAV GENEAL TRADING CO., LTD5-18 ISUKI-CHOHAKI, OSAKA, JAPAN Invoice No.: SH25586 Invoice Date:APR.20, 2003 S/C No.: SHL553From: NANJING PORT, CHINA To: OSAKA PORT, JAPAN Letter of Credit No.: JST-AB12 Date of Shipment: MAY.15,2003SAY TOTAL: TWO HUNDRED CARTONS ONLY.1. Shipper Insert Name, Address and PhoneDESUN TRADING CO,LTD224 JINLIN ROAD,NANJING,CHINA2. Consignee Insert Name, Address and PhoneTO ORDER OF SHIPPERBILL OF LADINGRECEIVED in external apparent good order and condition except as other- Wise noted. The total number of packages or unites stuffed in the container, The description of the goods and the weights shown in this Bill of Lading are Furnished by the Merchants, and which the carrier has no reasonable means Of checking and is not a part of this Bill of Lading contract. The carrier has Issued the number of Bills of Lading stated below, all of this tenor and date, One of the original Bills of Lading must be surrendered and endorsed or sig-3. Notify Party Insert Name, Address and Phone(It is agreed that no responsibility shall attsch to the Carrier or his agents for failure to notify)WAV GENEAL TRADING CO., LTD 5-18 ISUKI-CHOHAKI, OSAKA, JAPANSubject to Clause 7 Limitation SAY TWO HUNDRED CARTONS ONLY .LADEN ON BOARD THE VESSEL DATE BY。
国际贸易支付条款练习试卷2(题后含答案及解析)
国际贸易支付条款练习试卷2(题后含答案及解析)全部题型 2. 判断题4. 问答题6. 案例分析题7. 操作题判断题每题0.5分。
正确的用A表示,错误的用B表示。
不选、错选均不得分。
1.依据《UCP500》,信用证规定出口散装小麦,禁止分批装运,使用信用证结汇,信用证和买卖合同均允许货物溢短装,则卖方的交货数量可在5%以内浮动,但不得超出信用证的金额。
( )A.正确B.错误正确答案:A解析:《UCP500》第39条b款的规定。
知识模块:国际贸易支付条款2.信用证支付方式是属于银行信用,所用的汇票是银行汇票。
( )A.正确B.错误正确答案:B解析:所使用的汇票既可以是银行汇票,也可以是商业汇票。
知识模块:国际贸易支付条款3.若错过了信用证有效期到银行议付,受益人只要征得开证人的同意,即可要求银行付款。
( )A.正确B.错误正确答案:B解析:《UCP500》第14条b款规定:“……如单据表面与信用证条款不符,开证银行可以拒绝接受。
”因此,即使开证人同意,开证行也可拒绝付款。
知识模块:国际贸易支付条款4.信用证条款中约定电汇索偿条款是授权议付行以电报等方式通知开证行审核后付款。
( )A.正确B.错误正确答案:A解析:电汇索偿条款(T/T Reimbursement Clause)是指开证行允许议付行用电报或电传通知开证行或指定付款行,说明各种单据与信用证要求相符,开证行或指定付款行接到电报或电传通知后,有义务立即用电汇将货款拨交议付行。
知识模块:国际贸易支付条款5.汇付是付款人主动通过银行或其他途径将款项交收款人的一种支付方式,所以属于商业信用,而托收通常称为银行托收,因而它属于银行信用。
( ) A.正确B.错误正确答案:B解析:汇付和托收两种支付方式,是以买卖双方各自的信用为基础向对方提供的信用,因此都属于商业信用。
知识模块:国际贸易支付条款6.只有经银行承兑的汇票才可在贴现市场上贴现。
( )A.正确B.错误正确答案:B解析:商业承兑汇票和银行承兑汇票都可在贴现市场上贴现。
信用证单据练习和答案
信用证单据练习答案一、选择题(包括单项和多项选择题)1.代表货权凭证可流通的单据是( )。
A、海运提单B、航空运单C、邮包收据C、货物收据分析:正确答案应为A。
备选答案都是国际贸易中的运输单据,只有海运提单才是货权凭证,且可以转证。
2.提单承运人的英文表述为()。
A. ShipperB.ConsignorC.ConsigneeD.Carrier分析:正确答案应为D。
这纯是一种习惯作法。
3.品质证明书是出口货物的质量和规格的鉴定和证明,在我国一般由( )出具。
A.出口商或厂商B.商检局C.贸促会D.公证处分析:正确答案应为B。
品质证明书必须是有权威的机构出具的,国际上习惯由各国商检机构出具。
4.信用证单据的审核以()为中心单据。
A.汇票B.商业发票C.提单D.保险单分析:正确答案应为B。
5.信用证要求商业发票的日期应()。
A.略早于汇票日期B.迟于汇票日期C.与汇票日期相同D.迟于运输单据签发日期分析:正确答案应为A。
按规定商业发票的签发日期应略早于汇票日期,但不得迟于信用证的有效期。
6.G.S.P Form A 是一种()证明书A.品质证明书B.产地证明书C.纺织品出口单据证明书D.动植物检疫证明书分析:正确答案应为B。
7.商业单据包括()。
A.支票B.发票C.付款收据D.提单分析:正确答案应为BD。
单据分为金融单据和商业单据,金融单据主要指汇票、本票、支票、付款收据等,商业单据是指金融单据以外的任何单据。
8.提单的记名抬头表述方法有( )。
A. Consigned to ABC CorporationB.Deliver to ABC CorporationC.To order of ABC CorporationD.Consigned to the order of ABC Corporation分析:正确答案应为AB。
提单有记名、不记名和指示性三类。
备选取答案中的A、B都是记名提单的作法,C、D是指示性提单的作法。
练习二_02制全套议付单据(含答案)
题目要求和说明ISSUE OF DOCUMENTARY CREDITTO: BANK OF CHINA,SHANGHAI BRANCH,CHINAATTN: L/C DEPTFROM: COMMERCIAL BANK OF ETHIOPIA,ADDIS ABABA, ETHIOPIADATE:15-01-2008WE HEREBY OPEN OUR IRREVOCABLE DOCUMENTARY LETTER OF CREDIT NO.LC/78563 FAVOURING M/S SHANGHAI CHEMICALS IMPORT AND EXPORT CORPORATION, 16 JIANG YAN LU SHANGHAI CHINA BY ORDER OF MAGIC INTERNATIONAL PLC, DEBRE ZEIT ROAD, ADDIS ABABA ETHIOPIA TO THE EXTENT OF USD 31067.10 CFR ASSAB AVAILABLE BY NEGOTIATION WITH ANY BANK AGAINST THE DOCUMENTS DETAILED HER EIN AND BENEFICIARY’S DRAFTS AT 60 DAYS AFTER B/L DATE DRAWN ON OURSELVES FOR 100% OF THE INVOICE VALUE.1.SIGNED COMMERCIAL INVOICES IN FIVE COPIES SHECIFYING FOB VALUE AND FREIGHT CHARGES AND ALL COPIES CERTIFIED BY THE CHINA COUNCIL FOR THE PROMOTION OF INTERNATIONAL TRADE INDICATING EXCHANGE CONTROL LICENCE NO.749/000066 JANJUARY 02,20082.PACKING LIST IN FIVE COPIES INDICATING GROSS AND NET WEIGHT OF EACH ROLL3.FULL SET OF CLEAN ON BOARD OCEAN BILLS OF LADING AND ONE NON-NEGOTIABLE COPY MADE OUT TO ORDER OF COMMERCIAL BANK OF ETHIOPIA AND NOTIFYING MAGIC INTERNATIONAL PLC MARKED FREIGHT PREPAID4.CERTIFICATE OF ORIGIN ISSUED BY THE CHINA COUNCIL FOR THE PROMOTION OF INTERNATIONAL TRADE IN TWO COPIESCOVERING SHIPMENT OF 120 ROLLS 100MMx4Px350 AND 30 ROLLS 125MMx4Px350 TRANSMISSION BELT AS PER CONTRACT NO.03PI/421/122 DATED DEC 26 2007TERMS CFR ASSABINSURANCE COVERED LOCALLY BY BUYERTHE EXPIRY PLACE OF THE CREDIT IS CHINAPARTIAL SHIPMENTS ARE NOT PERMITTEDTRANSHIPMENT ARE PERMITTEDSHIPMENT FROM SHANGHAI CHINA TO ASSAB ETHIOPIA NOT LATER THAN 21ST MARCH 2008 THIS CREDIT IS VALID FOR NEGOTIATION NOT LATER THAN 5TH APRIL,2008ALL BANKING CHARGES OUTSIDE ETHIOPOA ARE FOR ACCOUNT OF THE BENEFICIARY PROCIDED THAT ALL TERMS AND CONDITIONS OF THE LETTER OF CREDIT HAVE BEEN COMPLIED WITH, WE UNDERTAKE TO HONOUR YOUR CLAIMS IN ACCORDANCE WITH YOUR INSTRUCTIONS VALUE THREE BUSINESS DAYS FROM THE DATE OF RECEIPT OF THE SHIPPING DOCUMENTS AT OUR COUNTERSPLEASE FORWARD THE ORIGINAL AND DUPLICATE SETS OF SHIPPING DOCUMENTS IN TWO SEPARATE LOTS TO US BY DHL COURIER SERVICETHIS LETTER OF CREDIT IS SUBJECT TO UCP FOR DOCUMENTARY CREDITS (REVISION 2007) I.C.C,PUBLICATION NO.600PLEASE TREAT THIS MESSAGE AS AN OPERATIVE CREDIT INSTRUMENT AND NO MAIL CONFIRMATION WILL FOLLOWPLEASE ADVISE THE BENEFICIARY上海化工进出口公司SHANGHAI CHEMICALS IMPORT AND EXPORT CORPRATION16 JIANGYAN LU,SHANGHAI商业发票COMMERCIAL INVOICEToMAGIC INTERNATIONAL PLCDEBRE ZEIT ROAD, ADDI S ABABA ETHIOPIA日期 Date March.14, 2008 发票号Invoice No. 106-004 合约号Contract No. 03PL/421/122信用证号 L/C No. LC/78563装 由Shipped per GUANGHANG V.312 开船日期Sailing about March. 19, 2008 出 FromSHANGHAI, CHINA至 ToASSAB, ETHIOPIA上海化工进出口公司SHANGHAI CHEMICALS IMPORT AND EXPORT CORPRATION16 JIANGYAN LU ,SHANGHAI装箱单 PACKING LISTInvoice No.106-004Date: March 14, 2008SHANGHAI CHEMICALS IMPORT AND EXPORT CORPIRATIONBILL OF EXCHANGEDrawn under COMMERCIAL BANK OF ETHIOPIA ADDIS ABABA L/C NO.LC/78563Dated JAN. 15, 2008 Payable with interest@%NO. shanghaiMARCH. 31, 2008(Date)At60 DA YS AFTER B/L DATE MARCH 19, 2008Of this FIRST of Exchange (Second of Exchange being Unpaid) Pay to the order of BANK OF CHINA,SHANGHAI BRANCH,CHINASA Y U.S DOLLARS THIRTY ONE THOUSAND AND SIXTY SEVEN AND CENTS TEN Value received75 PACKAGES OF TRANSMISSION BELTTo: COMMERCIAL BANK OF ETHIOPIAADDIS ABABA, ETHIOPIASHANGHAI CHEMICALS IMPORT AND EXPORT CORPIRATION(Authorized Signature)商务英语0910班赵月阳 肖旭。
国际结算练习题库与答案
国际结算练习题库与答案一、单选题(共30题,每题1分,共30分)1、如果信用证未注明可转让,则该信用证( )。
A、不可转让B、需明确可否转让C、可转让D、可部分转让正确答案:A2、在国际保理业务中应付账款的转让通知必须交( )。
A、债务人B、供货商C、出口保理商D、进口保理商正确答案:D3、下列当事人中,( )是信用证的第一付款人。
A、通知行B、开证行C、开证申请人D、议忖行正确答案:B4、承兑信用证项下的汇票经银行承兑后,承兑银行应对( )承担到期付款责任。
A、善意持票人B、背书人C、被背书人D、出票人正确答案:A5、关于信用证与商业合同关系的正确表述是( )。
A、银行在办理中只认信用证不认商业合同B、商业合同是银行审核信用证的依据C、信用证的开立以商业合同为依据D、信用证与商业合同没有关系E、信用证的履行不受商业合同约束F、银行在办理中要兼顾信用证和商业合同正确答案:E6、凭信托收据所提取的货物.其所有权属干( )。
A、船公司B、进口商C、地委托人D、托收行正确答案:C7、出口商将信用证项下出口单据交其往来银行或信用证指定银行时可申请办理( )。
A、出口押汇B、进口押汇C、打包放款D、贴现正确答案:A8、若信用证本身未具体规定可否分批装运和可否转运,则受益人( )。
A、不得分批装运,也不能转运B、可以分批装运,也可以转运C、不得分批装运但可以转运D、可以分批装运,但不能转运正确答案:B9、在FOB贸易条件下运费应由( )承担。
A、开证行B、买方C、卖方D、船公司正确答案:B10、( )方式下,汇入行不负通知收款入到银行取款之式A、采汇B、电汇C、外信汇正确答案:A11、托收业务中,汇票的付款人应是( )。
A、进口方银行B、出口方银行C、进口商D、出口商正确答案:C12、( )未经受益人同意可以撤销。
A、可撤销信用证B、未保花的不可撤销信用证C、保兑的不可撤销信用证D、循环信用证正确答案:A13、某平年1月31日出具的汇票上写明“A t one month after date pay to…”,该汇票的到期日为当年( )。
外贸单证练习[世格]
1题目要求和说明
2题目要求和说明
3题目要求和说明
4题目要求和说明
5题目要求和说明
6题目要求和说明
7题目要求和说明
8题目要求和说明
9题目要求和说明
10题目要求和说明
11题目要求和说明
12题目要求和说明
13题目要求和说明
14题目要求和说明
15题目要求和说明
16题目要求和说明
17题目要求和说明
18题目要求和说明
19题目要求和说明
21题目要求和说明
22题目要求和说明
23题目要求和说明
24题目要求和说明
25题目要求和说明
26题目要求和说明
27题目要求和说明
28题目要求和说明
29题目要求和说明
30题目要求和说明
31题目要求和说明
32题目要求和说明
33题目要求和说明
34题目要求和说明
35题目要求和说明
36题目要求和说明
37题目要求和说明
38题目要求和说明
39题目要求和说明
40题目要求和说明
41题目要求和说明
42题目要求和说明
43题目要求和说明
44题目要求和说明
45题目要求和说明
46题目要求和说明
47题目要求和说明
48题目要求和说明
49题目要求和说明
50题目要求和说明
51题目要求和说明
52题目要求和说明
53题目要求和说明
54题目要求和说明
55题目要求和说明。
- 1、下载文档前请自行甄别文档内容的完整性,平台不提供额外的编辑、内容补充、找答案等附加服务。
- 2、"仅部分预览"的文档,不可在线预览部分如存在完整性等问题,可反馈申请退款(可完整预览的文档不适用该条件!)。
- 3、如文档侵犯您的权益,请联系客服反馈,我们会尽快为您处理(人工客服工作时间:9:00-18:30)。
题目要求和说明
ISSUE OF DOCUMENTARY CREDIT
TO: BANK OF CHINA,SHANGHAI BRANCH,CHINA
ATTN: L/C DEPT
FROM: COMMERCIAL BANK OF ETHIOPIA,ADDIS ABABA, ETHIOPIA
DATE:15-01-2008
WE HEREBY OPEN OUR IRREVOCABLE DOCUMENTARY LETTER OF CREDIT NO.LC/78563 FAVOURING M/S SHANGHAI CHEMICALS IMPORT AND EXPORT CORPORATION, 16 JIANG YAN LU SHANGHAI CHINA BY ORDER OF MAGIC INTERNATIONAL PLC, DEBRE ZEIT ROAD, ADDIS ABABA ETHIOPIA TO THE EXTENT OF USD 31067.10 CFR ASSAB AVAILABLE BY NEGOTIATION WITH ANY BANK AGAINST THE DOCUMENTS DETAILED HEREIN AND BENEFICIARY’S DRAFTS AT 60 DAYS AFTER B/L DATE DRAWN ON OURSELVES FOR 100% OF THE INVOICE VALUE.
1.SIGNED COMMERCIAL INVOICES IN FIVE COPIES SHECIFYING FOB VALUE AND FREIGHT CHARGES AND ALL COPIES CERTIFIED BY THE CHINA COUNCIL FOR THE PROMOTION OF INTERNATIONAL TRADE INDICATING EXCHANGE CONTROL LICENCE NO.749/000066 JANJUARY 02,2008
2.PACKING LIST IN FIVE COPIES INDICATING GROSS AND NET WEIGHT OF EACH ROLL
3.FULL SET OF CLEAN ON BOARD OCEAN BILLS OF LADING AND ONE NON-NEGOTIABLE COPY MADE OUT TO ORDER OF COMMERCIAL BANK OF ETHIOPIA AND NOTIFYING MAGIC INTERNATIONAL PLC MARKED FREIGHT PREPAID
4.CERTIFICATE OF ORIGIN ISSUED BY THE CHINA COUNCIL FOR THE PROMOTION OF INTERNATIONAL TRADE IN TWO COPIES
COVERING SHIPMENT OF 120 ROLLS 100MMx4Px350 AND 30 ROLLS 125MMx4Px350 TRANSMISSION BELT AS PER CONTRACT NO.03PI/421/122 DATED DEC 26 2007
TERMS CFR ASSAB
INSURANCE COVERED LOCALLY BY BUYER
THE EXPIRY PLACE OF THE CREDIT IS CHINA
PARTIAL SHIPMENTS ARE NOT PERMITTED
TRANSHIPMENT ARE PERMITTED
SHIPMENT FROM SHANGHAI CHINA TO ASSAB ETHIOPIA NOT LATER THAN 21ST MARCH 2008
THIS CREDIT IS VALID FOR NEGOTIATION NOT LATER THAN 5TH APRIL,2008
ALL BANKING CHARGES OUTSIDE ETHIOPOA ARE FOR ACCOUNT OF THE BENEFICIARY
PROCIDED THAT ALL TERMS AND CONDITIONS OF THE LETTER OF CREDIT HAVE BEEN COMPLIED WITH, WE UNDERTAKE TO HONOUR YOUR CLAIMS IN ACCORDANCE WITH YOUR INSTRUCTIONS VALUE THREE BUSINESS DAYS FROM THE DATE OF RECEIPT OF THE SHIPPING DOCUMENTS AT OUR COUNTERS
PLEASE FORWARD THE ORIGINAL AND DUPLICATE SETS OF SHIPPING DOCUMENTS IN TWO SEPARATE LOTS TO US BY DHL COURIER SERVICE
THIS LETTER OF CREDIT IS SUBJECT TO UCP FOR DOCUMENTARY CREDITS (REVISION 2007) I.C.C,PUBLICATION NO.600
PLEASE TREAT THIS MESSAGE AS AN OPERATIVE CREDIT INSTRUMENT AND NO MAIL CONFIRMATION WILL FOLLOW
PLEASE ADVISE THE BENEFICIARY
上海化工进出口公司
SHANGHAI CHEMICALS IMPORT AND EXPORT CORPRATION
16 JIANGYAN LU,SHANGHAI
商业发票
COMMERCIAL INVOICE
To
MAGIC INTERNATIONAL PLC
DEBRE ZEIT ROAD, ADDI S ABABA ETHIOPIA 日期
Date March.14, 2008 发票号
Invoice No. 106-004
合约号
Contract No. 03PL/421/122
信用证号
L/C No. LC/78563
装由
Shipped per GUANGHANG V.312 开船日期
Sailing about March. 19, 2008
出
From SHANGHAI, CHINA 至
To ASSAB, ETHIOPIA
CFR ASSAB, ETHIOPIA
SHANGHAI CHEMICALS IMPORT AND EXPORT CORPIRATION
上海化工进出口公司
SHANGHAI CHEMICALS IMPORT AND EXPORT CORPRATION
16 JIANGYAN LU,SHANGHAI
装箱单
PACKING LIST
Invoice No. 106-004 Date: March 14, 2008
SHANGHAI CHEMICALS IMPORT AND EXPORT CORPIRATION
120*55+30*74
BILL OF EXCHANGE
Drawn under COMMERCIAL BANK OF ETHIOPIA ADDIS ABABA
L/C NO.
LC/78563
Dated JAN. 15, 2008 Payable with interest@
%
NO. shanghai
MARCH. 31, 2008
(Date)
At
60 DA YS AFTER B/L DATE MARCH 19, 2008 Of this FIRST of Exchange (Second of Exchange being
Unpaid) Pay to the order of BANK OF CHINA,SHANGHAI BRANCH,CHINA
SA Y U.S DOLLARS THIRTY ONE THOUSAND AND SIXTY SEVEN AND CENTS TEN Value received
75 PACKAGES OF TRANSMISSION BELT
To: COMMERCIAL BANK OF ETHIOPIA
ADDIS ABABA, ETHIOPIA
SHANGHAI CHEMICALS IMPORT AND EXPORT CORPIRATION
(Authorized Signature)。