单证缮制与操作试题

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2020年全国外经贸单证专业培训考试 单证缮制与操作

2020年全国外经贸单证专业培训考试 单证缮制与操作

2020年全国外经贸单证专业培训考试单证缮制与操作一、单项选择题(每题2分,共40分)贸易术语理解在CIF Shanghai术语下,办理保险的一方应为:A. 我方公司B. 外商C. 两方应协商决定D. 以上均不正确答案:B(解析:CIF术语下,卖方必须自付费用取得货物保险)国际贸易单证代码国际贸易单证常用代码中国家和地区名称采用两字母代码,其中GB表示:A. 美国B. 英国C. 德国D. 法国答案:B(解析:GB表示英国)信用证审核信用证的有效期通常应:A. 晚于装运期B. 早于装运期C. 与装运期同一天D. 无特定要求答案:A(解析:信用证的有效期应晚于装运期,以便卖方有足够时间交单)海运单特征下列关于海运单的说法错误的是:A. 物权凭证B. 运输合同的证明C. 背面一般印有各种条款D. 不可以背书转让答案:A(解析:海运单不是物权凭证)二、多项选择题(每题3分,共30分)国际货物买卖合同的基本内容国际货物买卖合同的基本内容通常包括:A. 约首B. 本文C. 约尾D. 适用于《UCP600》的申明答案:A, B, C(解析:不包括D项)单证种类在国际贸易中,常见的单证包括:A. 商业发票B. 提单C. 保险单D. 装箱单答案:A, B, C, D(解析:以上均为常见单证)三、判断题(每题2分,共20分)即期汇票票据行为即期汇票的主要票据行为包括承兑。

()答案:错(解析:即期汇票无需承兑)信用证开证行责任在信用证业务中,只要单据符合信用证规定,开证行就应承担付款责任。

()答案:对(解析:符合信用证业务的基本原则)四、简答题(每题10分,共20分)简述CIF术语下买卖双方的主要义务。

卖方义务:提供符合合同规定的货物和单据,办理出口手续,负责运输和保险至指定目的港,并承担运费和保险费。

买方义务:支付货款,办理进口手续,接收货物并承担装运港之后的风险和费用。

信用证不符点处理简述在信用证交易中,如果发现单据存在不符点,应如何处理?答:一旦发现单据存在不符点,银行有权拒绝付款或议付。

2023年外贸单证员缮制考试试题

2023年外贸单证员缮制考试试题

2023年外贸单证员缮制考试试题
一、在缮制外贸单证时,以下哪项信息不是必须填写的?
A. 货物的详细描述
B. 买卖双方的银行信息
C. 运输方式和运费支付条款
D. 货物的生产日期
(答案)D
二、根据2023年外贸单证员缮制考试要求,以下哪种单据是用于证明货物原产地,并可能享受关税优惠的?
A. 商业发票
B. 装箱单
C. 原产地证书
D. 提单
(答案)C
三、在缮制海运提单时,以下哪项内容不是提单上必须注明的?
A. 货物的件数和包装种类
B. 货物的重量和体积
C. 货物的保险金额
D. 承运人的名称和签字
(答案)C
四、外贸单证中,哪种单据是出口商向银行提交,用于请求银行对进口商进行付款的?
A. 汇票
B. 信用证
C. 商业发票
D. 产地证
(答案)A
五、在缮制外贸单证时,如果货物的计量单位与合同规定不符,可能会导致什么后果?
A. 货物被海关扣留
B. 货物无法顺利通关
C. 进口商拒绝接收货物
D. 以上都可能
(答案)D
六、以下哪项不是外贸单证员在缮制单据时应遵循的原则?
A. 准确性
B. 完整性
C. 及时性
D. 美观性
(答案)D
七、在国际贸易中,哪种单据是由承运人或其代理签发的,证明货物已装船或已发运的?
A. 装运通知
B. 海运提单
C. 商业发票
D. 保险单
(答案)B
八、根据2023年外贸单证员缮制考试的内容,以下哪种单据是用于向海关申报货物进出口的?
A. 报关单
B. 装箱单
C. 产地证
D. 检验证书
(答案)A。

单证员缮制与操作试题(答案)

单证员缮制与操作试题(答案)
+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.
+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)

单证缮制与操作试卷四答题

单证缮制与操作试卷四答题

一、根据所给资料用英文缮制一般原产地证书、海运提单、汇票各一份。

1)有关资料如下:GW:14077.00KGS,NW:12584.00KGS, MEAS: 35CBM, 包装件数:3298卷(ROLLS),所有货物被装进2×20' CONTAINER, CONTAINER NO.:HSTU157504,TSTU156417,提单号码: SHANK00710,船名:DANUBHUM/S009;提单日期:2008年4月5日。

发票号码:BJ95 发票日期:2008年3月5日H.S code:2806.0000 产地证号码:CO3489012)信用证如下所示:SEQUENCE OF TOTAL *27 : 1 / 1FORM OF DOC,CREDIT *40 A : IRREVOCABLEDOC. CREDIT NUMBER *20 :HK1112234DATE OF ISSUE 31 C :080101APPLICABLE RULES 40E::UCP LATEST VERSIONDATE AND PLACE OF EXPIRY *31D : DATE080431 PLACE IN SHANGHAIAPPLICANT *50 :YOU DA TRADE CO.,LTD.,101 QUEENS ROAD CENTRAL,HONGKONGTEL: 852-********ISSUING BANK 52 A :BANK OF CHINA, HONGKONG BRANCHBENEFICIARY *59 :KUNSHAN HUACHENG WEAVING AND DYEING CO.,LTDHUANGLONG RD., LIUJIA ZHEN,SHANGHAI, CHINATEL: 86-520-7671386AMOUNT *32 B :CURRENCY USD AMOUNT 33, 680.00AVAILABLE WITH / BY *41 D :ANY BANK IN CHINABY NEGOTIATIONDRAFTS AT … 42 C :DRAFTS AT SIGHTDRAWEE 42 A :OURSELVESPARTIAL SHIPMENTS 43 P :NOT ALLOWEDTRANSSHIPMENT 43 T :NOT ALLOWEDLOADING ON BOARD 44 A :SHANGHAIFOR TRANSPORTATION TO … 44 B :HONGKONGLATEST DATE OF SHIPMENT 44 C : 080415DESCRIPT OF GOODS 45 A : 100000YARDS OF 100PCT NYLON FABRICSUNIT PRICE USD0.3368/YD, TOTAL AMOUNT USD33680.00DETAILS AS PER CONTRACT NO. 99WS061PRICE TERM: CIF HONGKONGSHIPPING MARK: YOU DAHONGKONGR/NO.:1-3298DOCUMENTS REQUIRED 46 A :1、SINGED COMMERCIAL INVOICE IN 5 FOLDS INDICATING L/C NO. AND CONTRACTNO. 99WS061.2、FULL SET (3/3) OF CLEAN ON BOARD MARINE BILLS OF LADING MADE OUTTO ORDER AND BLANK ENDORSED, MARKED ‘FREIGHT PREPAID’ AND NOTIFYTHE APPLICANT.3、INSURANCE POLICY OR CERTIFICATE IN 2 FOLDS FOR 110 PCT OF THE INVOICEVALUE INDICATING CLAIM PAYABLE AT DESTINATION COVERING OCEANTRANSPORTATION ALL RISKS AND WAR RISKS AS PER ICC CLAUSES.4、PACKING LIST IN 3 FOLDS INDICATING GROSS AND NET WEIGHT OF EACHPACKAGE.5、CERTIFICATE OF ORIGIN IN 3 FOLDS.ADDITIONAL CONDITIONS 47A:1、ON DECK SHIPMENT IS NOT ALLOWED.2、ALL DOCUMENT MUST BE MANUALLY SIGNED.PERIOD FOR PRESENTATION 48: DOCUMENTS MUST BE PRESENTED WITHIN 15 DAYS AFTERTHE DATE OF SHIPMENT BUT WITHIN THE VALIDITY OF THECREDIT.BILL OF EXCHANGESNo. (1): BJ95For: (2)USD33, 680.00(3-4) SHANGHAI, APRIL 26,2008 (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) ANY BANK IN CHINAthe sum of (7) SA Y U.S.DOLLARS THIRTY THREE THOUSAND AND SIX HUNDRED EIGHTY ONL Y.(amount in words)Drawn under (8) BANK OF CHINA, HONGKONG BRANCHL/C No. (9) HK1112234dated (10)To: (11)BANK OF CHINA, HONGKONG BRANCHFor and on behalf of(12) KUNSHAN HUACHENG WEAVING AND DYEING CO.,LTDX X XCHINA。

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

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、根据合同审核信用证2006年10月31日上海市纺织品公司收到创鸿(香港)有限公司通过香港南洋银行开来的编号为L8959344的信用证,请根据双方签订的合同(CONTRACT NO: GL0082)对信用证进行审核,指出信用证存在的问题并作出修改。

THE NEGOTIATION BANK MUST FORW ARD THE DRAFTS AND ALL DOCUMENTS BY REGISTERED AIRMAIL DIRECT TO US(NANYANG COMMERCIAL BANK, LTD. WESTERN DISTRICT BILLS CENTER 128 BONHAM STRAND E. HONG KONG) IN ONE LOTS, UPON RECEIPT OF THE DRAFTS AND DOCUMENTS IN ORDER, WE WILL REMIT THE PROCEEDS AS INSTRUCTED BY THE NEGOTIATING BANK.TRAILER: ORDER IS <MAC:><PAC:><ENG:><CHK:><PDE:>MAC: 3CDFF763CHK: 8A1AA1203070此信用证有如下错误:二、根据信用证资料缮制和修改单据用英文制作发票、保险单和海运出口托运单留底国际商务单证缮制与操作试题一、审核信用证1.信用证的性质不符合合同的要求,应将信用证可撤销(revocable)和不保兑(without confirmation)改为不可撤销(Irrevocable)和保兑(confirmed)信用证。

2.议付地.到期地均为香港(HONG KONG),应改为上海(SHANGHAI)议付银行NANY ANG COMMERCIAL BANK,LTD. H. K. 应改为国内银行。

3.汇票的付期限不符,应将at 20 day's sight,改为at sight4.转船规定与合同规定不符,应将TRANSSHIPMENT PROHIBITED改为TRANSSHIPMENT ALLOWED。

2022年上半年全国外经贸单证专业培训考试单证缮制与操作试题答案

2022年上半年全国外经贸单证专业培训考试单证缮制与操作试题答案

2022 年操作试题参考答案一、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)1-5:AACBA6-10:CAAAB11-15:BDBCC16-20:ADABD二、根据已知资料指出下列进口单据中的对错。

(每错 1 分,共 20 分)1.海运提单上的对错如下:1.提单号码对2.提单抬头错3.装运港对4.目的港对5.唛头对6.包装件数单位错7.毛重错8.体积对9.大写件数错10.提单签发日期错2.保险单上的对错如下:1.出口商名称、地址、国别对2.收货人名称、地址、国别对3.保单号错4.航次号错5.装运港对6.目的港对7.唛头错8.预定的装运月份对9.投保加成比例错10.保险单日期错三、根据第一大题的合同和已知资料缮制单据。

(共 40 分)1.商业发票(每空 1 分,共 15 分)商业发票2.装箱单(共 10 分)装箱单Packing list1.出口商(Exporter)(1) 3.装箱单日期(Packing list date)(3)SHANGHAI CHENGMEI TRADING CO.,LTD.NOV.10,202131 CHUNJIU ROAD,SHANGHAI,CHINA2.进口商(Importer)(2) 4.合同号(Contract No.)(4)PACOOT DIA (THAILAND) CO.,LTD. PD21080221/1 Moo 9, Rojana Industrial Park Rojana Road,13210 THAILAND.5.发票号和日期(Invoice No. and Date)(5)PD2100681NOV.10,20216.运输标志和集装箱号7.包装类型及件数;商品名称8.毛重 kg9.体积 Cube m.(Shipping marks;Container No.)Number and kind of Gross weight(6)packages;Commodity name (7)(8)(9)PACOOTPAT BANGKOK 60 BIG BAGS OF 72000KGS 59.8CBMBROWN FUSED ALUMINA,F24NOS.1-60(10)TOTAL:SAY SIXTY BIG BAGS ONLY.10.出口商签章Exporter stamp and signatureSHANGHAI CHENGMEI TRADING CO.,LTD.田宇3.产地证(共 15 分)Original。

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)

2022年单证员考试操作与缮制试题及答案卷一

2022年单证员考试操作与缮制试题及答案卷一

单证员考试《操作与缮制》试题及答案(卷一)1、出口货品发货人或其代理人除海关特准外,依照规定应当在货品运抵监管区后,___B___向海关申报。

A.装货前24小时B.装货24小时此前C、货品运抵口岸24小时内D.承载运送工具起运(或起航)24小时前2、下列关于进出口货品报关时限说法对的有( B )。

A、进口货品自运送工具申报进境之日起7日内B、进口货品自运送工具申报进境之日起14日内C、货品运抵口岸24小时内D、货品运抵口岸48小时内3、普通状况下,进口货品应当在( A )海关申报A、进境地B、启运地海关C、目地海关D、附近海关4、申报日期是指(C )。

A、向海关提交电子数据报关单日期B、向海关提交纸质报关单日期C、申报数据被海关接受日期D、海关放行日期5、滞报金计征起始日为运送工具申报进境之日起第( D )日为起始日,海关接受申报之日为截止日。

A、7B、10C、14D、156、滞报金按日征收,为进口货品完税价格( B )。

A、千分之1B、千分之0.5C、千分之3D、千分之57、滞报金起征点为人民币(B )元。

A、10B、50C、100D、5001、下列属于普通进出口货品特性是( ABC )。

A、在进出境时缴纳应当缴纳进出口税费B、进出口时如需提交允许证,提交有关允许证C、海关放行即办结了海关手续D、暂不纳税2、普通进出口货品在向海关申报时,应提交单据是( BC )。

A.贸易合同B.商业发票C.装箱单D.工商营业执照普通进出口货品申报时不需要提交合同,租赁货品申报时才需要提交合同。

3、下列属于普通进出口货品是:( ACD )A、易货贸易、补偿贸易进出口货品B、在展览会中展示或示范用进口货品、物品C、转为实际进出口暂准进出境货品D、承包工程项目实际进出口货品4、下列单证中,属于基本单证是(BC )。

A、合同B、装箱单C、商业发票D、原产地证明书5、进出口货品申报方式有( ABCD)。

A、终端申报方式B、委托EDI方式C、自行EDI方式D、网上申报方式6.英国生产产品,中华人民共和国购自新加坡,经香港转运至中华人民共和国,填写报关单时起运地为(B)A.英国B.新加坡C.香港D.不用填写解析:起运国指进口货品起始发出国家,对中转地发生商业性交易,则以中转地作为起运国填写,本题在中转地未发生商业性交易,且货品购自新加坡,因而起运地为新加坡。

2023年 单证员考试国际商务单证缮制与操作试题

2023年 单证员考试国际商务单证缮制与操作试题

2023年单证员考试国际商务单证缮制与操作试题一、简答题1.什么是国际商务单证?\ 答:国际商务单证是指在国际贸易中,用于交流信息、完成交易和履行义务的文件或记录。

它是国际贸易中的重要组成部分,用于确保买卖双方的权益,规范交易流程,减少交易风险。

2.国际商务单证有哪些主要类型?\ 答:主要类型包括:–提单(海运提单、空运提单)–支付单证(汇票、信用证)–运输单证(海运提单、空运提单、铁路运输单证、公路运输单证)–保险单证(货物保险单证、运输保险单证)–商业发票–装箱单–保函3.国际商务单证缮制的主要步骤有哪些?\ 答:国际商务单证缮制的主要步骤包括:–根据买卖双方的合同和要求,确定所需单证类型及数量。

–收集所需材料和信息,如合同、发票、装箱单等。

–根据单证要求和国际贸易规则,填写和制作相应的单证。

–确认单证的准确性和完整性。

–经买卖双方确认后,签字、盖章并交付给相关方。

二、案例分析题案例:你作为某贸易公司的单证员,负责处理一笔国际贸易订单。

订单要求你为货物出口到某个国家,并需要准备相关的单证。

根据以上给出的情况,请回答以下问题:1.你需要准备哪些主要的单证?\ 答:根据以上情况,你需要准备的主要单证可能包括:–出口装箱单:记录货物的规格、数量和包装情况。

–商业发票:详细描述货物及其价格,作为结算依据。

–提单:是货物装运的重要证明,包含托运人、收货人、货物数量等信息。

–装箱单:记录货物的装箱情况和数量,用于理货和确认。

–保险单证:购买货物运输保险的证明,以保障货物在运输过程中的安全。

2.填写这些单证时,需要注意哪些重要事项?\ 答:填写这些单证时,需要注意以下重要事项:–准确无误:填写单证时,应确保信息的准确性和一致性,避免拼写错误、数量错误、货物描述错误等。

–规范格式:根据国际贸易惯例和相关规定,填写单证时应符合相应的格式要求,如发票的识别号码、提单的格式和内容等。

–时间安排:填写单证时需要合理安排时间,确保在交货日期前完成,避免延误交易。

国际商务单证缮制与操作模式试题(四)

国际商务单证缮制与操作模式试题(四)

国际商务单证缮制与操作模式(四)国际商务单证缮制与操作模式(四)一、单选题(共20题,共40分)1.信用证规定“Certificate of origin G. S. P. Form A in duplicate”,根据要求,该产地证的签发机构是( )。

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

为了避免届时外商不履行合同,我方应采用( )比较稳妥。

A.对开信用证B.保兑信用证C.转让信用证D.循环信用证3.报关单备注栏目应该选填下列哪项内容。

()A.机电产品进口配额证明B. 登记手册编号C.付汇赊销单编号D.三资企业委托代理进出口业务的委托单位全称4.采用信用证支付方式,受益人向客户收取货款的凭据是:()A.已装运的实际货物B.寄单银行要求开证银行付款的书面通知C.信用证符的全套单据D.买卖合同内容一致的全套单据5.单证缮制必须做到正确、完整、及时、简明和整洁,其中()是单证工作的前提。

A.正确B.完整C.及时D.简明6.各种单据的签发日期应符合逻辑性和国际惯例,通常()日期是议付单据出单最早时间。

A.发票B.提单C.保险单D.报关单7.根据联合国设计推荐使用的用英文字母表示的货币代码,如下表述不正确的是()Y65.00B.GBP65.00D65.00D.RMB65.008.狭义的单证是指()A.单据和文件B.信用证和证书C.结算单证D.信用证和文件9.以下关于联合国设计推荐使用的地名代码表述正确的是:()A.由五个前三个符号代表国名,后两个符号代表地名B.个英文字母符号组成,前两个符号代表国名,后三个符号代表地名C.个英文字母符号组成,前两个符号代表地名,后三个符号代表国名D.个英文字母符号组成,前三个符号代表各名,后两个符号代表国名10.在信用证项业务中,各有关方面当事人处理的是()A.单据B.货物C.服务D.其他行为11.各种单据的签发日期应符合逻辑性和国际惯例,通常()日期是确定各单据日期的关键。

单证缮制与操作试题

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。

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、根据合同审核信用证二、修改错误三、根据所给信用证缮制相关单据ISSUING BANK: BANK OF FUKUOKA, LTD. , THE TOKYOADVISING BANK: BANK OF CHINA, NINGBOSEQUENCE OF TOTAL: 131FORM OF DOC. CREDIT:IRREVOCABLEDOC. CREDIT NUMBER: H612-100672DA TE OF ISSUE :050422EXPIRY EATE :050521 PLACE: BENE'S COUNTRYAPPLICANT: SAKOYI CO. , LTD.2-7-11 DAIRITONOUE MOJI-KUKITAKYUSYU-CITY, JAPANBENEFICIARY:ZHEJIANG W ANDAO FOOK IMPORT AND EXPORT GROUP NO. 112 JIANZHONG ROAD. NINGBO, CHINAAMOUNT:CURRENCY JPY AMOUNT 1275000.00NEGOTIATION A V AILABLE WITH/BY:ANY BANKDRAFTS AT:DRAFT AT SIGHT FOR FULL INVOICE COSTDRAWEE: BANK OF FUKUOKA, LTD. , THE TOKYOPARTIAL SHIPMENTS: PERMITTEDLOADING IN CHARGE: NINGBOFOR TRANSPORT TO: MOJI, JAPANLATEST DATE OF SHIP. :050507DESCRIPT. OF GOODS:TRADE TERM CIF MOJI JAPANCANNED BOILED BAMBOO SHOOTSDOCUMENTS REQUIRED:+ SIGNED COMMERCIAL INVOICE IN 3 COPIES INDICATING CREDIT NO. + SEAWAY BILL IN THREE COPIES+ PCKING LIST IN FIVE COPIES+ INSURANCE POLICY IN 2 COPIES BLANK ENDORSED COVERING ALL RISKS AND W AR RISK FOR 110% INVOICE V ALUE, CLAIM IF ANY PAYABLE AT DESTINATION IN THE CURRENCY OF THE DRAFT.+ BENEIFICIARY CERTIFICATE CERTIFYING THAT THREE SETS COPIES OF NON-NEGOTIABLE CHIPPING DOCUMENTS HA VE BEEN AIRMAILED DIRECTL Y.ADDITIONAL COND. :REIMBURSEMENT BY TELECOMMUNICATION IS PROHIBITEDDETAILS OF CHARGES: ALL BANKING CHARGES OUTSIDE JAPAN ARE FOR ACCOUNT OF THE BENEFICIARY.PRESENTATION PERIOD: DOCUMENTS TO BE PRESENTED WITHIN 15DAYS AFTER THE DATE OF SHIPMENT BUT WITHIN THE V ALIDITY OF THE CREDIT.CONFIRMATION: WITHOUTINSTRUCTIONS:DRAFT AND DOCTS TO BE SENT BY AIR-COURIER TO OUR HEAD OFFICE, FUKUOKA (ADDRESS: 13-1 ,TENJIN2-CHOME, CHUO-KU, FUKUOKA,JAPAN)CONTRACT NO. :B9A15A3025 UNIT PRICE:CIF MOJI JPY850.00PER CAN TOTAL:JPY1275000.00 PACKING:IN CANS OF 20KGS EACHG.W. :22KGS EACH MEASUREMENT 0.018Ms EACH TOTAL:27.00M3SHIPPED PER M/V :CHANGHE V. 45 SW B/L NO. :89 INVOICE NO.: BP2011446 SHIPPING MARKS: W/DMOJL/NO. 1-UP 1.受益人证明4.装船通知ZHEJIANG W ANDAO FOOK IMPORT AND EXPORT GROUP NO. 112 JIANZHONG ROAD. NINGBO, CHINASHIPPING ADVICEDA TE:Messrs:Dear Sirs:Re:Invoice No.: L/C No.:We hereby inform you that the goods under the above mentioned credit have been shipped. The details of the shipment as stated below.Commodity:Quantity:Amount:Ocean Vessel:Bill of lading No.:E. T. D. :Port of Loading:Destination:We hereby certify that the above content is true and correct.ZHEJIANG W ANDAO FOOK IMPORT AND EXPORT GROUP国际商务单证缮制与操作试题一、根据所给合同审核信用证1.金额有误,未考虑溢短装后的金额。

单证单证缮制与操作试卷十级答案

单证单证缮制与操作试卷十级答案

一、根据下列所给资料缮制发票、装箱单各一份。

唛头号码由受益人决定。

FROM BRITISH BANK OF THE MIDDLE EAST,JEBEL HUSSEIN, AMMAN, JORDAN.TO THE HONG KONG AND SHANGHAI BANKING CORPORATION LIMITED.SHANGHAI OFFICE: 6/F FU TAIANSION 104 HUQIU ROAD. SHANGHAI,CHINA BENEFICIARY: GOOD FRIEND ARTS AND CRAFTS IMP. & EXP. CO.301 SAN TIAO XIANG , CHAOZHOU, GUANGDONG, CHINAAPPLICANT: INTERNATIONAL TRADING AND RE-EXPORT CO.(ZERKA FREE ZONE). P.O.BOX 1147.AMMAN-JORDAN.,FAX:623267,TEL:630353.DC NO.: DCFJOM970603FORM OF DC: IRREVOCABLEDATE OF ISSUE: 20 MAY,2004EXPIRY DATE AND PLACE: 30 JULY, 2004 CHINADC AMOUNT: USD26160.00, CFR AQABA, JORDAN,MAX CR AMT: NOT EXCEEDING….AVAILABLE WITH/BY: ANY BANK BY NEGOTIATIONDRAFTS AT: AT SIGHT FOR FULL INVOICE VALUE, MENTIONING THIS DC NO.DRAWEE: ISSUING BANKLATEST DATE OF SHIPMENT: 15 JULY 2004GOODS: 24000 PAIRS “EVA” SLIPPER MODEL DO27 SIZE 36-4024000 PAIRS “EVA” SLIPPER MODEL DO02 SIZE 30-35ALL IN 4 ASSORTED COLORS, LIGHT BLUE, RED, PINK AND VIOLETAS PER S/C 97 ACX417 DATED 17.4,2004DOUMENTS REQUIRED:SIGNED INVOICES IN SIX COPIES SHOWING THAT THE GOODS EXPORTED ARE OF CHINESE ORIGIN, THE ORIGINAL INVOICE IS TO BE DULY CERTIFIED BY THE CHINA COUNCIL FOR THE PROMOTION OF INTERNATIONAL TRADE.ADDITIONAL CONDITIONS:1)“MADE IN CHINA” MUST BE STICKED ON EACH PAIR AND THE RELATIVE INVOICES MUST CERTIFY TO THIS EFFECT.2)INVOICES MUST CERTIFY THAT THE CARTON SIZE ASSORTMENT IS AS FOLLOWS:FOR SIZE 36-40:36/6,37/12,38/15,39/15,40/12,EQUAL 60 PAIRS.FOR SIZE 30-35:30/8,31/8,32/10,33/10,34/12,35/12,EQUAL 60PAIRS.3)ALL DOCUMENTS REQUIRED UNDER THIS DOCUMENTARY CREDIT SHOULD BE ISSUED IN ARABIC AND/OR ENGLISH.4)ALL DOCUMENTS REQUIRED UNDER THIS DOCUMENTARY CREDIT MUST MENTION THIS LC NUMBER AND THE ISSUING BANK NAME.COMMERCIAL INVOICEPACKING LIST二、根据下列内容填制汇票一份。

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2017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11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 CONTRACTThe Seller: Shanghai Yahua Trading Corp. Contract No. 2017YH05616 Huangxing Road, Shanghai,China Date: May 18,2017 The Buyer: Erort Co., Ltd.18 Boulevard Paul Vaillant Couturier, FranceDescription of Goods Quantity Unit Price Amount Rattan FurnitureItem No. PFA-578As per the Order No.2017YH037 1000sets CIF MarseillesUSD680.00/set USD680,000.00TOTAL 1000sets USD680,000.00Total Amount: SAY U.S.DOLLARS SIX HUNDRED AND EIGHTY THOUSAND ONLYPacking: 1 set are packed in two export standard cartonsTime of Shipment: Before the end of July, 2017Loading Port and Destination: From Shanghai, China to Marseilles, FrancePartial 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 45 days after sight, reaching the seller before June 15,2017, 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 Buyer.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 Yahua Trading Corp. Erort Co., Ltd.王旭Murielle1.根据合同,合理的信用证开证日期应为A. June 15, 2017B. the beginning of June,2017C. May 18, 2017D. Before the end of July. 20172.如果提单日期为July15, 2017,信用证的有效期应为A. July 30, 2017B. July 15, 2017C. Aug. 15,2017D. Aug. 30, 20173.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 Yahua Trading Corp.B. Erort Co., Ltd.C. Bank of ChinaD. Banque de France5.根据合同,信用证的受益人应为A. Shanghai Yahua Trading Corp.B. Erort Co., Ltd.C. Bank of ChinaD. Banque de France6.根据合同,信用证金额应为A. USD680.00B. USD688.00C. USD688,000.00D. USD680,000.007.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45天C.提单日期后45天D.见票后45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. 马赛C. 巴黎D. 南京12.根据合同,信用证的目的港应为A.上海B. 马赛C. 巴黎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, 2017B. before July 1, 2017C. before July 31, 2017D. July 31, 201714.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开证申请书中错误的地方,请在答题纸上作答。

(每错1分,共22分)已知资料:2016年6月20日,上海锐特维斯科技有限公司(SHANGHAI RETRVIS TECHNOLOGY CO., LTD. 15 CHANGXING ROAD, SHANGHAI, CHINA)从STS PLUS CO.,LTD. 1-209 HANNAMDONG YOUNGSAN-KU, SEOUL, KOREA进口对讲机2000台,达成以下主要合同条款:1.Commodity: “ RETEVIS” brand walkie-talkie2.Quantity:2000 sets3.PACKING: In cartons4.Unit Price:USD 6.50/set CIF Shanghai5.Amount:USD 13,000.006.Time of shipment:During Nov. ,2016Port of Loading: Seoul, KoreaPort of Destination: Shanghai, ChinaPartial shipment: AllowedTransshipment: Not Allowed7.Insurance:To be covered by the seller for 110% invoice value covering ICC(A) and War Risk 8.Payment:By irrevocable letter of credit at 45 days sight to reach the seller not later than June25,2016, Valid for negotiation in Korea until the 15TH day after time of shipment . 9.Document:(1)Signed commercial invoice in 3 fold.(2)Signed packing list in 3 fold.(3)Full set of clean on board ocean B/L in 3/3 originals issued to order andblank endorsed marked “Freight Prepaid” and notify the applicant.(4) Certificate of Origin in 1 Original and 1 copy issued by the chamberof commerce in Korea.(5)Insurance policy/Certificate in duplicate endorsed in blank for 110%invoice value covering ICC(A) and War Risk showing the claim currency is thesame as the currency of the credit.相关资料:(1)信用证号码:CO1622111057(2)合同号码:RT20160625Shanghai Retevis Technology Co., Ltd.外经贸单证员李浩于2016年6月23日向BANK OF CHINA, SHANGHAI BRANCH办理申请电开信用证手续,通知行是KOOKMIN BANK, SEOUL, KOREAIRREVOCABLE DOCUMENTARY CREDIT APPLICATION TO:KOOKMIN BANK,SEOUL,KOREA Date: July 23,2016Beneficiary (full name and address)SHANGHAI RETRVIS TECHNOLOGY CO., LTD.15 CHANGXING ROAD, SHANGHAI, CHINA L/C NO. CO1722111059 Contract No. RT20160625Date and place of expiry of the credit NOV. 15, 2016 in CHINAPartial shipments not allowed TransshipmentallowedIssue by teletransmission (which shall be the operativeinstrument)Loading on board / dispatch / taking in charge at /fromSHANGHAI, CHINANot later than OCT. 31,2016for transportation to SEOUL, KOREA Amount (both in figures and words)EUR 1300.00(SAY EURO ONE THOUSAND AND THREE HUNDRED ONLY.)Description of goods:“ RETEVAS” brand walkie-talkie 20000 SETSPacking:IN CARTONS Credit available with ANY BANK IN CHINAby negotiationagainst the documents detailed hereinand beneficiary’s draft for 100 % of the invoice valueAt SIGHTon USCFRDocuments required: (marked with x)1 .( x ) Signed Commercial Invoice in 5 copies indicating invoice no., contract no.2. ( x ) Full set of clean on board ocean Bills of Lading made out to order of issuing bank and blank endorsed, marked "freight ( x ) to collect / ( ) prepaid ( ) showing freight amount" notifying the applicant.3. ( x ) Insurance Policy / Certificate in 2 copies for 120 % of the invoice value showing claims payable in China in currency of the draft, blank endorsed, covering ( x ) Ocean Marine Transportation / ( ) Air Transportation / ( ) Over Land Transportation) All Risks,4. ( x ) Packing List / Weight Memo in 3 copies indicating quantity / gross and net weights of each package and packing conditions as called for by the L/C.5. ( ) Certificate of Quantity / Weight in copies issued an independent surveyor at the loading port, indicating the actual surveyed quantity / weight of shipped goods as well as the packing condition.6. ( ) Certificate of Quality in copies issued by ( ) manufacturer / ( ) public recognized surveyor / ( )7 ( ) Beneficiary’s certified copy of FAX dispatched to the accountee with after shipment advising ( ) name of vessel / ( ) date, quantity, weight and value of shipment.8. ( ) Beneficiary’s Certificate certifying that extra copies of the documents have been dispatched according to the contract terms.9. ( ) Shipping Company′s Certificate attesting that the carrying vessel is chartered or booked by accountee or their shipping agents:10. ( x ) Other documents, if any:a) Certificate of Origin in 3 copies issued by authorized institution.Additional instructions:……….Advising bank:BANK OF CHINA, SHANGHAI BRANCH三、根据已知资料缮制商业发票、装箱单、装运通知(38分)请在答题纸上作答。

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