信用证审核1答案.doc

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信用证项下单据的审核

信用证项下单据的审核

信用证的特点
01
独立性
信用证一经开立,便独立于基础 交易合同,银行仅根据信用证的 条款进行付款。
02
严格相符原则
受益人提交的单据必须与信用证 条款严格相符,否则银行有权拒 付。
03
信用证欺诈例外原 则
在某些情况下,如果存在欺诈行 为,法院有权干预信用证的执行。
信用证的种类
01
不可撤销信用证
开证行承诺在规定期限内履行付款 义务,不得撤销或修改。
审查单据制作是否规范
检查单据的填写、签章等是否规范,确保没有格式错误或遗漏。
关注特殊条款
对信用证中特殊条款或附加条件进行重点审核,确保满足要求。
综合审核
综合分析单据之间的一致性
将所有单据进行综合比对,确保各单据之间 信息一致,没有矛盾。
判断是否符合交单条件
根据信用证规定的交单条件,判断单据是否 满足交单要求。
保兑信用证
由保兑行对信用证进行保兑,承担 第一付款责任。
03
02
可撤销信用证
开证行有权在不需要通知受益人的 情况下撤销或修改信用证。
不保兑信用证
未经保兑行保兑,仅为开证行的付 款承诺。
04
02 单据审核要点
单证一致
发票、装箱单、提单等单据上的信息应与信用证条款完全一致,包括商品描述、 数量、金额、运输方式等。
确保信用证金额、货物数量、品质规格等关键信息 准确无误,并与合同一致。
注意单据的欺诈行为
01
核实单据的真实性,确保单据是合法、有效的,避免使用伪造 或变造的单据。
02
仔细核对单据上的信息,如发票号、提单号、装运日期等,确
保单据之间的一致性。
注意单据中是否存在矛盾或不一致之处,如货物描述、数量、

国际商务单证员单证基础理论与知识(申请开立信用证)模拟试卷1(

国际商务单证员单证基础理论与知识(申请开立信用证)模拟试卷1(

国际商务单证员单证基础理论与知识(申请开立信用证)模拟试卷1(题后含答案及解析)题型有:1. 2. 多项选择题 3. 判断题 4. 简答题1.在信用证支付方式下,只要单据表面与信用证条款相符合,开证行就必须按规定付款,所以进口商应尽量做到( )。

A.在申请开证时,应按合同有关规定转化成有关单据,具体规定在信用证内B.只要在信用证申请书中详细阐明即可,不用列明应提交与之相应的单据C.与出口人建立深厚的友谊D.委托一个机构全权监督出口方的行为正确答案:A解析:因为在信用证支付方式下,只要所提交的单据表面与信用证条款相符合,银行就必须按规定付款,所以进口商应尽量在申请开证时,按合同有关规定转化成有关单据,并具体规定在信用证中。

如信用证申请书中含有某些条件而未列明应提交与之相应的单据,银行将认为未列此条件,对此将不予理会。

知识模块:申请开立信用证2.在以信用证为支付方式的进口贸易中,依据合同规定,进口商的首要义务是( )。

A.开立信用证B.申请进口货物许可证C.办理租船订舱手续D.办理保险手续正确答案:A解析:以信用证方式支付的进口贸易实务中,开立信用证是履行进口合同的第一步,是进口业务的重要环节,进口方必须按合同规定开立信用证。

知识模块:申请开立信用证3.进口商在申请开证前,要落实的事情是( )。

A.进口批准手续及外汇来源B.货物入境通关手续C.货物检验手续D.货物保险手续正确答案:A解析:进口商在申请开证前,要落实的事情是进口批准手续及外汇来源,BCD为开证之后可以落实的事情。

知识模块:申请开立信用证4.在信用证申请书中汇票的付款人应填为( )。

A.开证人B.开证行或指定付款行C.通知行D.受益人正确答案:B解析:根据《UCP600》,信用证方式下,汇票的付款人应为开证行或指定付款行。

知识模块:申请开立信用证5.下列各单据不能归人进口到货单证类别中的是( )。

A.保险单据B.运输单据C.入境货物通关单D.进口货物报关单正确答案:B解析:进口到货单证有三种:保险单证、进口货物报关单和入境货物通关单。

2008年国际商务单证专业考试(缮制与操作)答案1

2008年国际商务单证专业考试(缮制与操作)答案1

一、根据下述合同内容审核信用证,并指出不符之处。

(36分)1、受益人名称与合同卖方不符(合同是SHANGHAI SHENG DA CO.,LTD.,信用证SHANGHAI DA SENG CO.,LTD.)2、开证申请人的地址不符(合同是28, IMAMGONJ,信用证是26,IMAMGONJ)3、商品名称不符(合同是STEEL TAPE RULES,信用证是TAPE RULES)4、商品规格不符(合同是JH-392W和JH-380W,信用证是JH-395W和JH-386W)5、单价不符(合同是USD3.60/DOZ PAIR CFR CHITTAGONG和USD4.20/DOZ PAIRCFRCHITTAGON,信用证是HKD3.60 PER DOZEN CIF CHITTAGONG和HKD4.20 PER DOZEN CIF CHITTAGONG)6、总金额不符(合同是USD9,300.00,信用证是CURRENCY HKD AMOUNT 9800.00)7、包装不符(合同是In Cartons,信用证是PACKING: EXPORT STANDARDSEAWORTHY PACKING)8、装运期不符(合同是During May, 2008,信用证是LATEST DATE OF SHIPMET : MAY2, 2008)9、装运港不符(合同是Shanghai,信用证是ANY CHINESE PORTS)10、分批和转运要求不符(合同是Partial Shipment and Transshipment are allowed.,信用证是PARTIAL SHIPMENT: NOT ALLOWED和TRANSSHIPMENT: NOT ALLOWED)11、合同用的是CFR术语,信用证要求受益人提交保险单不符12、CFR术语,提单上要求注明“FREIGHT COLLECT”不符13、付款期限不符(合同是Sight Letter of Credit,信用证DRAFTS AT 60 DAYS SIGHT)二、根据买方订单及相关资料缮制形式发票(24分)(12) DETAILS OF OUR BANK:BANK OF CHINA, SHANGHAI BRANCH,NO.4 Zhongshan road, Shanghai ,P.R.CHINASWIFT CODE: BKCHCNBJ530BENEFICIARY: SHANGHAI LUCKY SAFETY SCREENS CO., LTDACCOUNT NO: 1281 2242012 7091 015ADDRESS: UNIT C 2/F JINGMAO TOWER SHANGHAI ,CHINASHANGHAI LUCKY SAFETY SCREENS CO., LTD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(共40分)凭信用证号Drawn under industrial bank of Japan,ltd.,head office L/C NO.LC196107800日期按…. .息…. 付款Dated Oct.15,2007 Payable with interest @… .. % per annum 号码汇票金额上海NO.YL71001Exchange for USD12630.00 Shanghai …DEC.05,2007……………见票…………………日后(本汇票之正本未付)付交At *** sight of this FIRST of Exchange (Second of Exchange being unpaid) Pay to the order of BANK OF CHINA,SHANGHAI BRANCH金额the sum of SAY US DOLLARS TWELVE THOUSAND SIX HUNDRED AND THIRTY ONLY此致To: INDUSTRIAL BANK OF JAPAN,HEAD OFFICESHANGHAI YILONG CO.,LTD.XXXSHANGHAI YILONG CO.,LTD.X X X.Shipper Insert Name, Address and PhoneSHANGHAI YILONG CO.,LTD.NO.91 NANING ROAD SHANGHAI ,CHINA.B/L No. TH14HK07596.Consignee Insert Name, Address and PhoneTO ORDER中远集装箱运输有限公司COSCO CONTAINERLINESNotify Party Insert Name, Address and Phone(It is agreed that no responsibility shall attach to the Carrier or his agents for failure to notify)ABC COMPANY1-3 MACHI KU STREET OSAKA ,JAPANPort-to-Port or Combined TransportBILL OF LADINGwise noted. The total number of packages or units stuffed in the container, the description of the goods and the weights shown in this Bill of Loading are furnished by the Merchants, and which the carrier has no reasonable means of checking and is not a part of this Bill of Loading 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- ned against the delivery of the shipment and whereupon any other original Bills of Lading shall be void. The Merchants agree to be bound by the terms And conditions of this Bill of Lading as if each had personally signed this Bill of Lading.SEE clause 4 on the back of this Bill of Lading (Terms continued on the back hereof, please read carefully)*Applicable Only When Document Used as a Combined Transport Bill of Lading.Combined Transport * Pre-carriage byCombined Transport * Place of ReceiptOcean Vessel Voy. No. KAOHSIUNG V.0707S .Port of Loading SHANGHAI PORT.Port of Discharge OSAKACombined Transport * Place of DeliveryMarks & Nos. Container / Seal No.ABC OSAKANOS.1-60C/N:SNBU7121820No. of Containers or Packages60 CARTONS Description of Goods (If Dangerous Goods, See Clause 20)CARDBOARD BOXCFS-CFSGross Weight Kgs2160.00KGSMeasurement33.000CBMP a r t i c u l a r s F u r n i s h e d b y M e r c h a n t sDescription of Contents for Shipper’s Use Only (Not Part of This B/L Contract).Total Number Of Containers and/or Packages (In Words) SAY SIXTY CARTONS ONLYFreight & Charges FREIGHT PREPAIDRevenue Tons RatePerPrepaidCollectLADEN ON BOARD THE VESSEL DATE:NOV29,2007BY KAOHSIUNG V.0707SCOSCO CONTAINER LINESCNS01 0108895。

金融法试题及答案[1]

金融法试题及答案[1]

金融法试题及答案[1]金融法复习材料一、名词解释:1. 信用证:银行根据进口商申请,向出口商开立的,保证在信用证规定的条件满足时向出口商支付一定金额的书面凭证。

2. 票据行为:广义是指以发生、变更或消灭票据法律关系为目的的法律行为。

狭义是指票据法所规定以负担票据债务目的的要式法律行为。

3. 支票:是存款客户签发的,委托银行或其他金融机构在见票时无条件支付确定金额给收款人或持票人的票据。

4. 本票:是出票人签发的,承诺自己在见票时或在指定的日期或在可以确定的将来日期,无条件向收款人或持票人支付确定金额的票据。

5. 汇票:是出票人签发的,委托付款人在见票时或者在指定日期或者在将来可以确定的日期,向收款人或持票人无条件支付确定金额的票据。

6. 再贴现:是普通金融机构将所持有的未到期票据背书让与中央银行以兑取现款,中央银行于票面金额中扣除自兑取日至到期日之间的利息和贴现费后,将其余额支付给该普通金融机构。

7. 货币市场:货币市场是短期资金市场,是指融资期限在一年以下的金融市场,是金融市场的重要组成部分,具有期限短、流动性强和风险小的特点 8. 资本市场:期限在一年以上各种资金借贷和证券交易的场所。

资本市场上的交易对象是一年以上的长期证券。

因为在长期金融活动中,涉及资金期限长、风险大,具有长期较稳定收入,类似于资本投入,故称之为资本市场。

9. 接管:是当金融机构已经或者可能发生信用危机,严重影响存款人的利益时,由监管机构派遣人员进驻并在一定期限内行使其经营管理权的制度。

10. 商业银行:是指依照《商业银行法》和《公司法》设立的吸收公众存款、发放贷款、办理结算等业务的企业法人。

11. 同业拆借:是指银行、非银行金融机构之间为了调剂资金余缺相互融通短期资金的行为。

12. 贷记卡:是指发卡银行给予持卡人一定的信用额度,持卡人可在信用额度内先消费,后还款的信用卡。

13. 个人储蓄存款账户实名制:指要求个人在金融机构开立存款账户时,适用实名,出具实名证件的一项制度。

信用证审核1

信用证审核1
信用证审核结果
信用证号
01/0501-FCT
合 同 号
SHDS03027
审证结果
1.信用证大小写金额不一致,大写金额错误(US DOLLARS FORTY SIX THOUSAND NINE HUNDRED AND EIGHTEEN ONLY),低于合同金额(USD46980),应USD46980(US DOLLARS FORTY SIX THOUSAND NINE HUNDRED AND EIGHTY ONLY)而不是USD46918。
4.合同要求投保的为“中国海洋运输货物保险条款(OCEAN MARINE CARGO OF P.I.C.C. DATED 1/1/1981)”,而信用证投保的为“伦敦协会货物保险条款AINSURANCE CARGO CLAUSES(A) AS PER I.C.C.DATED1/1/1982)”,所选择的保险条款有误,应该根据合同规定选择投保的保险条款。
7.合同中明确规定允许转运和分批装运(SHIPMENT ALLOWED AND TRANSHIPMENT ALLOWED),但信用证中(PROHIBITED),应按照合同进行修改。
2.信用证中表明的是在加拿大到期(FOR NEGOTIATION IN APPLICANT COUNTRY),这样容易造成逾期,无法兑现信用证,并且这样不符合合同要求,应该改成在国内到期(FOR NEGOTIATION IN BENEFICIARY COUNTRY)。
3.信用证中保险加成率为30%( FOR 130 PERCENT OF INVOICE VALUE),与合同规定的10%不符,应改为(FOR 110 PERCENT OF INVOICE VALUE)。
5.信用证中装运的货物数量与合同中标明的数量不一致,信用证中规定的是DS1151 544SETS,还有DS5120 245SETS,而合同中分别为DS1151 542SETS、DS5120 254SETS。应当按照合同所标明的数量进行更改。

信用证样本1

信用证样本1

信用证样本1对于很多外贸新手来说,信用证(L/C)是个不小的问题,相信有不少人可能都没见过。

对我来说,信用证也是新的东西,也需要学习。

在此,从其它地方搬来样本,供大家参考、学习。

对于原创者,表示感谢!正题:其实所有的信用证条款都大同小异,具体款项都是那些,下面列出一个样本供大家参考.有一个问题需要新手注意,一般韩国开过来的信用证经常用假远期,这也是韩国人的精明之处,可以用假信用证向开证行押汇,狡猾狡猾地!!信用证样本1SAMPLE LETTER OF CREDIT/1(See Instructions on Page 2)Name and Address of BankDate: __________________Irrevocable letter of Credit No. ______________Beneficiary: Commodity Credit Corporation Account Party: Name of ExporterAddress of ExporterGentlemen:We hereby open our irrevocable credit in your favor for the sum or sums not to exceed a total of _______________dollars ($__________), to be made available by your request for payment at sight upon the presentation of your draft accompanied by the following statement:(Insert applicable statement)/2This Letter of Credit is valid until _____________________/3, provided, however, that this Letter of Credit will be automatically extended without amendment for _________________/4 from the present or any future expiration date thereof, unless at least thirty (30) days prior to any such expiration date the Issuing Bank provides written notice to the Commodity Credit Corporation at the U.S. Department of Agriculture, 14th and Independence Avenue, S.W., Room 4503, South Building, Stop 1035, Washington, D.C. 20250-1035, of its election not to renew this Letter of Credit for such additional ______________________/5 period. The notice required hereunder will be deemed to have been given when received by you.This letter of Credit is issued subject to the Uniform Customs and Practice for Documentary Credits, 1993 Revision, International Chamber of Commerce Publication No. 500(Name of Bank)By: _______________________________________________________________-2-INSTRUCTIONS FOR LETTER OF CREDIT ISSUED FOR DEIP BID1. Send to: Treasurer, CCCU.S. Department of Agriculture14th & Independence Avenue, S.W.Room 4503 South BuildingStop 1035Washington, DC 20250-10352. If the letter of credit is to apply to any Dairy Export Incentive Program (DEIP) Invitation: “The Commodity Credit Corporation (CCC) has a right to the amount drawn in accordance with the terms and conditions of one or more Dairy Export Incentive Program (DEIP) Agreements entered into by the exporter pursuant to 7 C.F.R. Part 1494, and the applicable DEIP Invitation(s) issued by CCC.”If the letter of credit is to apply to a single DEIP Invitation:“The Commodity Credit Corporation (CCC) has a right to the amount drawn in accordance with the terms and conditions of one or more Dairy Export incentive Program (DEIP) Agreements entered into by the exporter pursuant to 7 C.F.R. Part 1494, and DEIP Invitation No.________________.If the letter of credit is to apply to more than one specific DEIP Invitation:“The Commodity Credit Corporation (CCC) has a right to the amount drawn in accordance with the terms and conditions of one or more Dairy Export incentive Program (DEIP) Agreements entered into by the exporter pursuant to 7 C.F.R. Part 1494, and DEIP Invitation Nos.________________, ___________________, and _________________.”3. Insert the last date of the month in which the 90th day after the date of the letter of credit falls (e.g., if the date of the letter of credit is March 15, 2002, the date to be inserted would be Jun 30, 2002).4. Insert a time period of either “one (1) year” or a specific number of whole month(s) which total less than one year (e.g., “one (1) month,” “two (2) months,” etc.).5. Insert the same time period as inserted in the previous space (e.g., “one (1) year,” “one (1) month,” etc.).信用证样本2Issue of a Documentary Credit (开证行,一般为出口商的往来银行,须示开证行的信用程度决定是否需要其他银行保兑confirmation见49)BKCHCNBJA08E SESSION: 000 ISN: 000000 BANK OF CHINA LIAONING NO. 5 ZHONGSHAN SQUARE ZHONGSHAN DISTRICT DALIAN CHINADestination Bank (通知行advising bank见57A)KOEXKRSEXXX MESSAGE TYPE: 700 KOREA EXCHANGE BANK SEOUL 178.2 KA, ULCHI RO, CHUNG-KO (一般由受益人指定往来银行为通知行,如愿意通知,其须谨慎鉴别信用证表面真实性;应注意信用证文本的生效形式和内容是否完整,如需小心信用证简电或预先通知和由开证人直接寄送的信用证或信用证申请书,因其还未生效,且信用证一般通过指定通知行来通知,可参考《出口实务操作》page237)40A Type of Documentary Credit (跟单信用证类型)IRREVOCABLE (信用证性质为不可撤消。

世格系统外贸单证相关题号及答案

世格系统外贸单证相关题号及答案

信用证审核结果信用证审核结果购销合同书(供)甲方:河北省石家庄市新源食品厂合同编号:XNH0908签订时间:2009年1月11日(需)乙方:无锡龙腾食品进出口股份有限公司签订地点:无锡/石家庄经供需双方友好协商,依照《中华人民共和国经济合同法》以及其他的有关规定,经友好协商一致,同意签一、需方凭供方提供的增值税发票及相应的税收(出口货物专用)缴款书在供方工厂交货后七个工作日内付款。

如果供方未将有关票证备齐,需方扣除17%税款支付给供方,等有关票证齐全后结清余款。

二、质量要求技术标准,供方对质量负责的条件和期限:质量符合国标出口优级品,如因品质问题引起的一切损失及索赔由供方承担,质量异议以本合同产品保质期为限。

(产品保质期以商标效期为准)三、交(提)货地点、方式:工厂交货。

四、交货日期:2009年2月20日前工厂交货。

五、运输方式及到达站港和费用负担:集装箱门到门交货,费用由需方承担。

六、包装标准、包装物的供应与回收:纸箱包装符合出口标准,商标由需方无偿提供。

七、验收标准、方法及提出异议期限:需方代表按出口优级品检验内在品质及外包装,同时供方提供商检放行单或商检换证凭单。

八、违约责任:违约方支付合同金额的15%违约金。

九、解决合同纠纷的方式:按《中华人民共和国经济合同法》。

供方(盖章):河北省石家庄市新源食品厂需方(盖章):无锡龙腾食品进出口股份有限公司单位地址:石家庄市裕华路202号单位地址:无锡市长平路128号(8)R.P .LU80518 Nhava Sheva Nos.1-up(9)200mm ×2mm ×50mm transparent normal-120 rolls200mm ×2mm ×50mmtransparent normal ribbed-10 rolls200mm ×3mm ×50mm transparent normal-20 rolls300mm ×3mm ×50mm transparent normal-30 rolls300mm ×3mm ×50mmtransparent normal ribbed -20 rolls200 rolls(10) CIF Nhava Sheva USD86.00/rollUSD98.00/rollUSD92.00/rollUSD108.00/rollUSD116.00/roll(11)USD 10320.00USD 980.00USD 1840.00USD 3240.00USD 2320.00USD 18700.00(12)DETAILS OF THE SELLER’S BANK:BANK OF CHINA,SHANGHAI BRANCH,No.4 Zhongshan road, Shanghai, P .R. CHINA SWIFT CODE:BKCHCNBJ530BENEFICIARY: SHANGHAI LUCKY SAFETY SCREENS CO.,LTD. ACCOINT No.:1281 2242012 7091 015ADDRESS: UNIT C 2/F JINGMAO TOWER SHANGHAI,CHINASHANGHAI LUCKY SAFETY SCREENS CO.,LTD.张 力销售合同SALES CONTRACT卖方SELLER:DESUN TRADING CO., LTD.29TH FLOOR KINGSTAR MANSION, 623JINLIN RD.,SHANGHAI CHINA编号NO.: SHDS09027日期DATE: APR.03, 2009地点SIGNEDIN:SHANGHAI买方BUYER:NEO GENERAL TRADING CO.#362 JALAN STREET, TORONTO, CANADA买卖双方同意以下条款达成交易:This contract Is made by and agreed between the BUYER and SELLER, in accordance with the terms and conditions stipulated below.允许 With10%溢短装,由卖方决定More or less of sh ipment allowed at the sellers’ option5. 总值Total ValueSAY US DOLLARS FORTY SIX THOUSAND NINE HUNDRED AND EIGHTY ONLY .6. 包装PackingDS2201 IN CARTONS OF 2 SETS EACH AND DS1151, DS4505 AND DS5120 TO BE PACKED IN CARTONS OF 1 SET EACH ONLY . TOTAL: 1639 CARTONS.7. 唛头Shipping MarksAT BUYER'S OPTION.8. 装运期及运输方式 Time of Shipment & means of TransportationTO BE EFFECTED BEFORE THE END OF APRIL 2009 WITHPARTIAL SHIPMENT ALLOWED AND TRANSHIPMENT ALLOWED. 9. 装运港及目的地 Port of Loading & DestinationFROM: SHANGHAITO: TORONTO 10. 保险 Insurance THE SELLER SHALL COVER INSURANCE AGAINST WPA AND CLASH & BREAKAGE & WARRISKS FOR 110% OF THE TOTAL INVOICE VALUE AS PER THE RELEVANT OCEAN MARINE CARGO OF P .I.C.C. DATED 1/1/1981.11. 付款方式 Terms of PaymentBY IRREVOCABLE SIGHT LETTER OF CREDIT.12. 备注RemarksThe BuyerThe SellerNEO GENERAL TRADING CO.DESUN TRADING CO.,LTD.(signature)(signature)购货合同PURCHASE CONTRACT合同编号:Contract No.: OA090602 签订日期:Date:JUNE 2,2009签订地点:Signed at: SHENZHEN1. 买方:The Buyers: SHENZHEN OCDA FOOD CO., LTD.地址:Address: 7/F, OCDA BLDG, KEYUAN RD., SHENZHEN, CHINA电话(Tel): 86-755-2626268传真(Fax): 86-755-26262692. 卖方:The Sellers:ASTAK FOOD, INC地址:Address: 5-18 ISUKI-CHOHAKI, TOKYO, JAPAN电话(Tel): 81-465-282828 传真(Fax): 81-465-282829经买卖双方确认根据下列条款订立本合同:The undersigned Sellers and Buyers have confirmed this contract is accordance with the terms and conditions stipulated below:Total Value (in words): SAY U.S.DOLLARS THIRTEEN THOUSAND TWO HUNDRED AND SIXTY ONLY.8. 允许溢短________%。

根据合同审核信用证(1)

根据合同审核信用证(1)

根据合同审核信用证以下是受益人根据合同规定审核来证的实务操作,先看合同,然后根据合同内容审核信用证中与合同不相符的地方。

买卖合同进口国开来的信用证:ISSUING BANK: UNITED GREAT KINGDOM BANK LTD, LONDONCREDIT NUMBER: LOD88095DA TE OF ISSUE: 2008.09.01EXPIRYDATE AND PLACE: DATE 2008.10.20 PLACE U.K.APPLICANT:EASTERN TRADING COMPANY81 WORDFORD STREET,LONDONUNITED KINGDOMBENEFICIARY:SHANGHAI MAOLIN TRADE CORP.NO.97 MAOMING NAN ROADSHANGHAI P. R. OF CHINAAMOUNT: USD32040.00 (SAY U. S. DOLLARS THIRTY TWO THOUSAND AND FORTY ONL Y)THE CREDIT IS A V AILABLE WITH ANY BANK BY NEGOTIATION DRAFTS AT 30 DAYS AFTER SIGHT FOR FULL INVOICE V ALUE DRAWN ON USPARTIAL SHIPMENT: NOT ALLOWEDTRANSHIPMENT: ALLOWEDPORT OF LOADING: SHANGHAIPORT OF DISCHARGE: LONDONLATEST SHIPMENT DA TE: 2008.10.15DESCRIPTION OF GOODS: WOOLLEN BLANKETS, CIF LONDONART. NO. H666 600PCS @USD15.50/PC USD9300.00ART. NO.HX88 600PCS @USD16.30/PC USD9780.00ART. NO. HE21 720PCS @USD18.00/PC USD12960.00TOTAL: 1920PCS USD32040.00AS PER CONTRACT NO.SH2008X806DOCUMENTS REQUIRED:*SIGNED COMMERCIAL INVOICE IN TRIPLICATE*PACKING LIST IN TRIPLICATE*FULL SET OF CLEAN ON BOARD MARINE BILLS OF LADING MADE OUT TO ORDER MARKED FREIGHT PREPAID NOTIFY APPLICANT*GSP FORM A CERTIFYING THAT THE GOODS ARE OF CHINESE ORIGIN ISSUED BY COMPETENT AUTHORITIES*INSURANCE POLICY / CERTIFICATE COVERING ALL RISKS INCLUDING WAREHOUSE TO W AREHOUSE CLAUSE UP TO FINAL DESTINATION AT LONDON FOR AT LEAST 110 PCT OF CIF V ALUE AS PER INSTITUTE CARGO CLAUSE (A)*SHIPPING ADVICES MUST BE SENT TO APPLICANT WITHIN IMMEDIATEL Y AFTER SHIPMENT ADVISING THE INVOICE V ALUE, NUMBER OF PACKAGES, GROSS AND NET WEIGHT, VESSEL NAME, BILL OF LADING NO. AND DATE, CONTRACT NO. SHOWING SHIPPING MARK AS:EASTERN2008X826LONDONNO.1-80PRESENTATION PERIOD: 10 DAYS AFTER ISSUANCE DATE OF SHIPPING DOCUMENTS BUT WITHIN THE V ALIDITY OF THE CREDITCONFIRMATION: WITHOUTINSTRUCTIONS: THIS CREDIT IS SUBJECT TO UNIFORM CUSTOMS A PRACTICE FOR DOCUMENTARY CREDIT ICC NO.600.THE NEGOTIATION BANK MUST FORWARD THE DRAFTS AND ALL DOCUMENTS BY REGISTERED AIRMAIL DIRECT TO US IN TWO CONSECUTIVE LOTS. UPON RECEIPT OF THE DRAFTS AND DOCUMENTS IN ORDER, WE WILL REMIT THE PROCEEDS AS INSTRUCTED BY THE NEGOTIATING BANK.经审核,信用证存在以下问题:1.合同规定信用证有效期为装运日后15天,即2008年10月30日,而信用证为2008年10月20日;2.根据合同信用证的到期地点不应在英国,而应在中国。

外贸单证课堂练习附答案 (1)

外贸单证课堂练习附答案 (1)
accountof 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
Transshipment:Allowed
Insurance:To be effected by the seller for 110% invoice value covering All Risks and War Risk
as per CIC of PICC dated 01/01/1981
Terms of Payment:By L/C at 60 days after sight, reaching the seller before June 15, 2011, and
44F: PORT OF DISCHARGE/ AIRPORT OF DESTINATION: KUWAIT BY SEA FREIGHT
44C: LATEST DATE OF SHIPMENT: 110710
45A: DESCRIPTION OF GOODS AND / OR SERVICES: 5000PCS WIND BREAKER
remainingvalid 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

六实务操作题根据信用证及答题资料按要求完成下列各题,共30分

六实务操作题根据信用证及答题资料按要求完成下列各题,共30分

国际商务单证员习题一、单项选择题(请将正确选项的序号填入括号内。

)1.在品质条款的规定上,对某些比较难掌握其品质的工业制成品或农产品,都在合同中规定()。

A、溢短装条款B、增减价条款C、品质公差或品质机动幅度D、商品的净重2.我国甲公司要与比利时某公司签订销售合同出口服装到比,要采用海陆联运方式,甲公司将货物运至目的地的运费并支付保险,根据《INCOTERMS 2000》,应采用的贸易术语是:()A、FOBB、CIFC、EXWD、CIP3.在国际货物买卖中,()是交易磋商中必不可少的法律步骤。

A、询盘和发盘B、发盘和还盘C、发盘和接受D、询盘和接4.提单签发日期为2004年7月3日,信用证有效期规定为7月27日。

请问最迟的交单议付有效期为( )。

A.7月3 日B.7月21日C.7月24 日D.7月27日5.海运提单日期应理解为()。

A、签订运输合同的日期B、货物装船完毕的日期C、货物开始装船的日期D、货物装船过程中任何一天6.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,放在信用证项下7.假如在信用证中没有明确规定,那么保险单据中的被投保的最小投保额是()。

A、CIF或CIF价加5%B、CIF价加10%C、FOB价加15%D、FOB价加10%8.A公司向B公司出口一批货物,B公司通过C银行开给A公司一张不可撤销的即期信用证,当A公司于货物装船后持全套货运单据向银行办理议付时,B公司倒闭,C银行( )A、B公司倒闭,以此为由拒绝付款B、仍应承担付款责任C、有权推迟付款,推迟时间可由A、C双方协商D、可以付一半的货款9.根据《UCP500》规定,偿付银行()。

A、不受单,不审单,只凭开证行的授权书或L/C或副本负责偿付B、应仔细审单,如单证不符,则不予偿付C、只偿付款项D、既受单又审单,如发现不符点,应征得开证行同意后方予偿付10.在海运提单的收货人栏内有“order”字样的提单称之为( )。

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。

《国际结算》作业题参考答案一名词解释

《国际结算》作业题参考答案一名词解释

《国际结算》作业题参考答案⼀名词解释《国际结算》作业题参考答案⼀、名词解释:1、国际结算:即International Settlement,是指国际间由于经济、政治等各⽅⾯交往⽽引起的、以货币所表现的债券债务结算。

2、代理⾏:即Correspondent Banks,是指两家银⾏通过签订协议,建⽴委托代理关系,互相委办诸如国际结算、出⼝信贷、银团贷款等业务或提供服务。

这样的两家银⾏互称代理⾏。

3、控制⽂件:即control Documents,两家建⽴代理⾏关系在银⾏在互相委办业务或提供服务时所相互交换的⽤以明确关系和⽅便业务的⽂件,包括密押、印鉴、和费率表等。

4、CHIPS:即美国纽约票据交换所银⾏同业⽀付系统,有纽约清算协会于1971年成⽴,专门⽤于全球美元清算,是⼀个实时的、银⾏对银⾏交易的终局性付款系统。

⽬前全球⼤约95%的美元⽀付都是通过这⼀系统处理完成的。

5、SWIFT:即环球银⾏间⾦融电讯协会,成⽴于1973年,总部设在⽐利时的布鲁塞尔,其创建之⽬的在于创造⼀个全球共享的使⽤统⼀语⾔的数据处理和通讯⽹络体系,⼀边于所有的国际⾦融交易。

现有设在荷兰、⾹港、英国和美国的四个基地,主要向全球7000多家会员提供资⾦划拨、国际贸易⽀付、国债、证券、外汇交易等服务。

6、CHAPS:即英国伦敦票据交换所银⾏同业⽀付系统,成⽴于1984年,是银⾏间即⽇电⼦⽀付系统,与英格兰银⾏合作提供收付和清算服务,它同时是世界上最⼤的全国性清算系统之⼀,1999年1⽉起在运⾏原有英镑清算系统的同时开始运⾏欧元清算系统。

7、TARGET:即欧元⾃动拨付与清算系统,位于德国法兰克福欧洲中央银⾏总部,与1999年1⽉4⾥开始运⾏。

由15个欧盟成员国的全国实时清算系统和欧洲中央银⾏的⽀付系统组成,以提供公共平台便利各成员国之间的跨境⽀付。

8、存放国外同业:即NOSTRO,代理⾏之间建⽴的账户关系之⼀,属资产类科⽬,即借⽅记录资产的增加、负债的减少,贷⽅记录资产的减少、负债的增加。

信用证审核练习1

信用证审核练习1

拿到信用证以后该如何审核呢?可如下一步步进行。

首先是重点核查一些关键条款:1.如果拿的是复印件,或预先审核传真件的,首先检查文件是否完整。

特别注意看每页的末尾和下一页的开头是否语句衔接正常,以避免传真复印中的人为疏忽遗漏。

2.检查40A条款,确认必须有IRREVOCABLE不可撤销字样。

3.检查第59条款,受益人的名称是否正确无误。

4.检32B条款,是否金额准确。

5.检查44C和31D条款,看是否能按照要求及时装船。

6.检查45A,是否与合同一致,如果不一致,看是否能接受。

7.重点审核46A和47A。

46A是单证的种类要求,47A则补充说明单证的做法以及其他要求。

8.其他条款的审核。

可依据条款编码审核,看看是否有误。

注意银行费用的划分,公平原则分摊,信用证中的"软条款":在我国有时也称为“陷阱条款”(Pitfall Clause),是指在不可撤消的信用证加列一种条款,使出口商不能如期发货,据此条款开证申请人(买方)或开证行具有单方面随时解除付款责任的主动权,即买方完全控制整笔交易,受益人处于受制于人的地位,是否付款完全取决于买方的意愿。

常见软条款:1、暂不生效条款2、开证行免去其第一性的付款责任条款如加注:货物抵达目的港以后才付款。

3、信用证不完整如提单的通知方没有,会以信用证的修改书形式通知受益人,4、不平等条款5、以本国法律干预信用证业务的条款6、陷阱条款如在信用证中规定必须提供有开征申请人签字的检验证书。

7、国际贸易术语选择中软条款的设置。

8、信用证规定与合同不符9、前后矛盾的条款根据合同内容审核信用证,指出不符之处并提出修改意见.SALES CONTRACTTHE SELLER:SHANDONG YIHAI IMP. & EXP. CO.,LTD. NO. YH08039NO.51JINSHUIROAD,QINGDAO,CHINA DATE: DEC.I, 2008 SIGNED AT: QINGDAO,CHINATHE BUYER:LINSA PUBLICIDAD, S.A.VALENCIA, 195 BAJOS. 08011. BARCELONA, SPAINThis Sales Contract is made by and between the Sellers and Buyers,Where the sellers agree to sell and the buyers agree to buy the Under-mentioned goods according to the terms and conditions stipulated below:Price TermsCommodity&Specineafiou QuantityUnit price Amount CARDHOLDER DYED COW LEATHERBLACK BROWN 5000PCS8000PCSFOB QINGDAOUSDl.45/PCUSDl.50/PCUSD 7250.00USD12000.00USD19250.00Total amount: US.DOLLARS NINETEEN THOUSAND TWO HUNDRED AND FIFTY ONLY Packing:1PC/POLYBAG,500PCS/CTN Shipping Mark: L.P. Time of Shipment: DURING JAN.2009 BY SEA BARCELONANOS.1-26Loading Port and Destination: FROM QINGDAO TO BARCELONAPartial Shipment and Transshipment: ALLOWEDInsurance: TO BE EFFECTED BY THE BUYER.Terms of Payment: THE BUYER SHALL OPEN THROUGH A BANK ACCEPTABLE TO THE SELLER AN IRREVOCABLE SIGHT LETTER OF CREDIT TO REACH THE SELLER 30 DAYSBEFORE THE MONTH OF SHIPMENT AND TO REMAIN VALID FOR NEGOTIATION IN CHINA UNTILTHE 15TH DAY AFTER THE FORESAID TIME OF SHIPMENT.ISSUE OF DOCUMENTARY CREDIT27: SEQUENCE OF TOTAL: 1/140A: FORM OF DOC.CREDIT : IRREVOCABLE20: DOC.CREDITNUMBER : 103CD13727331C: DATE OF ISSUE : 08121540E: APPLICABLE RULES , UCP LATEST VERSION31D: DATE AND PLACE OF EXPIRY : DATE 090202 PLACE IN SPAIN51D: APPLICANT BANK: BANCO SANTANDER, S.A.28660 BOADILLA DEL BARCELONA, SPAIN50: APPLICANT: LINSA PUBLICIDAD, S.A.VALENCIA, 195 BAJOS. 08011. BARCELONA, SPAIN51: BENEFICIARY: SHANDONG YIHAN IMP. & EXP. CO., LTD.NO. 51 JINSHIII ROAD, QINGDAO, CHINA32B: AMOUNT: CURRENCY EUR AMOUNT 19250.0041A: AVAILABLE WITH...BY ANY BANK IN CHINA BY NEGOTIATION42C: DRAFTS AT... 30 DAYS AFFER SIGHT42A: DRAWEE : LINSA PUBLICIDAD, S.A43P: PARTIAL SHIPMTS... NOT ALLOWED43T: TRANSSHIPMENT: NOT ALLOWED44E:PORT OF LOADING: ANY CHINESE PORT44F:PORT OF DISCHARGE: VALENCIA, SPAIN44C: LATEST DATE OF SHIPMENT:09011545A: DESCRIPTION OF GOODSGOODS AS PER S/C NO. YH08036 DATED ON DEC. 1, 2008 CARDHOLDER DYED COW LEATHERBLACK COLOUR/8000PCS AT USDl.45/PC FOB QINGDAOBROWN COLOUR/5000PCS AT USDl.50/PC FOB QINODAOPACKING: 200PCS/CTN46A:DOCUMENTS REQUIREDI. SIGNED COMMERCIAL INVOICE IN 3 COPIES2. CERTIFICATE OF ORIGIN GSP FORM A ISSUED BY OFFICIAL AUTHORITIES3. PACKING LIST IN 3 COPIES4. INSURANCE POLICYI OR CERTIHCATE IN DUPLICATE ENDORSED IN BLANK FOR 110% INVOICE VALUE COVERING ALL RISKS AND WAR RISK AS PER CIC.71B: CHARGES: ALL CHARGES ARE TO BE BORN BY BENEFICIARY48: PERIOD FOR PRESENTATION: WITHIN 5 DAYS AFTER THE DATE OF SHIPMENT‘BUT WITHIN THE VALIDITY OF THIS CREDIT49: CONFIRMATION INSTRUCTION: WITHOUT。

信用证1

信用证1

09/04/15-13:43:46 P2XX-7963-000004 5____________________________________________________________________--------------------- Instance Type and Transmission --------------Original received from SWIFTPriority : NormalMessage Output Reference : 1343 150409CMBCCNBSAXXX7645303099Correspondent Input Reference : 1443 150409DAEBKR22AXXX7593095197 --------------------------- Message Header -------------------------Swift Output : FIN 700 Issue of a Documentary CreditSender : DAEBKR22XXXDAEGU BANK, LTD.,THEDAEGU KRReceiver : CMBCCNBSXXXCHINA MERCHANTS BANK(HEAD OFFICE)SHENZHEN CNMUR : 150409OIPS00002--------------------------- Message Text ---------------------------27: Sequence of Total电文页次1/140A: Form of Documentary CreditIRREVOCABLE20: Documentary Credit NumberM31S9504NS0004831C: Date of Issue开证日期15040940E: Applicable RulesUCP LATEST VERSION31D: Date and Place of Expiry信用证有效期和有效地150529 AT NEGOTIATING BANK50: ApplicantKUMOH EMS CO.,LTD.DAEGU CITY. KOREA922-2 WORAM-DONG, DALSEO-GUDAEGU, KOREA59: Beneficiary - Name & AddressHK RD TRADING CO., LIMITED19/F CHINA MERCHANTS BANK TOWER NO.7088 SHENNAN BOULEV ARD SHENZHENP.R. CHINA32B: Currency Code, Amount币种和金额Currency : USD (US DOLLAR)Amount : #99000,#41D: Available With...By... - Name&Addr议付行ANY BANKBY NEGOTIATION自由议付42C: Drafts at...AT SIGHT42A: Drawee - FI BIC付款人DAEBKR22XXXDAEGU BANK, LTD.,THEDAEGU KR43P: Partial ShipmentsPROHIBITED43T: TransshipmentPROHIBITED44E: Port of Loading/Airport of Dep.CHINA TIANJIN PORT44F: Port of Dischrge/Airport of DestSOUTH KOREA BUSAN PORT44C: Latest Date of Shipment15041545A: Descriptn of Goods &/or ServicesHS CODE: 8104190001. AZ91D INGOT 7.5KG +/-0.5KGQUANTITY : 40MT09/04/15-13:43:46 P2XX-7963-000004 6____________________________________________________________________ PRICE: USD2,475/MTAMOUNT:USD99,000.00CIF BUSANORIGIN:CHINA46A: Documents Required1. SIGNED COMMERCIAL INVOICE IN 3 FOLD(S)2. PACKING LIST IN 3 FOLD(S)3. FULL SET OF CLEAN ON BOARD OCEAN BILLS OF LADING MADE OUT TO全套清洁已装船海运提单,以,,,为抬头,标注运费预付和THE ORDER OF DAEGU BANK, LTD. MARKED 'FREIGHT PREPAID' ANDNOTIFY THE APPLICANT(此信用证被通知人与申请人一致)被通知人为申请人4. INSURANCE POLICY OR CERTIFICATE IN DUPLICATE 双份FOR110 PCT OF INVOICE V ALUE MADE OUT 被保险人TO ORDER OFDAEGU BANK, LTD. INDICATING A CLAIM SETTLING AGENTIN SOUTH KOREA 赔付地COVERING INSTITUTE CARGO CLAUSE (A) 47A: Additional Conditions1. A FEE OF USD 80 IS TO BE DEDUCTED FROM EACHDRAWING每一次交单FOR THE ACCOUNT OF BENEFICIARY. IF DOCUMENTS AREPRESENTED WITH DISCREPANCY(IES).2. IN ADDITION, IF ANY, WE WILL DEDUCT OUR REMITTANCE CHARGE汇款费用EQUIV ALENT OF USD 80 FOR EACH REMITTANCE.IT SHALL BE FOR ACCOUNT OF BENEFICIARY.3. ADD TO FIELD 59A/C NO.:OSA7559199210321014. IN THE EVENT THAT DOCUMENTS PRESENTED UNDER THIS CREDIT AREDETERMINED TO BE DISCREPANT, 信用证下所提交的单据一旦出现不符,我们可以放弃它,WE MAY SEEK A WAIVER OF SUCHDISCREPANCY(IES) FROM THE APPLICANT AT OUR SOLE DISCRETION.UNLESS PRIOR CONTRA RY INSTRUCTIONS HAVE BEEN RECEIVED FROM THEPRESENTER, WE MAY RELEASE DOCUMENTS TO THE APPLICANT WITHOUTFURTHER NOTICE TO YOU UPON THEIR WAIVER OF DISCREPANCIES.IN SUCH EVENT, THE PRESENTER AND/OR BENEFICIARY SHALL HA VE NO如果信用证中存在不符,在接到申请人接受不符点通知的情况下,银行可以考虑放弃扣款,并交给申请人,之前不会给予任何通知CLAIM AGAINST US.5. ALL DOCUMENTS MUST BEAR OUR CREDIT NUMBER.6. ALL DOCUMENTS MUST BE ISSUED IN ENGLISH UNLESS OTHERWISESTIPULATED.71B: Charges+ALL BANKING COMMISSIONS AND1118-4018-6583-4956-2486-7805CHARGES OUTSIDE SOUTH KOREA ANDREIMBURSEMENT COMMISSIONS AREFOR ACCOUNT OF BENEFICIARY在韩国以外产生的费用由受益人承担48: Period for Presentation+DOCUMENTS MUST BE PRESENTED FORNEGOTIATION WITHIN 21 DAYS AFTERDATE OF SHIPMENT BUT WITHIN CREDIT(一般15天)V ALIDITY49: Confirmation InstructionsWITHOUT78: Instr to Payg/Accptg/Negotg Bank1. THE AMOUNT OF EACH NEGOTIATION/DRAWING MUST BE ENDORSED ONTHE REVERSE OF THIS CREDIT AND NEGOTIATING/PRESENTING BANKMUST CERTIFY THE SAME ON THE COVERING SCHEDULE.2. ALL DOCUMENTS MUST BE MAILED TO DAEGU BANK, LTD.INTERNATIONAL BUSINESS DEPT 14FL,118, SUSEONG-2-GA, SUSEONG-GU,DAEGU, 706-712 SOUTH KOREAIN ONE LOT BY COURIER MAIL.3. UPON RECEIPT OF THE DRAFT AND DOCUMENTS COMPLIED WITHTHE TERMS AND CONDITIONS OF THIS CREDIT, WE SHALL REMITTHE PROCEEDS ACCORDING TO THE NEGOTIATING BANK'SINSTRUCTION.--------------------------- Message Trailer ------------------------{CHK:1BA23EDB235E}PKI Signature: MAC-Equivalent。

国际商务单证操作实务试题信用证练习题 (1)

国际商务单证操作实务试题信用证练习题 (1)

信用证练习题一、单选题:1、所谓“信用证严格相符”的原则,是指受益人必须做到()。

A.信用证和合同相符B.信用证和货物相符C.信用证和单据相符2、信用证的基础是买卖合同,当信用证与买卖合同规定不一致时,受益人应要求()。

A.开证行修改B.开证申请人修改C.通知行修改3、在信用证业务中,银行的责任是:()A、只看单据,不看货物B、既看单据,又看货物C、只管货物,不看单据4、信用证上如未明确付款人,则制作汇票时,受票人应为()A.开始申请人B.开证银行C.议付行D.任何人5、根据国际商会《跟单信用统一惯例》的规定,如果信用上未注明“不可撤消”的字样,该信用证应视为:A.可撤消信用证B.不可撤消信用证C.远期信用证D.由受益人决定可撤消或不可撤消6、在合同规定的有效期,()负有开立信用证的义务。

A. 卖方B. 买方C.开证行D.议付行7、在交易金额较大,对开证行的资信有不了解时,为保证货款的及时收回,买方最好选择()A.可撤销信用证B.远期信用证C.承兑交单D.保兑信用证8、关于信用证的有效期,除特殊规定外,银行将拒绝接受迟于运输单据出单日期()天后提交的单据。

A.20B.30C.25D.219、按照《跟单信用证统一惯例》的解释,在信用证中如未注明是可以撤销,则该证为:A.可撤销信用证B.不可撤销信用证C.由双方协商决定10、某外贸公司的工作人员因为在审证过程中粗心大意,未能发现合同发票上的公司名称与公司印章的名称不一致,合同发票上的是ABC Corporation ,而印章上则是ABC,仅一词之差,此时又恰逢国际市场价格有变,在这种情况下: ()A. 外商有权拒绝付款B.责任在外商C.外商应按规定如期付款不符”拒付。

11、海运提单的签发日期是( )A.货物开始装船的日期;B.货物装船完毕的日期;C.船只到达装运港的日期;D.船只离开装运港的日期12、采用信用证与托收相结合的支付方式时,全套货运单据应()A.随托收部分汇票项下B.随信用证的汇票项下C.直接寄往进口商D.留在卖方13、在下列有关可转让信用证的说明中,错误的说法是()A.该证的第一受益人可将信用证转让给一个或一个以上的人使用B.该证的第二受益人不得再次转让C.该证转让后由第二受益人对合同履行负责D.可以分成若干部分分别转让14、保兑信用证的保兑行其付款责任是()A、在开证行不履行付款义务时履行付款义务B.在开证申请人不履行付款义务时履行付款义C.承担第一性付款义务D.付款后对受益人具有追索权15、买卖双方以D/P.T/R条件签订合同,货到目的港后,买方凭T/R向代收行借单提货,事后收不回货款()A.代收行应负责向卖方偿付B.由卖方自行负担货款损失C.由卖方与代收行协商共同负担损失D.由买方自行负担货款损失16、在一笔出口业务中,付款方式采用信用证和D/P即划各半,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.开两张汇票,信用证项下和托收项均采用光票17、信用证上如未明确付款人,则制作汇票时,受票人应为:A.开始申请人B.开证银行C.议付行D.任何人18、信用证付款方式下,银行付款的原则是出口商提交的单据:A.与买卖合同的规定相符B.与信用证的规定相符C.与信用证规定和买卖合同的规定同时相符D.与合同规定或信用证的规定相符19、采用信用证与托收相结合的支付方式时,全套货运单据应:A.随附托收项下收款B.随附信用证项下收款C.直接寄往入口商D.留在卖方20、在下列有关可转让信用证的说明中,错误的说法是:A.该证的第一受益人可将信用证转让给一个或一个以上的人使用B.该证的第二受益人不得再次转让C.该证转让后由第二受益人对合同履行负责D.可以分成若干部分分别转让二、多项选择题21、根据《UCP 600》的规定,信用证单据审核的原则有:A.银行只负责审核单据表面上的一致性B.银行对任何单据的形式、完整性、正确性、真实性、伪造或法律效力、或单据上规定的或附加的一般及特别条款,不负任何责任C.在任何情况下,银行都不能接受日期早于信用证开证日期的单据D.银行对于单据所代表的货物的描述、数目、重量、品质、状况、包装、交货、价格或存在等不负任何责任E.银行应审核单据,保证单据与合同规定相符22、信用证保兑行的付款是:A.有追索权的B.无追索权的C.终局性的D.非终局性的E.开证行具有第一性的付款责任,保兑行具有第二性的付款责任23、根据《跟单信用证同一惯例》,下列选项哪些是正确的:A. 银行只对单据表面真实性作形式上的审查,对单据的真实性、有效性不作实质性审查B. 银行对单据中货物的描述、价值及存在情况负责C.银行对买卖双方的履约情况概不负责D.信用证开出后,对于买卖合同的内容的变更、修改或撤销,除非通知银行,否则银行概不负责E.信用证是独立于合同之外的文件,信用证条款与买卖合同内容不符时,受益人无权提出异议24、在信用证业务的有关当事人之间,一定存在契约关系的有:A.开证申请人与开证行B.开证申请人与受益人C.开证行与受益人D.开证申请人与通知行E.开证行与议付行25、下列说法正确的是:A.根据《UCP 600》规定,信用证如未规定有效期,则该证可视为无效B.国外开来信用证规定货物数量为3000箱,6/7/8月,每月均匀装运。

制全套单据 (1)

制全套单据 (1)
STANDARD CHARTERED BANK, LONDON NOT ALLOWED
ALLOWED
44E: Port of loading 44F: Port of discharge 44C: Latest Date of Ship 45A: Descript of Goods 46A:Documents required
PACKING LIST
To:
CHINA NATIONAL METALS AND Invoice No.: CNM-100310
MINERALS EXP﹠IMP
答案:
CHINA NATIONAL METALS AND MINERALS EXP﹠IMP CORP.,JIANGSU BRANCH.
201 ZHUJIANG ROAD , JIANGSU, CHINA
COMMERCIAL INVOICE
ቤተ መጻሕፍቲ ባይዱ
To:
PETRICO INTERNATIONAL TRADING Invoice CNM-100310
Amount
P.M.T. TORONTO NO.1-16
ART NO. 425 ART NO. 424-2
312.56
SQM. 312.56 SQM.
CIF TORONTO
USD24.00 USD24.00
USD7501.44 USD7501.44
OTAL:
6T25.12 SQM
USD15002.88
59:BENEFICIARY
32B:CURRENCY CODE,AMOUNT 41D:AVAILABLE WITH BY 42C:DRAFT AT
42A:DRAWEE 43P: Partial Shipments 43T: Transshipment

信用证案例分析含答案

信用证案例分析含答案

二十三、信用证开证行的付款责任一、我某公司向外国某商进口一批钢材,货物分两批装运,支付方式为不可撤销即期信用证,每批分别,由中国银行开立一份信用证。

第一批货物装运后,卖方在有效期内向银行交单议付,议付行审单后该行议付货款,中国银行也对议付行作了偿付。

我方在收到第一批货物后,发现货物品质不符合合同规定,要求开证行对第二份信用证项下的单据拒绝付款,但遭到开证行拒绝。

问:开证行拒绝是否有道理?答:1、开证行拒绝是有道理的。

2、分析提要:在本案中,开证行是按信用证支付原则,还是按买方要求,这是本案分析的焦点,根据“单单相符,单证一致”的信用证支付原则,开证行依信用证规定的支付原则行事是合法、合理的,这也是分析本案开证行拒绝买方要求的关键。

3、理由:本案货物买卖的支付方式为不可撤销即期信用证。

根据《跟单信用证统一惯例》规定,信用证一经开出,在有效期内不经受益人或有关当事人同意,开证行不得单方加以修改或撤销信用证,即银行见票即付。

因为信用证开出以后就成了独立于买卖合同的另一个交易关系,银行只对信用证负责,只要卖方提交符合信用证规定的单据,在单单一致,单证一致的条件下,银行承担无条件付款的义务。

为此,开证行拒绝我某公司提出对第二份信用证项下的交易所拒绝付款的要求是合法、合理的,因为开证行只依信用证,而不看重双方买卖合同的规定。

二、上海A出口公司与香港B公司签订一份买卖合同,成交商品价值为418816美元。

A公司向B公司卖断此批产品。

合同规定:商品均以三夹板箱盛放,每箱净重10公斤,两箱一捆,外套麻包。

香港B公司如期通过中国银行香港分行开出不可撤销跟单信用证,信用证中的包装条款为:商品均以三夹板箱盛放,每箱净重10公斤,两箱一捆。

对于合同与信用证关于包装的不同规定,A公司保证安全收汇,严格按照信用证规定的条款办理,只装箱打捆,没有外套麻包。

“锦江”轮将该批货物5000捆运抵香港。

A公司持全套单据交中国银行上海银行办理收汇,该行对单据审核后未提出任何异议,因信用证付款期限为提单签发后60天,不做押汇,中国银行上海分行将全套单据寄交开证行,开证行也未提出任何不同意见。

7-信用证基本内容解读及审核要点课后测试答案

7-信用证基本内容解读及审核要点课后测试答案

7-信用证基本内容解读及审核要点单选题•1、信用证的特别条款不包括()。

(12.5 分)✔A汇率条款✔B软条款✔C电索条款✔D硬条款正确答案:D多选题•1、信用证格式项目主要包括了信用证的()。

(12.5 分)A形式B号码C当事人的名称和地址D信用证金额与币种正确答案:A B C D•2、常见的信用证的支付方式包括()。

(12.5 分)A即期付款B延期付款C承兑D议付正确答案:A B C D•3、在商品运输条款方面,需要重点关注的项目是()。

(12.5 分)A港口名称B是否转运C最迟装运日D唛头正确答案:A B C•4、信用证中,最重要的几项单据包括()。

(12.5 分)A商业发票B运输单据C保险单据D港口名称正确答案:A B C判断题•1、一切信用证应该是不可撤销的,即使对此未作出指示也是如此。

( )(12.5 分)✔A正确✔B错误正确答案:正确•2、装运日是指货物装运完毕的截止日期,而非开始装运的日期。

()(12.5 分)✔A正确✔B错误正确答案:正确•3、运输单据中最常用及最重要的单据是海运提单。

()(12.5分)✔A正确✔B错误正确答案:正确。

信用证解读(1)

信用证解读(1)

FROM: BANK OF SINGAPORE.SINGAPORETO: BANK OF CHINA QINGDAOSEQUENCE OF TOTAL: 27: 1/1FORM OF DOC.CREDIT: 40A: IRREVOCABLEDOCU CREDIT NO.: 20: 136107DATE OF ISSUE: 31C: 050427DATE & PLACE OF EXP: 31D: 050610 I N BENEFICIARY'S COUNTRY APPLICANT: 50: ABC COMPANY. SINGORPORE BENEFICIARY: 59: CHINA EXPORT BASESDEVELOPMENT CORPORATIONQINGDAO SHANDONG. CHINA CURRENCY CODE,AMOUNT:32: USD242 250.00AVAILABLE WITH…BY…THE ADVISING BANK BY NEGOTIATIONDRAFTS AT…42C: SIGHTDRAWEE: 42D: BANK OF SINGAPORE. NEW YORK PARTIAL SHIPMENT: 43P: NOT ALLOWED TRANSSHIPMENT: 43T: NOT ALLOWEDLOAD/DISPATCH/TAKING: 44A: QINGDAO.CHINA TRANSPORTATION TO…44B: SINGAPORELATEST SHIPMET DATE: 44C: 050531DESCRIP GOODS/SERVICE:45A:30MT FROZEN PORK LOIN PACKED IN 25KG/CTN. PRICE AT USD50 PER MT; 30MT FROZEN PORK RIB. PACKED IN 25KG/CTN. PRICE AT USD30 PER MT; 30MT FROZEN PORK LEG , PACKED IN 25KG/CTN. PRICE AT USD60 PER MTCIF SINGAPOREDOCUMENTS REQUIRED: 46A:IN 3 FOLD UNLESS OTHERWISE STIPULATED:1. SIGNED COMMERCIAL INVOICE2. SIGNED PACKNG LIST3. CERTIFICATE OF CHINESE ORIGIN4. * COPY OF TELEX FROM APPLICANT TO SUPPLIERS APPROVING THE SHIPPING SAMPLE.5. INSURANCE POLICY OR CERTIFICATE ENDORSED IN BLANK FOR 110 PCT OF CIF VALUE.COVERING WAR RISK AND ALL RISKS.6. HEALTH CERTIFICATE IN ONE COPY.7. FULL SET PLUS ONE COPY OF CLEAN ON BOARD OCEAN BILLS OF LADING MADE OUT TO ORDER MARKED “FREIGHT PREPAID” AND NOTIFY APPLICA NT. ADDITIONAL CONDITION:47A:PLEASE CONTACT BENEFICIARY OF THE ISSUANCE OF THE L/C UPON RECEIPT OF THIS SWIFT.1. *THIS CREDIT WILL BECOME EFFECTIVE PROVIDED THAT YOU RECEIVE AUTHORIZATION FROM OUR BANK IN THE FORM OF LC AMENDMENT.2. THE NUMBER AND DATE OF THIS CREDIT AND THE NAME OF ISSUING BANK MUST BE QUOTED ON ALL DRAFTS. PLEASE SEND THE DRAFTS TO BANK OF SINGAPORE. NEW YOUK FOR REIMBURSEMENT AND SEND ALL THE OTHER DOCUMENTS TO US.3. *A FEE OF USD40(OR ITS EQUIVALENT)SHALL BE DEDUCTED FROM THE REIMBURSEMENT CLAIM/FROCEEDS UPON EACH PRESENTATION OF DISCRPANT DOCUMENTS EVEN IF THE CREDIT INDICATHE THAT ALL BANKING CHARGES ARE FOR ACCOUNT OF APPLICANT AND ACCEPTANCE OF SUCH DOCUMENTS DOES NOT IN ANY WAY ALTER THE TERMS AND CONDITIONS OFTHIS CREDIT.4. DOCUMENTS TO BE PRESENTED WITHIN 15 DAYS AFTER THE DATE OF ISSUANCE OF THE SHIPPING DOCUMENTS BUT WITHIN THE VALIDITY OF THE CREDIT.5. 5PERCENT MORE OR LESS IN AMOUNT AND QUANTITY ACCEPTABLE. CHARGES: 71B: ALL BANKING CHARGES INCLUDING REIMBURSEMENT CHARGES OUTSIDE SINGAPORE ARE FOR ACCOUNT OF BENEFICIARY CONFIRMATION INSTR:49: WITHOUTIT IS SUBJECT TO THE UNIFORM CUSTOMS AND PRACTICE FOR DOCUMENTARY CREDITS(1993 REVISION), INTERNATIONAL CHAMBER OF COMMERCE PUBLICATION NO.500.根据上述信用证内容,回答下列问题:1. 本信用证的种类为(至少四种)___IRREVOCABLE、NEGOTIATION、SIGHT、DOCUMENTARY、UNCONFIRMED L/C____________________。

阅读下列信用证,填写附录1里的电开信用证分析单一

阅读下列信用证,填写附录1里的电开信用证分析单一

阅读下列信用证,填写附录1里的电开信用证分析单一篇一《信用证那点儿事儿》嘿,今天可真是一头扎进信用证的世界啦。

要说这信用证啊,那感觉就像是金融界的一场神秘游戏,规则还挺复杂嘞。

就拿我手头这份信用证来说吧,那密密麻麻的条款,让人看得脑袋都快大了。

我还记得,当时我刚拿到这份信用证的时候,那心情,就跟面对一堆乱麻似的,完全不知道从哪儿下手。

我小心翼翼地把它放在桌子上,然后深吸一口气,开始了这场“解谜之旅”。

我先仔仔细细地看那信用证的开证行信息。

哎呀妈呀,这开证行的名字还挺长的,我得一个字母一个字母地确认,生怕看错了一个,那可就闹大笑话了。

想象一下,如果因为一个小字母的疏忽,导致后面的工作全乱套,那不得把自己给气得跳脚啊。

我还特意查了查这个开证行的信誉,好在口碑还不错,心里的大石头这才稍微落了地。

再看那受益人条款,这可关系到谁能拿到钱的大事儿。

我对照着我们公司的信息,一条一条地核对,就怕哪个地方没对上,钱就飞了。

这过程啊,就像是给两个拼图块找合适的位置,得小心翼翼地比对。

有一条条款刚开始我怎么看都觉得不太对劲,急得我直挠头。

后来仔细一看,原来是一个数字抄错了一个小数点,这可把我吓得一身冷汗,赶紧改过来。

然后就是各种货物描述和运输条款啦。

这货物描述得那叫一个详细,从尺寸到颜色,从质量标准到包装要求,简直比买菜还讲究。

我一边看一边想象着这些货物在集装箱里整整齐齐摆放的样子,心里还琢磨着,这运输过程中可千万别出啥岔子,不然又得折腾半天。

等把信用证从头到尾看了好几遍,确定没什么大问题了,我这才开始动手填写附录1里的电开信用证分析单。

填的时候也是提心吊胆的,每填一项都要再回头确认一下信用证上的内容,生怕哪个地方填错了又得返工。

哎,这和信用证打交道的过程啊,真是有苦有乐,但等最后把分析单填完,那成就感还是杠杠的。

篇二《填分析单的那些小插曲》接着说说填这分析单的过程吧,这可真是个考验耐心的活儿。

我拿起笔,准备在分析单上大干一场。

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题目要求和说明
销售合同
SALES CONTRACT
卖方
SELLER: DESUN TRADING CO.,LTD.
29TH FLOOR KINGSTAR MANSION, 623JINLIN RD., SHANGHAI CHINA
编号NO.: SHDS03027 日期DATE:
APR.03, 2001 地点SIGNED IN: SHANGHAI
买方 BUYER:
NEO GENERAL TRADING CO.
#362 JALAN STREET , TORONTO, CANADA
买卖双方同意以下条款达成交易:
This contract Is made by and agreed between the BUYER and SELLER , in accordance with the terms and conditions stipulated below.
允许 With
10%
溢短装,由卖方决定
More or less of shipment allowed at the sellers’ option
5. 总值
Total Value
SAY US DOLLARS FORTY SIX THOUSAND NINE HUNDRED AND EIGHTY ONLY .
6. 包装
Packing DS2201 IN CARTONS OF 2 SETS EACH AND DS1151, DS4505 AND DS5120 TO BE PACKED IN CARTONS OF 1 SET EACH ONLY . TOTAL: 1639 CARTONS.
7. 唛头
Shipping Marks
AT BUYER'S OPTION.
8. 装运期及运输方式
Time of Shipment & means of Transportation TO BE EFFECTED BEFORE THE END OF APRIL 2001 WITH PARTIAL SHIPMENT ALLOWED AND TRANSHIPMENT ALLOWED.
9. 装运港及目的地
Port of Loading & Destination FROM: SHANGHAI TO: TORONTO
10. 保险
Insurance THE SELLER SHALL COVER INSURANCE AGAINST WPA AND CLASH & BREAKAGE & WAR RISKS FOR 110% OF THE TOTAL INVOICE VALUE AS PER THE RELEVANT OCEAN MARINE CARGO OF P.I.C.C. DATED 1/1/1981.
11. 付款方式
Terms of Payment THE BUYER SHALL OPEN THOUGH A BANK ACCEPTABLE TO THE BEFORE APRIL 10, 2001 VALID FOR NEGOTIATION IN CHINA UNTIL THE 15TH DAY AFTER THE DATE OF SHIPMEDNT.
12. 备注
Remarks
The Buyer The Seller NEO GENERAL TRADING CO. DESUN TRADING CO.,LTD.
(signature) (signature)
THE ROYAL BANK OF CANADA
BRITISH COLUMBIA INTERNATION CENTRE
1055 WEST GEORGIA STREET, VANCOUVER, B.C. V6E 3P3
CANADA
□CONFIRMATION OF TELEX/CABLE PER-ADVISED
DATE: APR 8, 2001。

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