外贸制单练习一

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一、根据以下信用证回答问题(共20分,10小题,每小题2分)
sue of documentary credit
Issuing bank:METITA BANK LTD., FINLAND
Doc. Credit. No :IRREVOCABLE
Credit. Number:LRT9802457
Date of issue:050428
Expirty:date 050616 PLACE FINLAND
Applicant:F. T. C. CO.
AKEKSANTERINKAUTO P.O. BOX 9,FINLAND
Beneficiary:GREAT W ALL TRADING CO.,LTD.
RM201, HUASHENG BUILDING, NINGBO, P.R CHINA
Amount:USD19090.00
Available with/by:ANY BANK IN ADVISING COUNTRY BY NEGOTIATION
Draft at…: DRAFTS AT SIGHT FOR 100% INVOICE V ALUE
Partial shipments: NOT ALLOWED
Transhipments: ALLOWED
Loading in charge:NINGBO
For transport to: HESINKI
Shipment period: AT THE LATEST MAY 30,2005
Descrip.of goods:
P.P INJECTION CASES ZL0322+BC05 230ETS @USD42.00/SET USD9660.00
P.P INJECTION CASES ZL0319+BC01 230ETS @USD41.00/SET USD9430.00
AS PER SALES CONTRACT GW2006M06 DA TED APR.22,2005
CIF HESINKI
Documents required:
↑SIGNED COMMERCIAL INVOCIE 1 ORIGINAL AND 5 COPIES
↑PACKING LIST IN 2 COPIES
↑FULL SET OF CLEAN ON BOARDMARINE BILLS OF LADING, MADE OUT TO ORDER,MARKE “FREIGHT PREPAID” AND NOTIFY APPLICANT (AS INDICATE ABOVE)
↑CERTIFICATE OF ORIGIN FROM A IN 2 COPIES
↑INSURANCE POLICY/CERTIFICATE COVERING ALL RISKS AND WAR RISKS OF PICC UP TO FINAL DESTINATION AT HELSINKI, FOR AT LATEST 110PCT OF CIF VALUE.
↑SHIPPING ADVICES MUST BE SENT TO APPLICANT WITH 2 DAYS AFTER SHIPMENT ADVISING NUMBER OF PACKAGES,GROSS&NET WEIGHT, VESSEL NAME, BILL OF LANDING NO.AND DATE, CONTRACE NO., VALUE.
Additional Insruction:47A
1.BOTH QUANTITY AND AMOUNT 10PERCENT MORE OR LESS ARE ALLOWED.
2.ALL DOCUMENT MUST INDICATE THIS CREDIT NUMBER
Chiarges 71B ALL BANKING CHARGES OUTSIDE THE OPENNINGBANK ARE FOR BENEFICIARY’S ACCOUNT.
Confirmation:WITHOUT
INSTRUCTIONS:THE NEGOTIATION BANK MUST FORW ARD THE DRAFTS AND ALL DOCUMENTS BY REGISTEREDAIRMAIL DIRECT TO US IN TWO CONSECUTIVE LOTS, UPON RECEIPT OF THE DRAFTS AND CUMENTS IN ORDER, WE WILL REMIT THE
PROCEEDS AS INSTRUCTED BY THE NEGOTIATING BANK.
1、该信用证受益人是谁?
2、该信用证开证申请人是谁?
3、该信用证的有效期和到期地点如何规定?
4、该信用证的装运港和目的港如何规定?
5、该信用证的最晚装运期如何规定?
6、该信用证是否可以撤销?是否保兑?
7、该信用证是远期还是即期?
8、该信用证交单期如何理解?
9、该信用证最大金额为多少?
10、该信用证是否允许转运和分批装运?
二、根据上述信用证及以下补充资料制作发票、装箱单、普惠制产地证和汇票(共60分,每张单据15分)
补充资料:
1.发票号码:GW2005M06-2
2.发票日期:2005年5月22日
3.装运期:2005年5月29日
4.唛头:ROYAL
05AR225031
JEDDAH
C/N:1-UP
5.箱号货号包装件数毛重(KGS)净重(KGS)体积1-230 ZL0322+BC05 CTNS 230SETS 18.5/CTN 1
6.5/CTN 34M3 230-460ZL0319+BC01 CTNS 230SETS 8.5/CTN 16.5/CTN 34M3
6.包装:每套/纸箱
7.船名/航次:YANGFNA V.009W
8.提单号:CSC020867
9.集装箱号/封号:CBHU0611758/25783 CY/CY
CBHU0611757/25781 CY/CY
10.保险索赔代理:HUDIG&SON B.V.
11.议付行:BANK OF CHINA, NINGBO BRANCH
12法人代表:李丽华单证员:程晨
13注磷注射液商品编码(2809201100)
该货物是完全原产

Drawn under
信用证
L/C No.
日期
Dated 支取
Payable with interest @ % 按息付款
号码汇票金额
No. Exchange for China
见票日后(本汇票之正本未付)付交金额
At Sight of this SECOND of Exchange (First of Exchange Being unpaid ) pay to the order of the sum of
此致:
To:
COMMERCIAL INVOICE
Original
To: Date:
Invoice No:
Contract No:
From to Letter of Credit No. Issued by
PACKING LIST
Original
To: Date:
Invoice No:
Contract No: From to Letter of Credit No.
Issued by
中国人民保险公司
THE PEOPLE’S INSURANCE COMPANY CHINA
保险单
INSURANCE POLICY
中华人民保险公司(以下简称本公司)THIS POLICYBOF INSURANCE WITNESSES THAT PEOPLE OF CHINA (HEREIN AFTER CALLED”THE COMPANY “)
根据______________________________________________
(以下简称被保险人)的要求,由被保险人向本公司交付约(HEREINAFTER CALLED”THE INSURED”AND IN CONSIDERATION OF THE AGREED PREMIUMPAIDTO THE
定的保险费,按照本保险单承保险别和背面所载条款与下列COMPANY BY THE INSURED UNDERTAKES TO INSURE THE UNDEMENTIONED GOODS IN TRANSPORTATION
特款承保下述货物运输保险,特立本保险单。

CONDITION OF THIS POLICY AS PER CLAUSES PRINTED OVERLEAF AOTHER SPECIAL ATTACHED HEREON
保险金额:
TOTAL AMOUNT INSURED ________________________________________________
保费:PREMIUM_______________ 费率RA TE_______________
装载运输工具PER CONVEYANCES.S.________________________
开航日期SLG. IN OR ABT._____________________________
自FROM__________________ 至TO_______________
承保险别:CONDITIONS:
中国人民保险公司上海分公司
THE PEOPLE’S INSURANCE SHANGHAI BRANCH 赔偿地点:CLAIM PAY ABLE AT/IN_________________________
日期DATE____________________
地址:中国上海中山东一路23号TEL:32340532 Authorized Signature TELEX:33128 PICCS SN.。

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