涉外合同中英翻译范文

涉外合同中英翻译范文

篇一:涉外英文合同

涉外英文合同:covenants hereunder

时间:20090510 来源:作者:

以”here”开头,后面再加上一个介系词的传统用字,在英文合约里经常可以看到,大概包括”hereunder”、”hereto”、”hereby”、”hereof”、”herein”等等这几个字。依照作者的看法,这是比较容易处理的一类,因为只要读者记住一个简单的原则:「”here”+介系词 = 介系词+”this agreement”」,就几乎可以解读所有的第一类用语了。以下来详细看看这个原则的运用情形。(注意:”hereinafter”在定义条款中用来表示「以下简称...」的意思,虽然也用”here”为前缀,但与这里所说的传统用语无关。

”hereunder” = “under this agreement”

”hereunder”用”under this agreement”代替后,就很清楚地可以了解是「在本合约内」、「依据本合约」的意思。常和这个字结合的概念有如下几个例子:

obligations hereunder ,解读后等于: obligations under this agreement 本合约内的义务

rights granted hereunder ,解读后等于: rights

granted under this agreement依本合约所赋予的权利。

payment due hereunder ,解读后等于: payment due under this agreement依本合约应付的价款。notice required to be given hereunder,解读后等于: notice required to be given under this agreement依本合约所应给予的通知。

payment amount “due ”,“due ”是「债务到期」的意思。 notice

”hereto” = “to this agreement”,因为英文文法里对介系词”to”有某些一定的用法(例如动词”attach”后面接受词时,就要用介系词”to”),所以这个字最常出现在英文合约里的状况,就是和「当事人」以及「附件」两个概念相结合:

both parties hereto,解读后等于: both parties to this agreement本合约之当事人双方。

items specified in Attachment I hereto,解读后等于: items specified in Attachment I to this agreement 本合约之附件I所列之各项。

”hereby” = “by this agreement”,”hereby”中文大概可以说是「在此」、「依此」的意思,表示当事人借着这个合约,要宣示某种具有法律上效力的「意思表示」,例如保证、同意、放弃权利等等。

The Company hereby covenants and warrants and that...解读后等于:By this agreement the Company covenants and warrants that...公司在此保证... 。

Both parties hereby agree that...解读后等于: By this agreement both parties agree that...双方当事人在此同意... 。

The Seller hereby waives the right of...解读后等于:By this agreement the Seller waives the right of...卖方在此放弃...的权利。

covenants and warrants「保证条款与承诺条款」。

”hereof” = “of this agreement”; “herein” = “in this agreement”。”hereof”和”herein”与前面介绍过的”hereunder”、”hereto”以及”hereby”比较起来,可能的用法与场合较广泛,所连接的概念也比较没有固定性,同时在很多情况下”hereof”和”herein”相互代换使用,意思上并不会有很大的差别。由于”of”和”in”是比较普通易懂的介系词,只要读者继续掌握前面一贯的原则,应该不会有什幺理解上的困难。

to file a suit in the court agreed to herein,解读后等于: to file a suit in the court agreed to in this agreement向当事人于本合约中合意管辖的法院提起诉讼。

to follow the terms and conditions herein,解读

后等于: to follow the terms and conditions in this agreement遵守本合约所规定的条件。

to take effect on the date hereof,解读后等于: to take effect on the date of this agreement于本合约之日期生效。

the headings of the sections hereof ,解读后等于:the headings of the sections of this agreement本合约各条款之标题。

the court agreed to「杂项条款」中的「合意管辖」条款。

terms and conditions「交易条件」。

”thereof, thereto...”与”the same”,以”there”为前缀再加上介系词,例如”thereof”、”thereto”等用语,以及”the same”这一类的用语比较不容易处理,因为上面介绍的原则无法直接套用,而必须靠读者自己依照合约的上下文来判断。我们来看看下面两个例子:

例一:No change in or modification of this Agreement shall be valid unless the same is made in writing. (本约之修改需以书面为之,始生效力。)例二: This Agreement is written in the English language. In case of any discrepancy between the

English version and any translation thereof, the English text shall govern. (本约以英文订定,与其它语言之翻译版本解释上生差异者,以英文为主。)

读者从上下文应该可以推敲出来,例一里的”the same”指的是「合约的修改」,也就是前面的”change in or modification of this Agreement”这些字句,合约撰写人为了避免文句重复造成阅读负担与篇幅冗长,于是就简单用”the same”两个字来代替。

(换句话说,如果不用”the same”的方法,整句话应该是:”No change in or

modification of this Agreement shall be valid unless the change in or modification of this Agreement is made in writing.”)。至于例二里的”thereof”,也可以从上下文看出来是代替“of the English version”这几个字。

这和第一类的”hereof”其实有类似的解读方法,但是”hereof”的”here”通常都可以用”this agreement”来代替,但是“thereof”的“there”要用什幺代替,就没有一定的规则了,在例二”there”代替的是”the English version”,在别的地方却又代替其它的概念,这就是第二类用语为什幺较第一类来得困难的原因了。

其实都算是比较容易掌握的条款,有些英文合约里

将”thereof”、”the same”等字眼大量运用在各种不同的地方,究竟代表什幺意义,除了细心推敲上下文,灵活思考该合约所要规范的法律逻辑关系外,恐怕还得靠读者累积大量的英文合约处理经验,以及平时一般英语分析能力的加强,才有办法得心应手了。

篇二:涉外合同范本之分销协议(英文)

RESELLER AGREEMENT

This Agreement made and entered into by and between:

ABC Pty Limited (“ABC”) with a place of business at

AND

> (the Reseller)

Recitals

A. ABC is the creator, developer and owner of Intelligent Surveillance Software

B. ABC wishes to develop sales of its technology in certain countries.

C. The Reseller s experienced and knowledgeable in the sale, promotion and service of such systems to its customers.

D. ABC and Reseller now wish to establish the

terms and conditions of their relationship to collaborate in the sale of such systems to end user customers in certain countries.

Definitions

Unless otherwise expressly stated in this Agreement, the following terms shall have the following meaning:

”ABC” means ABC Pty. Limited

> is a company that wishes to be a Reseller for ABC’s software and systems.

”System(s)”means relevant components, subcomponents or subassemblies, computers, peripheral equipment and computer programs constituting the System. The Reseller acknowledges that the functions and/or specifications of the System may be changed or modified by ABC at any time.

”Software”means related computer programs developed by ABC or licensed to ABC from third party as furnished to the Reseller under this Agreement whether or not bundled into a total System.

篇三:借款合同:英文涉外借贷合同范本

借款合同:英文涉外借贷合同范本

借款合同:英文涉外借贷合同范本

loan contract

contract number: _____________

borrower: ________________

address: _________________

lender: __________________

address: _________________

in accordance with provisions of contract law of the peoples republic of china and bank of china, after reviewing the status and the request of the borrower,the lender agrees to grant the borrower a line of credit on . the borrower, lender and guarantor, through friendly negotiation, have executed this contract as follows:

article 1 currency, amount and term of the loan:

1. the currency under this loan is reiminbi.

2. the line of the loan is yuan.

3. the period of this loan is 12 months from the date of effectiveness of this contract.

article 2 the purpose of the loan:

1. the purpose of this loan is used for working capital turnover.

2. without written approval of the lender, the borrower could not use the loan out of the scope of the purpose.

article 3 interest rate and calculation of interest:

1. interest rate: the interest rate shall be [***] during the loan term, if the countrys related authority adjusted the interest rate or the manner of calculation of interest, the interest of this contract shall be adjusted accordingly after one year from the date of execution of this contract. the adjustment shall be conducted when the interest rate are executed one year.it is not obliged to inform the borrower when the adjustment of interest.

2. the interest shall be calculated from the date of first drawdown and the actual days the borrower use. one year shall be calculate

d as 360 days.

3. the payment of interests: the borrower shall pay the interests per quarter. the payment date shall be , and. if the payment for the last installment is not on the payment date,the interests shall deduct the

interest from the bank account of the borrower. in the event that the borrower fails to pay the interests on time and the balance of the account of the borrower is not enough for the payment of interest, the lender shall have rights to collect a penalty being [***] of the outstanding amount per day for the borrowers breach of contract.

article 4 overdue interests and misusing interests

1. if the borrower fails to repay the loan and can not reach a agreement with the lender regarding the extension, the lender shall collect an overdue penalty for [***] of the overdue amount per day.

2. if the borrower fails to uses the loan in accordance with the provisions set forth in this contract, the lender shall have right to charge a interests for the misusing part at a rate of [***] per day.

article 5 account

the borrower shall open reiminbi basic account and/or foreign currency account at the lender or lenders branch for the use of drawdown, repayment,payment of interests and fees.

article 6 drawdown

1. the loan under this contract is revolving, the balance of this contract shall not more than the line of credit.

2. the borrower shall send a drawdown application as the form herein attached in this contract 7 days before the date of drawdown.

3. the borrower shall not draw the loan less than 1 million.

article 7 conditions for drawdown

the following conditions shall be satisfied in advance of the drawdown date:

1. the borrower has opened foreign account and reiminbi account at the office of the lender or the branch of the lender;

2. this contract and the appendices have been effective;

3. the borrower has provided the recognition of the investment or certificate of the investment to the lender;

4. the borrower has provided the board resolution and power of attorney regarding this loan contract;

5. the borrower has provided the list and the signature sample of the authorized person who empower to sign this contract and documents;

6. the guaranty under this contract has been effective;

7. the borrower has been satisfied the warrants under article 11 of this contract;

8. the other requirement for the drawdown have been satisfied.

article 8 repayment plan and prepayment

1. the borrower shall repay the loan in accordance with the status of its cash. the borrower shall inform the lender the payment amount and date [***] prior to make the payment. the borrower shall be obliged to repay the principal and related interests on due date without any condition.

2. the payment made by the borrower and the deduction from the account of the borrower shall be used for repaying the interest at first and then for repaying the principal.

3. in the event the borrower fails to repay the loan, the lender shall have rights to deduct the debt

from the bank account of the borrower at the lender or empower the branches of the lender to deduct the debt from the bank account of the borrower at the lenders branches;

4. the installment of repayment shall not less than 1 million.

article 9 debt certificate

the lender shall keep record in the lenders account for the principal,interests and fees and other fees of the borrower under this contract;the above mentioned record and the documentation for the drawdown, repayment and payment

of interest is the certificates of the debts between the borrower and the lender.

article 10 guaranty

1. (the ‘guarantor’) shall be the guarantor for the loan under this contract and take jointly liabilities.

2. during the term of this contract,if the guarantors financial status become deteriorated or the liabilities for repayment of debts become weak, the lender shall have right to request the borrower changes

guarantor orprovide mortgage and pawn secured for this loan under this contract.

article 11 representations and warranties

i. the borrowers represents and warrants as follows:

1. the borrower is a company duly organized and validly existing under the law of the peoples republic of china and has the power and authority to own its property to consummate the transactions contemplated

in this contract and join the litigation. the borrower has the power to handle it assets used in operation.

2. the borrower is at its option to sign and perform this contract.it is the borrowers true meaning and has the power to sign this contract and it is not breach

it article of association or regulations or contracts. the procedure for signature and performance of this contract has been gone through and fully effectiveness.

3. the all documents, materials, reports and certificates provided to the lender by the borrower for consummation of this contract is true, real, compete and effective

4. the borrower shall not conceal the following

events which is being happened or have been happened which will cause the lender refuse to extend the loan:

中英文对照版合同翻译样本

1.Sales Agreement The agreement, (is) made in Beijing this eighth day of August 1993 by ABC Trading Co., Ltd., a Chinese Corporation having its registered office at Beijing, the People’ Repubic of China (hereinafter called “Seller”) and International Tradi ng Co., Ltd., a New York Corporation having its registered office at New York, N.Y., U.S.A. (hereinafter called “Buyer”). 2.WITNESSETH WHEREAS, Seller is engaged in dealing of (product) and desires to sell (product)to Buyer, and WHEREAS, Buyer desires to purchase(product) from Sellers, Now, THEREFORE, it is agreed as follows: 3.Export Contract This Contract is entered into this 5th day of August 1993 between ABC and Trading Co., Ltd. (hereinafter called “Seller”) who agrees to sell, and XYZ Trading Co., Ltd. (hereinafter called “Buyer”) who agrees to buy the following goods on the following terms and condition. 4.Non-Governmental Trading Agreement No. __This Agreement was made on the_day of_19_, BETWEEN _ (hereinafter referred to as the Seller) as the one Side and _ (hereinafter referred to as the Buyer) as the one other Side. WHEREAS, the Seller has agreed to sell and the buyer has agreed to buy _ (hereinafter referred to as the Goods ) the quantity, specification, and price of which are provided in Schedule A. IT IS HEREBY AGREED AS FOLLOWS: 5.Contract For Joint-Operation Enterprise __ COMPANY LTD., a company duly organized under the Law of __ and having its registered office at (hereinafter called “Party A”) AND __ COMPANY LTD., a company duly organized under the Law of __ and having its registere d office at (hereinafter called “Party B”) Party A and Party B (hereinafter referred to as the “Parties”) agree to jointly form a Co-operation Venture Company (hereinafter referred to as the “CVC”) in accordance with “the Laws of the People’s Republic of C hina on Joint Ventures Using Chinese and Foreign Investment” and the “Regulations for the Implementation of the Laws of the People’s Republic of China on Joint Ventures Using Chinese and Foreign Investment” and other applicable laws and regulations. 6.MODEL CONTRACT Contract No. Date: Seller: Signed at: Address: Cable Address: Buyer: Address: Cable Address: The Seller and the Buyer have agreed to conclude the following transactions according to the terms and conditions stipulated below: https://www.360docs.net/doc/cf4002275.html, of Commodity: 2.Specifications: 3.Quantity: 4.Unit Price: 5.Total Price: U.S.$: 6.Packing: 7.Time of Shipment: days after receipt of L/C. 8.Loading Port & Destination Port: From via to . 9.Insurance:

[VIP专享]商务合同中英文翻译

汉译英 1.卖方将尽力在交货期内包装好所有货物。 The seller will endeavor to complete all packaging within time for the delivery date. 2.买方承担在货物运输和销售中的成本和费用。32 The buyer is responsible for the costs and charges incurred in the sale and transport of the goods. 3.卖方将一次性发送货物。到交货地的运输方式将由卖方决定。33 The seller will deliver the goods in a single shipment. The mode of transport to the point of delivery is at the seller’s discretion. 4.卖方应尽一切努力启运货物以便能及时交货。 The seller will make every effort to commence transport of the goods so that they will arrive by the delivery date. 5.如果推迟交货,卖方应立即告知买方推迟交货,预定的交货期和耽搁的理由。 If there is any delay, the seller will immediately notify the buyer of the delay, the expected time for delivery, and the reason for the delay. 买方有权就新的交货日期与卖方进行重新磋商,双方将以书面形式在协议上写下所做出的修改。或者,买方有权通知卖方终止合同。 The buyer will then have the option to renegotiate with the seller for a new delivery date, which the parties will confirm in writing as a modification to this agreement, or to notify the seller that the agreement is terminated. 6.为了自己的利益,买方将为运输中的货物投保。34 The buyer will obtain and pay, on its own account, for all insurance on the goods while in transit. 7.在货物运输前,保险人将把保险证明,如保单或由保险人所出具的其他证明交给买方。 Evidence of this insurance, in the form of a copy of the policy or other statement provided by the insurer, will be provided to the buyer before the goods are shipped. 8.买卖双方为自己的利益为货物所投保的险种将由其自行负担费用。 Each party is responsible for obtaining on its own account any other insurance coverage for the goods that he may desire. 9.如果买方已向卖方付款,在货物到达纽约港时货物的所有权将转移至买方。 Title to the goods will pass to the buyer at the time the goods are delivered to New York port provided the buyer has transmitted payment to the seller by that time. 10.如果延迟装运是由于买方无法及时提供此类证据,在这种情况下,卖方不违约。 If shipment is delayed because the buyer fails to furnish such proof timely, the seller will not be deemed to have breached the contract. 11.买方同意货物被运送到美国,并同意货物不会被运往其它国家。买方也不会在货物到达美国后再出口。 The buyer covenants that the goods will be shipped to and delivered in US and that the buyer will not ship or deliver the goods to any other country, nor will the buyer re-export the goods after delivery in US. 12.买方有权在卖方的营业地检验或让其代理人检验货物。36 The buyer is entitled to inspect, or to have its agent inspect, the goods at the seller’s place of business. 13.在交货后90天内,卖方可免费为买方换任何有瑕疵的货物,由此所产生的运输费用由卖方承担。 Within 90 days after delivery, the seller will replace free of charges, including the cost of transportations, any part of the goods found defective. 14.卖方应补偿买方任何由此类诉讼所承担的责任、支付的赔偿、花费及诉讼费用。37 The seller will indemnify the buyer against any liability, damage, or expenses incurred in connection with any such suit and will pay any judgment entered against the buyer in such suit. 15.这一协议的生效条件是:买方获得美国政府部门签发的进口许可证,卖方获得中国政府部门签发的出口许可证。38 This agreement is subject to the issuance of an import license to the buyer by the appropriate agency of US government and the issuance of an export license to the seller by the appropriate agency of China government. 16.如果任何一方通知另一方不想或不能履行协议,收到通知的一方有权撤销协议。 If either party notifies the other party that it will not, or is unable to, perform this agreement the party receiving notices is entitled to cancel the agreement. 17.为了使撤销有效,撤销的一方应通知另一方协议已撤销。撤销的日期是收到不履行协议通知的日期。 To make the cancellation effective, the party seeking to cancel must give notice to the other party that the agreement is deemed canceled. The date of the cancellation will be the date on which the party receives the notice of the nonperformance.

委托翻译合同(合同范本)

STANDARD CONTRACT SAMPLE (合同范本) 甲方:____________________ 乙方:____________________ 签订日期:____________________ 编号:YB-HT-025807 委托翻译合同(合同范本)

委托翻译合同(合同范本) 甲方:___________________________ 乙方:北京___________科技有限公司 关于乙方接受甲方委托,进行资料翻译事宜,经甲乙双方同意,签订以下翻译合同。 1.稿件说明 文稿名称:_____________________ 翻译类型为:英译中/中译英 翻译费为:_____________________ 交稿时间:_____________________ 2.字数计算 无论是外文翻译成中文。还是中文译成外文,都以汉字字数计价,按电脑工具栏字数统计的字符数(不计空格)为准。小件翻译:不足1000字按1000字计算。 3.笔译价格(单位:RMB/千字) 英译中_____________________ 中译英_____________________

4.付款方式 接收译稿后____日内支付全部翻译费 5.翻译质量 乙方翻译稿件需准确,通顺,简洁得体。一旦出现质量问题,乙方有义务无偿为甲方修改一到两次。力求满足甲方要求。如果因质量问题发生冲突,应该提请双方认可的第三方评判,或直接申请仲裁 6.原稿修改与补充 如甲方原稿修改,而需乙方对译文作相应修改,根据修改程度酌量收取改稿费,或在收取原稿翻译费后,对修改稿按单价重新计费。如补充翻译,则另行收费。中止翻译:如甲方在乙方翻译过程中,要求中止翻译,甲方须根据乙方的翻译进度,按乙方已经翻译的字数,以协定的单价计算翻译费给乙方7.交稿方式 乙方可根据具体需要,采取以下交稿方式中的任一种来交稿:打印稿、电脑软盘、传真、电子邮件。 8.版权问题 乙方对于甲方委托文件内容的版权问题不负责,由甲方负全责.保密性:乙方以翻译为业,遵守翻译职业道德,对其译文的保密性负责。 本合同一式二份,双方各执一份,授权人签字,盖章生效。 甲方:(签章)_______________________ 乙方:(签章)北京_______科技有限公司 XX网络科技有限公司

[标准合同]中英文翻译外债借款合同范本

中英文翻译外债借款合同范本 合同( 或合约)(covenants) ,是双方当事人基于对立合致的意思表示而成立的法律行为,为私法自治的主要表现,意指盖印合约中所包含的合法有效承诺或保证、本文是关于中英文翻译外债借款合同范本,仅供大家参考、甲方:合同编号:;PartyA :ContractNo :; 乙方:XXX有限公司;PartyB : XXXfacturin; 甲乙双方经过详细磋商,达成以下协议:;PartyAandPartyhavereache; 一、甲方同意无息借款给乙方,作为购买生产设备 用;1.PartyAagreestos 外债借款合同( 范本) Contract of Loan 甲方:合同编号: Party A :Contract No : 乙方:潍坊传盛商用设备有限公司 Party B :China Manufacturing Solutions(China) Ltd 甲乙双方经过详细磋商,达成以下协议: Party A and Party have reached an agreement to conclude the following contract : 一、甲方同意无息借款给乙方,作为购买生产设备用。 1. Party A agrees to supply a Interest-free loan to party B for purchasing production facility. 二、借款金额:USD25万元,(美金贰拾伍万美元整) 2. Loan Amounts :USD 250,000(two hundred and fifty thousand US Dollar)

中英文合同(标准版)范本

Both parties jointly acknowledge and abide by their responsibilities and obligations and reach an agreed result. 甲方:___________________ 乙方:___________________ 时间:___________________ 中英文合同

编号:FS-DY-20628 中英文合同 建筑合同architecture confirmation 甲方:party a:乙方:party b: 合同编号:contract no 日期:date: 签约地点:signed at: 特约定: 甲方基于下文所列各种因素,特与乙方达成了协议并一致同意:由甲方在订约日期之翌日起_____天之内为乙方建造并完成_____(涉约建筑)。涉约建筑之规模及所需的钢筋、水泥、砖块、石子和其它建筑材料之数量,均在作为合同附件的设计图和施工细则中予以说明。 witnesses that the party a for considerations hereinafter named, contracts and agrees with the party b that party a will, within_____ days, next following the date hereof, build and

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