商业发票参考答案-前TT+即期DP支付方式下制作商业发票和装箱单操作

商业发票参考答案-前TT+即期DP支付方式下制作商业发票和装箱单操作

【免费下载】商业发票装箱单习题

项目练习二:出口托运单证. 一、基础知识题 (一)选择题: 1、以下哪种单据不属于发票类( ) A. 花色搭配单 B. 海关发票 C. 领事发票 D. 形式发票 2、包装单据一般不应显示货物的(),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 3、发票上的货物数量应与信用证一致,如信用证在数量前使用“约”、“大约”字眼时,应理解为:() A、货物数量有不超过5%的增减幅度。 B、货物数量有不超过10%的增减幅度 C、货物数量有不超过3%的增减幅度 D、货物数量不得增减 5、信用证要求提供厂商发票的目的是:() A.查验货物是否已经加工生产 B.核对货物数量是否与商业发票相符 C.检查是否有反倾销行为 D.确认货物数量是否符合要求 7、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() 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 8、一般情况下,商业发票的金额应与()一致。 A.合同金额 B. 信用证金额 C.保险金额 D. 实际发货金额 9、海关发票是由()制定的一种特殊发票格式。 A.出口方 B. 进口方 C.出口国海关 D.进口国海关 10、下列哪点不是商业发票的作用() 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

(二)判断题: 1、如果合同和信用证中均未规定具体唛头,则填写发票时,“唛头”一栏可以空白不填。 ( ) 2、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。() 3、商业发票上的货物描述应详细,而装箱单的货物描述只需用商品品名。() 8、装箱单的主要作用是补充商业发票内容的不足,便于买方掌握商品的包装、数量及供进口国海关检查和核对货物。() 9、商业发票的日期应早于提单的日期。() 10、除非信用证另有规定,商业发票必须由信用证的受益人开立。() 二、操作题: 1、按以下材料缮制商业发票: ISSUING BANK:TOKYO BANK LTD.,TOKYO L/C NO.: 9426 DATE OF ISSUE :010615 APPLICANT: SAKA INTERNATIONAL FOOD CO. 26 TORIMI-CHO NISHI – PU, NAGOYA 546, JAPAN BENEFICIARY: NINGBO NATIVE PRODUCTS CO. NO.115 DONGFENG ROAD, NINGBO, CHINA LOADING IN CHARGE: NINGBO, CHINA FOR TRANSPORTION TO: NAGOYA, JAPAN DESCRIPTION OF GOODS:20M/T FRESH BAMBOO SHOOTS AT CIF NAGOYA USD 1080.00 PER M/T AND 30 M/T FRESH ASPARAGUS AT CIF NAGOYA USD1600.00 PER M/T AS PER CONTRACT NO. NP94051 DOCUMENTS REQUIRED: +COMMERCIAL INVOICE IN TRIPLICATE AND CERTIFY THAT THE GOODS ARE OF CHINESE ORIGIN. ………. SHIPPING MARKS : NO MARKS 制作发票的日期: 2001年6月19日 ------------------------------------------------------------- ----------------------------------------------------------------- COMMERCIAL INVOICE To: Date: Invoice No: Contract No: From: to: Letter of credit No:

装箱单样本

装箱单样本 集团文件发布号:(9816-UATWW-MWUB-WUNN-INNUL-DQQTY-

装箱单样本 装箱单 PACKING LIST 1)收件人: 2)

运单号: Consignee:………………………………… Airbill No.…………………………... 公司名称:承运人: Company Name:………………………….. Carrier:…………………………….. 地址:重量: Address:…………………………………... Weight:…………………………….. 城市/地区号:体积: Town/Area Code:…………………………. Dimensions:……………………….. 州名/国家:电话/传真: State/Country:…………………………….. Phone/Fax No.………………………. 3)详细的商品名称 4)生产厂商5)数量 Full Description of Manufacturer No.of Items Goods 6)本人认为以上提供的资料属实和正确,货物原产地是……………………………….. I declare that the above information is true and correct to the best of my knowledge and that the goo ds are of………………origin. 7)出口理由 Reason for Export 签名: Signature:公章: Stamp:装箱单(PACKING LIST)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。类似的单据还有:重量单、规格单、尺码单等。其中重量单是用来列明每件货物的毛、净重;规格单是用来列明包装的规格;尺码单用于列明货物每件尺码和总尺码,或用来列明每批货物的逐件花色搭配。装箱单名称应按照信用证规定使用。通常用“PACKING LIST”、“PACKING SPECIFICATION”或

制商业发票

① 题目要求和说明 ISSUE OF DOCUMENTARY CREDIT TO: BANK OF CHINA GUANGZHOU BRANCH IRREVOCABLE DOCUMENTARY CREDIT NO.97-34985 FOR THE ACCOUNT OF A.B.C. TRADING CO., LTD., HONGKONG.312 SOUTH BRIDGE STREET, HONGKONG. DEAR SIRS, WE OPEN AN IRREVOCABLE DOCUMENTARY CREDIT IN FAVOUR OF GUANGDONG FOREIG FOREIGN TRADE IMP. AND EXP. CORPORATION, 267 TIANHE ROAD GUANGZHOU, CHINA. FOR A SUM NOT EXCEEDING HKD 1000000.00 (SA Y HONGKONG DOLLARS ONE MILLION ONLY.) AVAILABLE BY THE BENEFICIARY’S DRAFT(S) AT SIGHT DRAWN ON APPLICANT BEARING THE CLAUSE” DRAWN UNDER NANYANG COMMERCIAL BANK LTD., HONGKONG. DOCUMENTARY CREDIT NO. 97-34985 DTAED IST MARCH, 1997.” ACCOMPANIED BY THE FOLLOWING DOCUMETNS: (1) MANUAL SIGNED COMMERCIAL INVOICE IN TRIPLICA TE. ALL INVOICES MUST SHOW FOB SEPARA TELY. (2) 3/3 ORIGNAL + 3NN COPIES CLEAN ON BOARD BILL OF LADING MADE OUT TO ORDER MAR KED FREIGHT COLLECT. (3) CERTIFICA TE FO ORIGIN ISSUED BY GUANGZHOU IMPORT AND EXPORT COMMODITY INSPECTION BUREAU OF THE PEOPLE’S REPUBLIC OF CHINA IN TRIPLICA TE. EVIDENCING SHIPMENT OF THE FOLLOWING MERCHANDISE: AIR CONDITIONER (HUALING BRAND), 500PCS KF-23GW AND 500 PCS KF-25GW, PACKING: IN CARTON BOX, 50 KILOS NET EACH CARTON,1PC/CARTON,@HKD1000.00,FOBC2% DUBAI VIA HONGKONG, PARTIAL SHIPMENT PERMITED. TRANSSHIPMENT PERMITED. LA TEST DATE FOR SHIPMENT: 30TH APRIL, 1997. EXPIRY DA TE: 15TH MAY, 1997. IN PLACE OF OPENER FOR NEGOTIA TION.

(完整版)根据资料制作商业发票和装箱单

根据下述给出的条件缮制商业发票、装箱单、汇票 卖方:SUZHOU IMPORT & EXPORT TRADE CORPORATION 321 FENGXIAN ROAD SHANGHAI CHINA 买方:TANJIN-DAIEI CO., LTD.SHIBADAIMON MF BLDG, 2-1-16, SHIBADAIMON MINATO-KU, OSAKA, 105 JAPAN 货名:红茶(BLACK TEA) 单价:ART NO.555 USD 110.00/KG、 ART NO.666 USD 100.00/KG、 ART NO.777 USD 90.00/KG CIF OSAKA 数量:ART NO.555 100KGS、ART NO.666 110KGS、ART NO.777 120KGS 包装:每5公斤装1箱( PACKED IN ONE CARTON OF 5 KGS EACH) 装一个20英尺的集装箱(编号:GATU0506118)(整箱) 毛重:ART NO.555 5KGS/CTN、ART NO.666 5KGS/CTN、ART NO.777 6 KGS/CTN 净重:每箱4KGS 体积:每箱0.2CBM 唛头:自编一个标准化唛头 支付条件:L/C AT SIGHT 信用证号:XT173 开证日期:MAY 10, 2010 发票编号:TX0522 发票日期: 2010年6月1日 合同号:TXT264 装运港:苏州港(SUZHOU PORT)目的港:大阪港(OSAKA PORT) 装运日:2010年6月20日出票人姓名:黄河

1. 商业发票 商业发票 Commercial Invoice

集装箱装箱单

集装箱装箱单 集装箱装箱单(Container Load Plan;CLP / Unit Packing List; UPL) 什么是集装箱装箱单 集装箱装箱单是详细记载集装箱内货物的名称、数量等内容的单据,每个载货集装箱都要制作这样的单据,它是根据已装进集装箱内的货物制作的。不论是由发货人自己装箱的(FCL),还是由集装箱货运站负责装箱(LCL),负责装箱的人都要制作装箱单。集装箱装箱单是详细记载每一个集装箱内所装货物详细情况的唯一单据,所以在以集装箱为单位进行运输时,是一张极其重要的单据。 装箱单一式五联,分别为:码头联、船代联、承运人联及两份发货人/装箱人联。 集装箱装箱单的主要作用 (1)作为发货人、集装箱货运站与集装箱码头堆场之间货物的交接单证; (2)作为向船通知集装箱内所装货物的明细表; (3)单据上所记载的货物与集装箱的总重量是计算船舶吃水差、稳性的基本数据; (4)在卸货地点是办理集装箱保税运输的单据之一; (5)当发生货损时,是处理索赔事故的原始单据之一; (6)卸货港集装箱货运站安排拆箱、理货的单据之一。 目前各港口使用的装箱单大同小异,上海港使用的集装箱装箱单一式五联,由码头联、船代联、承运人各一联、发货人/装箱人共二联组成。 集装箱装箱单的流转程序 (1)装箱人将货物装箱,缮制实际装箱单一式五联,并在装箱单上签字; (2)5联装箱单随同货物一起交付给拖车司机,指示司机将集装箱送至集装箱堆场,在司机接箱时应要求司机在装箱单上签字并注明拖车号; (3)集装箱送至堆场后,司机应要求堆场收箱人员签字并写明收箱日期,以作为集装箱已进港的凭证;

(4)堆场收箱人在5联单上签章后,留下码头联、船代联和承运人联(码头联用以编制装船计划,船代联和承运人联分送给船代合承运人用以缮制积载计划和处理货运事故),并将发货人/装箱人联退还给发货人或货运站。发货人或货运站除留一份发货人/装箱人联备查外,将另一份送交发货人,以便发货人通知收货人或卸箱港的集装箱货运站,供拆箱时使用。 发票日=装箱单日<=海运提单<=汇票日

制作集装箱托运单和装箱单练习

练习1 根据信用证有关内容,填制“集装箱货物托运单”一份。设本信用证项下货物的交接方式为CY—CY,整批货被装在2个20尺,编号分别为 EASU982341、EART520142的集装箱内,由YINHU A3032号船于8月30日 装运出海。该批货物的合同号为BEIT0112,体积为66.4CBM,每个纸箱重 0.15KGS,唛头由受益人自行设计。 ISSUING BANK: FIRST ALABAMA BANK 106 ST. FRANCIS STREET MOBILE ALABAMA 36602 USA BENEFICIARY: XIAMEN YINCHENG ENTERPRISE GENERAL CORP. 176 LUJIANG ROAD XIAMEN, CHINA(厦门银城企业总公司) TELEX: 93052 IECTA CN ,TEL: 86-592-2046841 FAX: 86-592-2020396 APPLICANT: BAMA SEA PRODUCTS. INC. 1499 BEACH DRIVE S.E.ST PELERSBURG. FL 33701,USA ADVISING BANK: THE BANK OF EAST ASIA LIMITED XIAMEN BRANCH G/F & 1/F HUICHENG BUILDING 837 XIAHE ROAD, XIAMEN, CHINA TELEX: 93132 BEAXM CN FAX: 86-592-5064980 DATE: AUGUST 1, 2004 FORM OF DC: IRREVOCABLE L/C AT SIGHT AMOUNT: USD 170,450.00 PARTIAL SHIPMENT: PERMITTED TRANSSHIPMENT: PERMITTED ONLY FROM XIAMEN CHINA FOR TRANSPORTATION TO LONG BEACH, CA. USA. WITH FINAL PORT OF DESTINATION TAMPA, FL,USA. SHIPMENT CONSISTS OF: 34000KGS CHINESE SAND SHRIMP OR BIG HARD SHELL SHRIMP.BLOCK FROZEN SHRIMP (PTO), PACKED 6X2KGS/CTN.(RAW, PEELED, TAIL ON) CONSISTING OF: KGS. SIZE(MM) UNIT PRICE(/KGS) TOTAL 3000 71/90 USD6.60 USD19800.00 5000 91/110 USD6.35 USD31750.00 6000 111/130 USD5.45 USD32700.00 8000 131/150 USD4.55 USD36400.00 12000 151/200 USD4.15 USD49800.00 TOTAL AMOUNT OF USD170450.00 CFR TAMPA FL. U.S.A. THE LATEST SHIPMENT DATE IS AUGUST 31. 2004 DOCUMENTARY REQUIREMENTS: 1)FULL SET(3/3) CLEAN ON BOARD COMBINED TRANSPORT BILLS OF LADING CONSIGNED TO THE ORDER OF BAMA SEA PRODUCTS INC.,1499 BEACH DRIVE S.E., ST, PELERSBURG,FL.33701 MARKED“FREIGHT PREPAID”NOTIFYING WILLIAMS CLARKE, INC., 603 NORTH FRIES AVENUE, WILMINGTON, CA 90744,USA. AND MUST INDICATE CONTAINER(S) NUMBER AND STATE THAT CONTAINER(S) HAVE BEEN MAINTAINED AT ZERO DEGREES FAHRENHEIT OR BELOW. IF COMBINED TRANSPORT BILL OF LADING IS PRESENTED, MUST BE INDICATE VESSEL NAME. 2)BILLS OF LADING MUST ALL FREIGHT CHARGES PREPAID, INCLUDING FUEL ADJUSTMENT FEES (FAF)

制作商业发票学生练习

学习情境二制作商业发票和装箱单操作 一、学习目标 能力目标:能读懂L/C 条款和/或合同条款品名条款、价格条款,能根据L/C 条款和/或合同条款准确填写商业发票和装箱单相关栏目的内容。 知识目标:熟悉发票的分类和作用,熟悉UCP600 中关于商业发票的条款,熟悉包装单 据的种类。 二、工作项目 2008 年2 月25 日,外贸业务员董斌采纳了外贸单证员陈红的合理改证建议,当天给SIK 贸易有限公司发改证函。SIK 贸易有限公司同意改证要求,向汇丰银行迪拜分行提出改证申 请。2008 年 2 月28 日,杭州市商业银行通知浙江金苑进出口有限公司外贸单证员陈红,汇 丰银行迪拜分行的信用证修改书(Amendment to a documentary credit)已到。信用证修改书 的内容如下: MT 707 SENDER RECEIVER SENDER’S REFERENCE AMENDMENT TO A DOCUMENTARYCREDIT HSBC BANK PLC,DUBAI, U.A.E. HANGZ HOU CITY COMMERCIAL BANK, HANGZ HOU, CHINA 20:FFF07699 RECEIVER’S REFERENCE21:NON DATE OF ISSUE NUMBER OF AMENDMENT BENEFICIARY(BEFORE THIS AMENDMENT) NEW DATEAND PLACE OF EXPIRY DECREASE OF DOCUMENTARYCREDIT AMOUNT NEW DOCUMENTARY CREDIT AMOUNTAFTER AMENDMENT PERCENTAGE CREDIT AMOUNT TOLERANCE 31C:080228 26E:01 59:Z HEJIANG JINYUAN IMPORT & EXPORT CO., LTD. 118 XUEYUAN STREET, HANGZ HOU, P.R.CHINA 31E:DATE 080510 PLACE IN CHINA 33B:CURRENCY USD AMOUNT 450.00 34B:CURRENCY USD AMOUNT54000.00 39A:05/05

制作商业发票(答案)

案例:制作商业发票 根据以下相关信息制作商业发票: IRREVOCABLE DOCUMENTARY CREDIT NO.: 211LC200116 DATED: 18FEB2005. DA TE AND PLACE OF EXPIRY: 17 APR. 2005 IN BENEFICIARY’S COUNTRY BENEFICIARY: ANHUI CHEMICALS IMP. & EXP. CO. LTD. JIN AN MANSION 306 TUNXI ROAD, HEFEI, ANHUI, CHINA A/C NO.: 6018090000-185 APPLICANT: HOP TONG HAI (PTE) LTD. BLK 15, NORTH BRIDGE ROAD #04-9370 BARCELONA SPAIN 100032 FAX: 2953397 AMOUNT: USD37850.00 UNITED STA TES DOLLARS THIRTY SEVEN THOUSAND EIGHT HUNDRED AND FIFTY ONL Y. PARTIAL SHIPMENT: NOT ALLOWED TRANSHIPMENT: ALLOWED SHIPMENT FROM CHINA TO BARCELONA W/T A T HONG KONG LATEST SHIPMENT DA TE: 7 APR. 2005 THIS CREDIT IS A V AILABLE WITH THE ADVISING BANK BY NEGOTIATION AGAINST PRESENTATION OF THE DOCUMENTS DETAILED HEREIN AND BENEFICIARY’S DRAFT(S) AT 30 DAYS AFTER SIGHT DRAWN ON ISSUING BANK FOR FULL INVOICE V ALUE. DOCUMENTS REQUIRED (IN THREE-FOLD UNLESS OTHERWISE STIPULATED): 1. SIGNED COMMERCIAL INVOICE; 2. SIGNED PACKING LIST; 3. CERTIFICATE OF CHINESE ORIGIN; 4. INSURANCE POLICY/CERTIFICATE ENDORSED IN BLANK FOR 110% CIF VALUE, COVERING ALL RISKS AND WAR RISK; 5. FULL SET OF CLEAN ‘ON BOARD’OCEAN BILLS OF LADING MADE OUT TO ORDER OF BANK OF CHINA, BARCELONA MARKED FREIGHT PREPAID AND NOTIFY APPLICANT. 6. SHIPMENT ADVICE SHOWING THE NAME OF THE CARRYING VESSEL, DATE OF SHIPMENT, MARKS, AMOUNT AND THE NUMBER OF THIS DOCUMENTARY CREDIT TO APPLICANT WITHIN 3 DAYS AFTER THE DATE OF BILL OF LADING. EVIDENCING SHIPMENT OF: 1300 DOZENS 100% COTTON OVERALLS, SHIRTS & SINGLETS AS PER S/C NO.

(作业)请根据下列信用证制作商业发票及装箱单

练习一:请根据下列信用证及相关资料制作商业发票及装箱单。 (一)信用证条款 SEQUENCE OF TOTAL :27:1/1 SWIFT700的开证格式,即全部只有一页,没别的意思 FORM OF DOCUMENTARY CREDIT :40A:IRREVOCABLE DOCUMENTARY CREDIT NUMBER :20:LC12465 DATE OF ISSUE :31C:001228 DATE AND PLACE OF EXPIRY :31D:010320 CHINA APPLICANT BANK: : 51A:BANK OF GOOD COLOMBO APPLICANT :50:ELECTRADE CO.,LTD ! THE FIRST STREET,COLOMBO, SRI LANKA BENEFICIARY :59:ZHENGCHANG TRADING CO.,LTD XUESHI ROSD, HUZHOU, ZHEJIANG, CHINA CURRENCY CODE,AMOUNT :32B: AVAILABLE WITH….BY… :41D:BANK OF CHINA,HUZHOU BRANCH DRAFTS AT…. :42C:AT SIGHT DRAWEE :42D:BANK OF GOOD COLOMBO PARTIAL SHIPMENT :43P:NOT ALLOWED TRANSHIPMENT :43T:NOT ALLOWED LOADING FROM :44A:SHANGHAI, CHINA FOR TRANSPORTION TO :44B:COLOMBO, SRI LANKA @ LATEST DATE OF SHIPMENT :44C:010228 DESCRPT OF GOODS :45A: COMMODITY :CIRCUIT BREAKER ITEM NO:WS1020 3000PCS PC WT1041 2500PCS PC ZT3050 2500PCS PC TOTAL VALUE:CIF COLOMBO, SHIPPING MARKS: HZ0114 COLOMBO C/ DOCUMENTARY REQUIRED :46A: 1.' 2.SIGNED COMMERCIAL INVOICE IN TRIPLICATE CERTIFYING THAT GOODS ARE IN ACCORDANCE WITH CONTRACT NO. ZC1212. 3.PACKING LIST IN TRIPLICATE SHOWING THE TOTAL WEIGHT AND MEASUREMENT. 4.CERTIFICATE OF ORIGIN IN ONE ORIGINAL AND TWO COPIES ISSUED BY CHINA COUNCIL FOR PROMOTION OF INTERNATIONAL TRADE. 5.3/3 SET OF CLEAN ON BOARD MARINE BILLS OF LADING MADE OUT TO ORDER AND BLANK ENDORSED,MARKED FREIGHT PREPAID NOTIFY THE APPLICANT. 6.INSURANCE CERTIFICATE COVERING ALL RISKS FOR 110% INVOICE VALUE SUBJECTED TO

根据信用证制作商业发票、装箱单、装船通知

16.3.1 根据信用证缮制结汇单据:商业发票、装箱单、装船通知 (一)信用证资料 BANK OF KOREA LIMITED, BUSAN SEQUENCE OF TOTAL *27: 1/1 FORM OF DOC. CREDIT *40A: IRREVOCABLE DOC. CREDIT NUMBER *20: S100-108085 DATE OF ISSUE 31C: DATE AND PLACE OF EXPIRY *31D: DATE PLACE CHINA APPLICANT *50: JAE & SONS PAPERS COMPANY 203 LODIA HOTEL OFFICE 1546, DONG-GU BUSAN, KOREA BENEFICIARY *59: WONDER INTERNATIONAL CO., LTD. NO. 529, QIJIANG ROAD, NANJING, CHINA. AMOUNT *32B: CURRENCY USD AMOUNT (10% MORE OR LESS ARE ALLOWED) AVAILABLE WITH/BY *41A: ANY BANK IN CHINA BY NEGOTIATION DRAFTS AT… 42C: 90 DAYS AFTER B/L DATE FOR FULL INVOICE COST DRAWEE 42A: BANK OF KOREA LIMITED, BUSAN PARTIAL SHIPMENTS: 43P: ALLOWED TRANSHIPMENT 43T: ALLOWED LOADING IN CHARGE 44A: MAIN PORTS OF CHINA FOR TRANSPORTATION TO 44B: BUSAN, KOREA LATEST DATE OF SHIPMENT 44C: DESCRIPT OF GOODS 45A: COMMODITY : UNBLEACHED KRAFT LINEBOARD UNIT PRICE : MT TOTAL : 100MT+10% ARE ALLOWED PRICE TERM : CFR BUSAN KOREA COUNTRY OF ORIGIN : P. R. CHINA PACKING : STANDARD EXPORT PACKING SHIPPING MARK : ST05-016 BUSAN KOREA DOCUMENTS REQUIRED 46A: 1. COMMERCIAL INVOICE IN 3 COPIES INDICATING LC NO.&CONTRACT NO. ST05-016 2. FULL SET OF CLEAN ON BOARD OCEAN BILLS OF LADING MADE OUT TO ORDER AND BLANK ENDORSED MARKED FREIGHT PREPAID AND NOTIFYING APPLICANT 3. PACKING LIST/WEIGHT LIST IN 3 COPIES INDICATING QUANTITY/GROSS AND NET WEIGHTS 4. CERTIFICATE OF ORIGIN IN 3 COPIES 5. SHIPPING ADVICE SHOWING THE NAME OF THE CARRYING VESSEL, DATE OF SHIPMENT, MARKS, QUANTITY, NET WEIGHT AND GROSS WEIGHT OF THE SHIPMENT TO APPLICANT WITHIN 3 DAYS AFTER THE DATE OF BILL OF LADING.

商业发票制作

实训题:缮制商业发票 根据信用证和其他信息制作商业发票,要求格式清楚、内容完整。 根据下列资料缮制发票: 资料如下: ——L/C NO. 291-11-6222531 DATEDAPRIL 2ND,2006 ——DATE AND PLACE OF EXPIRY :OCT.15,2006 IN COUNTRY OF BENEFICIARY ——APPLICANT: WOODLAND LIMITED 450 CASTLE PEAK ROAD,KLN.,HONG KONG. ——BENEFICIARY: ZHEJIANG ANIMAL BY-PRODUCTS IMP. & EXP. CORPORATION 76 WULIN RD,HANGZHOU,CHINA ——L/C AMOUNT: USD16663.00 ——LOADING IN CHARGE:SHANGHAI PORT,CHINA ——FOR TRANSPORTATION TO:HONGKONG ——LATEST DATE OF SHIP:060930 ——DESCRIPTION OF GOODS: 42500 PIECES OF STUFFED TOY AS PER SALES CONTRACT 03ZA16IA0019 DATED 06.03.13 STYLE NO. QUANTITY UNIT PRICE ----------------------------------------------------------------- ZEAPEL01 7000PCS USD0.345/PC ZEAPEL02 500PCS USD0.65/PC ZEAPEL04 5000PCS USD1.10/PC ZEAPEL05 30000PCS USD0.31/PC CIFC5 HONGKONG AS PER INCOTERMS 2000 ——DOCUMENTS REQUIRED:+ COMMERCIAL INVOICE IN 1 ORIGINAL AND 3 COPIES LESS 5% COMMISSION AND HANDSIGNED BY BENEFICIARY. + -------------- ——ADDITIONAL COND.: +PACKING IN CARTONS OF 50 PCS EACH. +CARTONS TO BE MARKED WITH:Z.J.A.B HONGKONG C/NO.1- +-------------- Issuing bank: HSBC, HONGKONG. 1

最新制作装箱单操作

制作装箱单操作(二) 请根据以下信用证中的相关内容缮制商业发票: …… DOC. CREDIT NUMBER *20: 002/0503668 DATE OF ISSUE 31C: 120220 EXPIRY *31D: DATE 120515 PLACE CHINA APPLICANT *50: DE TUINKRAMER B. V. BENIFICIARY *59: CHINA NATIONAL ARTS & CRAFTS CORPORATION TAIYUAN BRANCH TAIYUAN FOREIGN TRADE BUILDING 85-99, ZHONGSHAN ROAD 7, TAIYUAN, CHINA AMOUNT *32B: CURRENCY USD AMOUNT 16172.00 …… PARTIAL SHIPMENTS 43P: NOT ALLOWED TRANSSHIPMENT 43T: ALLOWED LOADING IN CHARGE 44A: QINGDAO, CHINA FOR TRANSPORTATION TO 44B: ROTTERDAM LATEST DATE OF SHIPMENT 44C: 120430 DESCRIPIT OF GOODS 45A: 5134 UNITS WIRE PRODUCTS CIF ROTTERDAM USD3.15 PER UNIT AS PER CONTRACT NO. 2012KE1985 DOCUMENTS REQUIRED 46A: PACKING LIST IN FIVE COPIES 其他资料: Shipping Mark: DE TUINKRAMER B. V. ROTTERDAM C/NOS. 1-171 Goods packed in wooden cases, 167 cases containing 30 pcs each and the remain 4 cases containing 31 pcs each, 171 cases total G.W.: 97KG/CASE N.W.: 94KG/CASE M.: 50×45×45CM/CASE Date of Shipment: APRIL 20, 2012 Container No.: 467934587M48 Port of Loading: Qingdao Port of Transshipment: Hong Kong Invoice No.:35798610

根据信用证制作商业发票、装箱单、装船通知.doc

16.3.1根据信用证缮制结汇单据 : 商业发票、装箱单、装船通知 (一)信用证资料 BANK OF KOREA LIMITED, BUSAN SEQUENCE OF TOTAL*27: 1/1 FORM OF DOC. CREDIT*40A: IRREVOCABLE DOC. CREDIT NUMBER*20: S100-108085 DATE OF ISSUE31C: DATE AND PLACE OF EXPIRY*31D: DATE PLACE CHINA APPLICANT*50: JAE & SONS PAPERS COMPANY 203 LODIA HOTEL OFFICE 1546, DONG-GU BUSAN, KOREA BENEFICIARY*59: WONDER INTERNATIONAL CO., LTD. NO. 529, QIJIANG ROAD, NANJING, CHINA. AMOUNT*32B: CURRENCY USD AMOUNT (10% MORE OR LESS ARE ALLOWED) AVAILABLE WITH/BY *41A: ANY BANK IN CHINA BY NEGOTIATION DRAFTS AT42C: 90 DAYS AFTER B/L DATE FOR FULL INVOICE COST DRAWEE42A: BANK OF KOREA LIMITED, BUSAN PARTIAL SHIPMENTS:43P: ALLOWED TRANSHIPMENT43T: ALLOWED LOADING IN CHARGE44A: MAIN PORTS OF CHINA FOR TRANSPORTATION TO 44B: BUSAN, KOREA LATEST DATE OF SHIPMENT 44C: DESCRIPT OF GOODS45A: COMMODITY: UNBLEACHED KRAFT LINEBOARD UNIT PRICE: MT TOTAL: 100MT+10% ARE ALLOWED PRICE TERM: CFR BUSAN KOREA COUNTRY OF ORIGIN : P. R. CHINA PACKING: STANDARD EXPORT PACKING SHIPPING MARK: ST05-016 BUSAN KOREA https://www.360docs.net/doc/e45974878.html,MERCIAL INVOICE IN 3 COPIES INDICATING LC NO.&CONTRACT NO. ST05-016 2.FULL SET OF CLEAN ON BOARD OCEAN BILLS OF LADING MADE OUT TO ORDER AND BLANK ENDORSED MARKED FREIGHT PREPAID AND NOTIFYING APPLICANT 3.PACKING LIST/WEIGHT LIST IN 3 COPIES INDICATING QUANTITY/GROSS AND NET WEIGHTS 4.CERTIFICATE OF ORIGIN IN 3 COPIES 5.SHIPPING ADVICE SHOWING THE NAME OF THE CARRYING VESSEL, DATE OF SHIPMENT, MARKS, QUANTITY, NET WEIGHT AND GROSS WEIGHT OF THE SHIPMENT TO APPLICANT WITHIN 3 DAYS AFTER THE DATE OF BILL OF LADING.

装箱单

装箱单制单练习 根据所给销售合同制作装箱单。 SALES CONTRACT NO.: 03CAN-1109 DATE: NOV.08,2004 SELLER:JIANGSU INTERNATIONAL IMP. & EXP. CORP. LTD. 80 ZHONGSHAN ROAD, NANJING, CHINA FAX: 86-025-******** TEL: 86-025-******** BUYER:SHEMSY NEGOCE ID CORP. 75 ROUTE 96570 DARDILLY, FRANCE FAX: 33-56-12345678 TEL: 33-56-12345678 BUYER’S ORDER NO.: FE021G INV NO.: 19540934 THIS SALES CONFIRMATION IS HEREBY MUTUALLY CONFIRMED, TERMS AND CONDITIONS ARE AS FOLLOWS: NAME OF GOODS AND SPECIFICATIONS QUANTITY UNIT PRICE AMOUNT LUGGAGE SET OF 8PCS 400SETS USD20.00/SET FOB SHANGHAI USD8,000.00 TOTAL 400SETS USD8,000.00 SAY US DALLARS EIGHT THOUSAND ONLY PACKING: TWO SETS IN ONE SEAWORTHY CARTON GROSS WEIGHT: 22.00KGS EACH CARTON NET WEIGHT: 20.00KGS EACH CARTON MEASUREMENT(L×W×H): 82.5CM×25.5CM×61CM PER CARTON SHIPPING MARKS: MARK THE BUYER’S INITIALS IN A DIAMOND SHIPMENT: X TO BE MADE (45 DAYS BY SEA AFTER RECEIVED 30% T/T PAYMENT) FROM CHINA PORT TO (AS BUYER’S DEMANDS) PARTIAL SHIPMENTS AND TRANSSHIPMENT ARE ALLOWED. PAYMENT:X 30% T/T IN DEPOSIT, 70% AGAINST FAXED B/L INSURANCE:TO BE EFFECTED BY THE SELLER FOR ( ) % OF INVOICEVALUE TO COVER ( ) RISK AND WAR RISK UPTP ( ) AS PERTHE OCEAN MARINE CARGO CLAUSE AND W AR RISK CLAUSE OF THE PEOPLE’S INSURANCE COMPANY OF CHINA X TO BE EFFECTED BY THE BUYER SELLER: JIANGSU INTERNATIONAL IMP. &EXP. CORP. LTD. BUYER: SHEMSY NEGOCE ID CORP.

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