单证操作期中复习练习二

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国际商务单证操作考试题库

国际商务单证操作考试题库

国际商务单证操作考试题库一、选择题1. 在国际贸易中,以下哪个单证用于证明货物所有权的转移?A. 装箱单B. 提单C. 裕固书D. 发票2. 调运货物时,以下哪个单证被用于证明货物已经装船?A. 提单B. 发票C. 装箱单D. 产地证明书3. 在信用证操作中,以下哪个单证通常由供应商提供给买方?A. 发票B. 产地证明书C. 装箱单D. 提单4. 在国际贸易中,以下哪个单证通常由供应商提供给买方,以证明商品的原产地?A. 产地证明书B. 装箱单C. 提单D. 发票5. 在信用证操作中,以下哪个单证由买方提供给供应商,以指示货物的装运要求?A. 装箱单B. 提单C. 发票D. 产地证明书二、填空题1. 在船运贸易中,运输工具的名称和航行日期通常出现在__________ 上。

2. 发票是商品和服务的售出凭证,用于记录买卖双方之间的__________ 情况。

3. 在货物进口的过程中,由海关签发的文件被称为 ___________ 。

4. 当货物由多种运输工具运输时,运输联单的航程从起运港到目的港的整个运输过程中仅能使用 __________ 运输工具。

5. 在船运业务中,已经装船的货物会由船公司出具 ___________ ,证明货物已经装船。

三、简答题1. 请简要介绍信用证的作用和重要性。

2. 请列举并解释国际贸易中的三个主要单证。

3. 请解释装箱单的作用,并说明其中需要包含的关键信息。

四、案例分析题某公司从中国进口一批货物,根据合同规定,买方需要提供以下四项单证给卖方:- 提单- 发票- 产地证明书- 装箱单请你分析以上四项单证的作用和用途,并解释它们在国际贸易中的重要性。

五、论述题请阐述国际商务单证操作对于确保贸易安全和顺利进行的重要性,并列举其中的几个关键单证并解释其作用。

六、总结本文通过选择题、填空题、简答题、案例分析题和论述题的形式,对国际商务单证操作考试题库进行了全面回顾。

国际商务单证在贸易中起到至关重要的作用,可以保证贸易安全和顺利进行。

单证考试题及答案

单证考试题及答案

单证考试题及答案一、选择题(每题2分,共20分)1. 信用证支付方式下,出口商需要提交的单据中不包括以下哪一项?A. 商业发票B. 装箱单C. 运输提单D. 银行汇票答案:D2. 在国际贸易中,以下哪种运输方式不属于海运?A. 散货船运输B. 集装箱船运输C. 航空运输D. 滚装船运输答案:C3. 根据《国际贸易术语解释通则》(Incoterms),以下哪个术语要求卖方负责将货物运输到指定目的地?A. EXWB. FOBC. DAPD. CIF答案:C4. 在国际贸易中,以下哪种支付方式不属于预付款?A. 信用证B. 电汇C. 托收D. 汇票答案:C5. 以下哪个选项不是信用证的特点?A. 银行信用B. 单据交易C. 无条件付款D. 买方信用答案:D6. 根据《联合国国际货物销售合同公约》(CISG),以下哪项不是卖方的基本义务?A. 交付货物B. 交付单据C. 提供货物的所有权D. 保证货物质量答案:C7. 在国际贸易中,以下哪种保险条款不包括货物运输过程中的全部风险?A. 一切险B. 水渍险C. 平安险D. 战争险答案:C8. 以下哪个选项不是国际商会(ICC)出版的国际贸易规则?A. IncotermsB. UCPC. ISPSD. URC答案:C9. 在国际贸易中,以下哪种单据不是商业单据?A. 商业发票B. 装箱单C. 保险单D. 海关发票答案:C10. 以下哪个选项不是信用证的特点?A. 独立性B. 单据交易C. 无条件付款D. 可转让性答案:C二、填空题(每题2分,共20分)11. 在国际贸易中,信用证的开证行是___________。

答案:买方的银行12. 根据《国际贸易术语解释通则》,FOB术语下,卖方负责将货物交至船边,而买方负责___________。

答案:支付运费和保险费13. 在国际贸易中,D/P(付款交单)是指出口商通过银行向进口商提交单据,并要求进口商在付款后领取单据的一种支付方式,其中D代表___________。

国际商务单证员单证基础理论与知识(进口单证)模拟试卷2(题后含

国际商务单证员单证基础理论与知识(进口单证)模拟试卷2(题后含

国际商务单证员单证基础理论与知识(进口单证)模拟试卷2(题后含答案及解析)题型有:1. 单项选择题 2. 多项选择题 3. 判断题 4. 简答题单项选择题40小题,每小题1分,共40分。

单项选择题的答案只能选择一个,多选不得分,请在答题卡上将相应的选项涂黑。

1.下列不属于进口商务单证的是( )。

A.发票B.进口货物报关单C.提单D.原产地证书正确答案:B解析:进口商务单证主要包括:发票、提单、装箱单或磅码单、品质与重量证书、原产地证书等。

B项,进口货物报关单属于进口到货单证。

知识模块:进口单证2.下列关于商务单证的表述,不正确的是( )。

A.商务单证是买卖双方交割货物的主要依据和支付货款的惟一凭证B.衡量是否符合成交条款的书面证明C.对外索赔的凭证D.代表货物所有权的物权凭证或运输凭证正确答案:D解析:D项,代表货物所有权的物权凭证或运输凭证是提单的特点,其他商务单证并不具备此特点。

知识模块:进口单证3.( )是没有归入进口到货单证类别中的单据。

A.运输单据B.保险单证C.入境货物通关单D.进口货物报关单正确答案:A解析:进口到货单证包括保险单证、进口货物报关单和入境货物通关单三种类别。

A项,运输单据属于进口商务单证。

知识模块:进口单证4.海关对进口货物凭出入境检验检疫机构填发的有关单据办理海关通关手续,该单据是( )。

A.入境货物通关单B.进口货物报关单C.查验通知D.进口许可证正确答案:A解析:法定检验的进口货物入境需经过中华人民共和国出入境商品检验检疫局的法定检验,并且填制《入境货物通关单》向各出入境口岸地商品检验检疫局申报并接受检验检疫。

海关凭出入境检验检疫机构填发的《入境货物通关单》对进口货物办理海关通关手续。

知识模块:进口单证5.进口货物单据的审核,是进口合同履行过程中的一个重要环节。

如采用信用证支付方式,一般( )是审核单据的单位。

A.由开证银行和进口企业共同对货物单据进行审核B.只由进口企业审核即可C.只由议付行审核即可D.只由开证行审核即可正确答案:A解析:如采用信用证支付方式,由开证银行和进口企业共同对货物单据进行审核。

外贸单证综合制单练习题

外贸单证综合制单练习题

第二部分综合制单目的单证学习者在掌握了各种单据的缮制要求和制单技巧后,有必要进行系统的综合训练,通过本模拟综合制单训练,学习者可以对各种不同类型的信用证、合同以及订单等文件进行分析,从而进一步熟悉和掌握外贸业务流程的各个环节,提高处理外贸单证的实际操作能力。

综合制单练习练习1 根据下列国外来证及有关信息制单。

AWC-23-522号合同项下商品的有关信息如下:该批商品用纸箱包装,每箱装10盒,每箱净重为75公斤,毛重为80公斤,纸箱尺寸为113×56×30CM,商品编码为6802.2110,货物由“胜利”轮运送出海。

FROM: HONGKONG AND SHANGHAI BANKING CORP., HONGKONGTO: BANK OF CHINA, XIAMEN BRANCH, XIAMEN CHINATEST: 12345 DD. 010705 BETWEEN YOUR HEAD OFFICE AND US. PLEASE CONTACT YOUR NO. FOR VERIFICATION.WE HEREBY ISSUED AN IRREVOCABLE LETTER OF CREDITNO. HKH123123 FOR USD8,440.00, DATED 040705.APPLICANT: PROSPERITY INDUSTRIAL CO. LTD.342-3 FLYING BUILDING KINGDOM STREET HONGKONGBENEFICIARY: XIAMEN TAIXIANG IMP. AND EXP. CO. LTD.NO. 88 YILA ROAD 13/F XIANG YE BLOOK RONG HUA BUILDING, XIAMEN, CHINATHIS L/C IS AVAILABLE WITH BENEFICIARY’S DRAFT A T 30 DAYS AFTER SIGHT DRAWN ON USACCOMPANIED BY THE FOLLOWING DOCUMENTS:1.SIGNED COMMERCIAL INVOICE IN TRIPLICATE.2.PACKING LIST IN TRIPLICATE INDICATING ALL PACKAGE MUST BE PACKED IN CARTON/ NEWIRON DRUM SUITABLE FOR LONG DISTANCE OCEAN TRANSPORTATION.3.CERTIFICATE OF CHINESE ORIGIN IN DUPLICATE.4.FULL SET OF CLEAN ON BOARD OCEAN MARINE BILL OF LADING MADE OUT TO ORDER AND BLANKENDORSED MARKED “FREIGHT PREPAID” AND NOTIFY APPLICANT.5.INSURANCE POLICY OR CERTIFICATE IN DUPLICATE ENDORSED IN BLANK FOR THE VALUE OF110 PERCENT OF THE INVOICE COVERING FPA/WA/ALL RISKS AND WAR RISK AS PER CIC DATED1/1/81.SHIPMENT FROM: XIAMEN, CHINA .SHIPMENT TO: HONGKONGLATEST SHIPMENT 31 AUGUST 2004PARTIAL SHIPMENT IS ALLOWED, TRANSSHIPMENT IS NOT ALLOWED.COVERING SHIPMENT OF:COMMODITY AND SPECIFICATIONS QUANTITY UNIT PRICE AMOUNTCIF HK 1625/3D GLASS MARBLE 2000BOXES USD2.39/BOX USD4,780.001641/3D GLASS MARBLE 1000BOXES USD1.81/BOX USD1,810.002506D GLASS MARBLE 1000BOXES USD1.85/BOX USD1,850.00SHIPPING MARK: P.7.HONGKONGNO. 1-400ADDITIONAL CONDITIONS:5 PERCENT MORE OR LESS BOTH IN QUANTITY AND AMOUNT IS ALLOWED.ALL BANKING CHARGES OUTSIDE ISSUING BANK ARE FOR ACCOUNT OF BENEFICIARY. DOCUMENTS TO BE PRESENTED WITHIN 15 DAYS AFTER THE DATE OF ISSUANCE OF THE SHIPPING DOCUMENT BUT WITHIN THE VALIDITY OF THE CREDIT.INSTRUCTIONS:NEGOTIATING BANK IS TO SEND DOCUMENTS TO US IN ONE LOT BY DHL.UPON RECEIPT OF THE DOCUMENTS IN ORDER WE WILL COVER YOU AS PER YOUR INSTRUCTIONS. L/C EXPIRATION: 15 SEP. 2004.THIS L/C IS SUBJECT TO UNIFORM CUSTOMS AND PRACTICE FOR DOCUMENTARY CREDITS (1993 REVISION) INTERNATIONAL CHAMBER OF COMMERCE PUBLICATION NO. 500.PLEASE ADVISE THIS L/C TO THE BENEFICIARY WITHOUT ADDING YOUR CONFIRMATION. THIS TELEX IS THE OPERATIVE INSTRUMENT AND NO MAIL CONFIRMATION WILL BE FOLLOWED. +++++发票:XIAMEN TAIXIANG IMP. AND EXP. CO. LTD.NO. 88 YILA ROAD 13/F XIANG YE BLOOK RONG HUA BUILDING, XIAMEN, CHINACOMMERCIAL INVOICETO: INVOICE NO: DATE:L/C NO: S/C NO:_________________________________________箱单:XIAMEN TAIXIANG IMP. AND EXP. CO. LTD.NO. 88 YILA ROAD 13/F XIANG YE BLOOK RONG HUA BUILDING, XIAMEN, CHINA装箱单PACKING LISTExporter:_____________________ DATE: ________________ _____________________INVOICE NO.___________________________________S/C NO.___________________FROM_________________________TO_____________________ SHIPPING QUANTITY DES. N.W G.W MEAS海运提单BILL OF LADING保险单中国平安保险股份有限公司运输工具查勘代理人per conveyance S.S. Survey By:起运日期自Slg. on or abt. From至To保险金额Amount Insured保险货物项目、标记、数量及包装:承保条件Description, Marks, Quantity & Packing of Goods:Conditions:签单日期Date:For and on behalf ofPING AN INSURANCE COMPANY OF CHINA,LTD.authorized signature汇票凭Drawn under ………………………………………..…………………..信用证第号L/C No…………………………….………日期Dated ………………………………….按息付款Payable with interest @....…………号码汇票金额中国,厦门年月日No: ………….……Exchange for Xiamen , China………………...…见票日后(本汇票之副本未付)At……..…………………Sight of this FIRST of Exchange (Second of exchange being unpaid)pay to the order of BANK OF CHINA, XIAMEN BRANCH 或其指定人付金额The sum ofTo………………………………………..………………………………………..练习2 根据下列国外来证及有关信息制单。

2012-6-3单证(操作题目复习内容)

2012-6-3单证(操作题目复习内容)

五、操作题(一)根据合同审核信用证买卖双方签署的合同浙江永康剑鼓手工具进出口有限公司ZHEJIANG YK GG HAND TOOL I/E CO., LTD.296 HUAYANG ROAD, YONGKANG CITY ZHEJIANG, CHINA销售确认书SALES CONFIRMATIONTo:SAYID TOOL ENTERPRISES S/C No.: YKGG110609753 TARRAGONA ROAD Date: 09 JUNE 2011 DURBAN SOUTH AFRICA Place: YONGKANG, CHINADear Sirs:We hereby confirm having sold to you the following goods on terms and conditions as specifiedFIFTEEN ONLY.Port of loading: NINGBO / SHANGHAIPort of discharge: D URBAN, SOUTH AFRICATime of Shipment: ON OR BEFORE 16 JULY 2011Partial: NOT ALLOWEDTransshipment: ALLOWEDInsurance: TO BE EFFECTED BY THE SELLER FOR 110 PCT OF THE INVOICE VALUE COVERING ALL RISKS AND WAR RISK AS PER ICC(A) DATED 01/01/2010Terms of Payment: BY CONFIRMED AND IRREVOCABLE LETTER OF CREDIT IN FAVOUR OF THESELLER TO BE AVAILABLE BY SIGHT DRAFTS AND TO BE OPENED AND REACHCHINA ON OR BEFORE 13 JUN. 2011 REMAINING VALID FOR NEGOTIATION INCHINA UNTIL THE 15TH DAYS AFTER THE TIME OF SHIPMENTInspection: INSPECTED BY CIQShipping Marks: AS PER SELLER’S OPTIONDocuments required: MANUALLY SIGNED COMMERCIAL INVOICE IN TRIPLICATEFULL SET CLEAN ON BOARD BILL OF LADING MADE OUT TO ORDER AND BLANK ENDOURSEDNOTIFY THE BUYERINSURANCE POLICY IN DUPLICATEINSPECTION CERTIFICATE ISSUED BY CIQPACKING LIST IN TRIPLICATECERTIFICATE OF ORIGINThe Seller: The Buyer:Zhejiang YK GG Hand Tool I/E Co., Ltd.Sayid Tool Enterprises李四Mohamed Sayid进口国开来的有错误的信用证ISSUING BANK: NATIONAL BANK OF SOUTH AFRICA, DURBANADVISING BANK: BANK OF CHINA, ZHEJIANG BRANCHSEQUENCE OF TOTAL *27: 1/1FORM OF DOC. CREDIT *40A: IRREVOCABLEDOC. CREDIT NUMBER *20: NBB11-06-287DATE OF ISSUE 31C: 110612EXPIRY *31D: DATE 110716 PLACE AT DURBANAPPLICANT *50: SAYID TOOL ENTERPRISES753 TARRAGONA ROADDURBAN SOUTH AFRICABENEFICIARY *59: ZHENJIANG YK GG HAND TOOL I/E CO., LTD.269 HUAYANG ROADZHEJIANG CHINAAMOUNT *32B: CURRENCY USD AMOUNT 25700.00AVAILABLE WITH/BY *41D: ANY BANKBY NEGOTIATIONDRAFT AT … 42C: AT SIGHTFOR FULL INVOICE VALUEDRAWEE 42D: NATIONAL BANK OF SOUTH AFRICADURBANPARTIAL SHIPMENT 43P: NOT ALLOWEDTRANSSHIPMENT 43T: ALLOWEDPORT OF LOADING 44E: NINGBO / SHANGHAIPORT OF DISCHARGE 44F: DURBAN SOUTH AFRICALATEST DATE OF SHIP. 44C: 110716DESCRIPTION OF GOODS 45A:HAND TOOLS AS PER S/C NO. YKGG110906CIFC5 DURBAN10PCS COMBINATION SPANNER1200SETS, USD11.00PER SET12PCS DOUBLE OFFSET RING SPANNER1000SETS, USD12.50 PER SETPACKING: IN ONE CARTON OF 20 SETS EACH, TOTAL INONE 20 FEET FULL CONTAINER LOAD.DOCUMENTS REQUIRED 46A:+SIGNED COMMERCIAL INVOICE IN THREE COPIES+FULL SET CLEAN ON BOARD OCEAN BILL OF LADINGMADE OUT TO ORDER MARKED FREIGHT COLLECTNOTIFY APPLICANT+PACKING LIST IN THREE COPIES+CERTIFICATE OF ORIGIN GSP FORM A IN ONE COPIES+ INSPECTION CERTIFICATE FOR QUALITY ISSUED BYENTRY-EXIT INSPECTION AND QUARANTINE OF THEPEOPLE’S REPUBLIC OF CHINA+BENEFICIARY’S CERTIFICATE STATING THAT EACHCOPY OF INVOICE, BILL OF LADING AND PACKINGLIST HAVE BEEN SENT TO APPLICANT IMMEDIATELYAFTER SHIPMENTADDITIONAL COND. 47A:+DOCUMENTS PRESENTED WITH DISCREPANCYWHETHER INDICATED OR FOUND IS SUBJECT TO AHANDLING FEE OF USD50.00 WHICH IS PAYABLE BYTHE BENEFICIARY AND WILL BE DEDUCTED FROMPROCEEDS UPON NEGOTIATION+THIS CREDIT IS SUBJECT TO THE U. C. P. FORDOCUMENTARY CREDITS (2007 REVISION) ICCPUBLICATION NO 600DETAILS OF CHARGES 71B: ALL BANK CHARGES OUTSIDE SOUTH AFRICA AREFOR ACCOUNT OF THE BENEFICIARYPRESENTATION PERIOD 48: WITHIN 5 DAYS AFTER THE DATE OF SHIPMENT BUTWITHIN THE VALIDITY OF THE CREDIT CONFIRMATION *49: WITHOUTINSTRUCTION 78: ON RECEIPT OF DOCUMENTS IN ORDER AT OURCOUNTER, WE SHALL REMIT IN ACCORDANCE WITHTHE NEGOTIATING BANK’S INSTRUCTION IN THESAME CURRENCY OF THE CREDITSEND. TO REC. INFO. 72: DOCUMENTS TO BE DISPATCHED BY COURIER SERVICEIN ONE LOT TO NATIONAL BANK OF SOUTH AFRICA,TRADE SERVICES, 109 ORANGE STREET DURBAN,SOUTH AFRICA1.经审核,信用证中的错误有如下十处:(1)40A信用证种类错,应该是:CONFIRMED AND IRREVOCABLE。

单证员考证复习资料-制单题2(含答案)

单证员考证复习资料-制单题2(含答案)

第三题根据所给出的信用证和相关资料,按题意完成各小题L/C 样本FM: HABIB BANK LTD., DUBAITO: BANK OF CHINA, NANJING BRANCHForm of Doc. Credit *40 A: IRREVOCABLEDoc. Credit Number *20: LC-2008-1098Date of Issue 31C: 081010Expiry *31 D: Date 081230 Place CHINAApplicant *50 : AL-HADON TRADING COMPANYP. O. BOX NO. 1198, DUBAIU A EBeneficiary *59: NANJING GARMENTS IMP. AND EXP. CO., LTD.NO. 301 ZHEN AN TONG ROADNANJING CHINAAmount *32B: Currency USD Amount 40,750.00Pos. / Neg. Tol. (%) 39A: 5/5Available with /by *41D: ANY BANKBY NEGOTIATIONDraft at ······42C: DRAFTS AT 60 DAYS AFTER SIGHTFOR FULL INVOICE VALUEDrawee 42A:* HABIB BANK LTD., DUBAI*TRADING SERVICES, POX 1106,*DUBAI U A EPartial Shipments 43P: ALLOWEDTransshipment 43T: ALLOWEDPort of loading 44E: NANJING CHINAPort of discharge 44F: DUBAI U A ELatest Date of Ship. 44C: 081215Descript. of Goods 45A:MEN’S UNDERWEAR CFR DUBAIART NO. 3124A, U. PRICE USD52.50/DOZ, 300DOZART NO. 3125A, U. PRICE USD50.00/DOZ, 500DOZALL OTHER DETAILS AS PER PROFORMA INVOICE NO. HT-2578 OF M/S. HALLSON TRADING P. O. BOX 2512 DUBAI U A EDocuments required 46A:+SIGNED COMMERCIAL INVOICE IN TRIPLICATE+PACKING AND ASSORTMENT LIST IN TRIPLICATE STATING THAT THE GOODS OF SIZE S, M, L, XL ARE PACKED INTO 4 DOZ PER ONE EXPORT CARTON, EACH SIZE EACH DOZEN +MANUALLY SIGNED CERTIFICATE OF ORIGIN IN TRIPLICATE SHOWING B/L NOTIFY PARTY AS CONSIGNEE AND INDICATING THE NAME OF THE MANUFACTURER+FULL SET OF CLEAN ON BOARD BILLS OF LADING MADE OUT TO ORDER OF SHIPPER AND BLANK ENDORSED AND MARKED FREIGHT PREPAID, NOTIFY M/S HALLSONTRADING, P. O. BOX NO. 2512 DUBAI U A E AND ALSO SHOWING THE NAME, ADDRESS, TEL. NO. OR FAX NO. OF THE CARRYING VESSEL’S AGENT AT PORT OF DISCHARGE+A SEPARATE CERTIFICATE FROM THE SHIPPING CO. OR ITS AGENT CERTIFYING THAT THE CARRYING VESSEL IS ALLOWED BY ARAB AUTHORITIES TO CALL AT ARABIAN PORTS AND IS NOT SCHEDULED TO CALL AT ANY ISRAELI PORTS DURING ITS TRIP TO ARABIAN COUNTRIES+SHIPPING ADVICE MUST BE SENT TO THE DUBAI INSURANCE COMPANY ON FAX NO. 82354322 SHOWING THE SHIPPING DETAILS+ONE SET OF NON-NEGOTIABLE SHIPPING DOCUMENTS AND SHIPMENT SAMPLES SHOULD BE SENT DIRECTLY TO THE OPENERS AND A CERTIFICATE AND RELATIVE POST RECEIPT FOR THIS EFFECT IS REQUIREDAdditional Conditions 47A:1.INSURANCE TO BE EFFECTED BY BUYER2.REIMBURSEMENT UNDER THIS CREDIT IS SUBJECT TO UNIFORM RULES FOR BANK TO BANK REIMBURSEMENT UNDER DOCUMENTARY ICC PUBLICATION NO. 5253.WE SHALL ARRANGE REMITTANCE OF THE PROCEEDS TO YOU ON RECEIPT OF DOCUMENTS COMPLYING WITH THE TERMS OF THIS L/C CONFIRMING THAT THE DRAFT AMOUNT HAS BEEN ENDORSED ON THIS LETTER OF CREDIT.4.AMOUNT AND QUANTITY 5 PCT MORE OR LESS ARE ALLOWED.5.ALL DOCUMENTS MUST SHOW OUR L/C NUMBER.6.THIS L/C IS UNRESTRICTED FOR NEGOTIATION.Details of Charges 71B: ALL BANKING CHARGES OUTSIDE DUBAI ARE FOR A/C OF BENEFICIARYPresentation Period 48: DOCUMENTS TO BE PRESENTED WITHIN 15 DAYS AFTER THE DATE OF SHIPMENT,BUT WITHIN THE VALIDITY OF THE CREDIT相关资料:发票号码:2008-1500 发票日期:2008年11月30日提单号码:HSKK50088 提单日期:2008年12月10日船名:CMA CROWN V. 987 集装箱:1×20’ LCL CFS/CFS集装箱号:TRIU287756 封号:80709原产地证号:08NJ98699 商品编号:6302.2900包装:4DOZ/CTN,体积:58×40×25CMS,净重:20.00KGS/CTN 毛重:22.00KGS/CTN合同号:NG08-2578 预约保单号:08-236147议付银行:中国银行南京分行(BANK OF CHINA, NANJING BRANCH)生产厂家:南京佳美服装厂(NANJING JUSTMADE GARMENTS FACTORY)唛头:HALLSONHT-2578DUBAINO. 1-2001.问答题请分别写出本信用证的开证银行、开证申请人、受益人、通知银行及本信用证的启运港、目的港名称,并分别写出信用证的开证日、交单期、最后装船日和有效期与到期地点。

2021单证员考试《基础知识与理论》练习题2

2021单证员考试《基础知识与理论》练习题2 202*单证员考试《基础知识与理论》练习题2判断题1.不使用海关发票或领事发票的国家,通常要求出口商提供原产地证明书,以确定对货物征税的税率。

(√ )2.在进出口贸易中,我们要尽量选择我方责任低、费用少和风险小的贸易术语。

(× )3.水渍险的责任范围除包括平安险的各项责任外,还负责被保货物由于恶劣气候、雷电、海啸、地震、洪水等自然灾害造成的部分损失。

(√ )4.背对背信用证与未经保兑的可转让信用证一样对进口商有利。

(√ )5.航空运单、铁路运单的抬头,可做成“凭指示(To order)”或“凭某人指示(To order of ABC)”的抬头。

(× )6.如果信用证对分批装运没有明确规定,就意味着不能分批装运。

(× )7.按CIF术语成交,卖方一般情况下只投保最低险别及战争险。

(× )8.汇票的“出票”,就是出票人在汇票上写明有关内容并签名的行为。

(× )9.把CIF称作“到岸价”,理所当然卖方承担货物到达目的港之前的风险与责任。

(× )10.我国内的通过铁路运往港、澳的出口货物所使用的货运单据为承运货物收据。

(√ )11.银行可以拒绝接受表明投保生效日期迟于装运日期的保险单。

(√ )12.接受的形式一般用函电和口头的方式来表达,但是在国际上“接受”也可以用行为表现出来,所以一旦客户接受我们的价格,我们就可以立即生产。

(× )13.凡是共同海损,都属于全部损失。

(× )14.在象征性交货下,装运和交货同时发生,卖方凭单交货,买方凭单付款。

(√ )15.销售包装又称内包装、小包装或直接包装。

(√ )16.在交易磋商过程,对发盘的逾期接受一律无效。

(× )17.追索是指汇票遭到拒付时,持票人可要求其前手(背书人、承兑人或出票人)清偿汇票金额及有关费用的行为。

国际贸易国际贸易单证实务与操作课后练习参考答案

国际贸易国际贸易单证实务与操作课后练习参考答案国际贸易单证实务与操作课后练习参考答案项目一认识国际商务单证基础知识训练一、单项选择题1.A2.C3.B4.B5.C二、多项选择题1.ABCD2.BCD3.ABD4.ABC5.ABCD三、判断题1.×2.√3.×4.√5.√四、案例分析题1.不能拒绝退款。

理由:(1)L/C业务是纯单据业务,单证不符不能付款,银行仅处理单据,不问货物真实情况。

(2)尽管开证申请人将货物提走,但开证行并未将单据交给开证人。

所以,议付行应向受益人追索所垫付的货款,退款给开证行。

2.我公司不能顺利结汇。

理由:(1)根据《UCP600》相关规定,只要受益人提供的单据符合信用证规定,开证行必须履行付款义务。

本案中我公司提出信用证装运期的延期要求仅得到A公司的允诺,并未由银行开出修改通知书,所以A公司同意修改是无效的。

(2)信用证上规定装运期“不晚于7月15日”,而我公司所交提单的签发日为8月10日。

与信用证规定不符,即单证不符,银行可以拒付。

五、操作题单据名称正确签发日期出口货物许可证2009年5月20日商业发票2009年5月15日装箱单2009年5月15日商业汇票2009年6月5日原产地证明2009年5月20日出口商检证书2009年5月23日出口货物保险单2009年5月29日海运提单2009年5月30日出口货物报关单2009年5月29日装船通知2009年5月30日项目二信用证操作任务一申请开立信用证第一部分基础知识训练一、单项选择题1.A2.B3.D4.B5.D二、多项选择题1.ABC2.AD3.ABCD4.BCD5.ABD三、判断题1.×2.×3.×4.√5.√四、案例分析题1.甲公司指出的不符点不成立。

因为,首先,关于第一个不符点,UCP600第3条已明确规定,信用证是独立于销售合同的独立文件,不受合同制约,即使信用证中提及其可能依据的销售合同或其他合同,银行也与该合同无关且不受其约束;其次,关于“保函不是由第一流的银行开立”这一“不符点”,UCP600第20条也对“第一流”这一类模糊用语做出规定:不应使用诸如“第一流”、“著名”、“独立”、“正式”、“有资格”、“当地”及类似词语来描述信用证项下提交的人和单据的出单人。

国际商务单证缮制与操作模式试题(二)

国际商务单证缮制与操作模式(二)国际商务单证缮制与操作模式(二)一、单选题(共20题,共40分)1.根据海关法规定,滞报金的日征收金额为进口货物的完税价格的( )。

A.0.5%B.0.05%C.5%D.50%2.报关单位是指办理了( )手续,取得办理进出口货物报关资格的境内法人。

A.工商注册登记B.税务登记C.企业主管部门登记D.海关报关注册登记3.某纺织品进口公司在国内购一批坯布运出境印染,复运进境后委托服装厂加工成服装,然后回收出口。

前后两次出口适用的报关程序分别是:()A.暂准出境和一般出口B.一般出口和进料加工C.出料加工和一般出口D.出料加工和进料加工4.请指出下列哪一项货物或物品不适用暂准进出口通关制度:()A.进口待转口输出的转口贸易货物B.在展览会中展示或示范用的进口货物、物品C.承装一般进口货物进境的外国集装箱D.来华进行文艺演出而暂时运进的器材、道具、服装等5.根据《中华人民共和国海关法》的规定,进口货物的收货人向海关申报的时限是:()A.自运输工具申报进境之日起7日内B.自运输工具申报进境之日起10日内C.自运输工具申报进境之日起14日内D.自运输工具申报进境之日起15日内6.郑州某企业使用进口料件加工的成品,在郑州海关办妥出口手续,经天津海关复核放行后装船运往美国。

此项加工成品复出口业务,除按规定已办理了出口手续外,同时,还要办理的手续的是:()A.境内转关运输手续B.货物过境手续C.货物登记备案手续D.出口转关运输手续7.某服装进出口公司自日本进口一批工作服,在向海关申报时,其报关单“贸易方式”栏应填报为:()A.一般贸易B.货样广告品C.货样广告品D.货样广告品B8.()是海关接受申报时给予报关单的编号。

A.预录入编号B.海关编号C.备案号D.项号9.英国生产的产品,中国购自新加坡,经香港转运至中国,填写报关单时起运地为()A.英国B.新加坡C.香港D.不用填写10.报关单备注栏目应该选填下列哪项内容。

《单证实务》期中考试卷及答案

象山县职业高级中学二O一四学年第一学期《单证实务》期中考试卷(满分100分)(命题人:史敏)班级__________姓名__________学号_______成绩_______ 一、请把下面的英文术语翻译成汉语(每个1分,共25分)APPLICANT BENEFICIARYDA TE OF ISSUE DRAWEEPARTIAL SHIPMENT PORT OF LOADINGBILL OF LOADING L/CNO.QUANTITY LATEST SHIPMENTSHIPPING MARKS GOODS DESCRIPTAT SIGHT UNIT PRICELETTER OF CREDIT AMOUNTCLEAN ON BOARD TO ORDERFREIGHT PREPAID EXPIRYCONTRACT INSURANCEIRREVOCABLE PAYMENTUSD75820.00(大写表述)二、根据合同审核信用证,找出不符点并改正(每处3分,共30分)SALES CONFIRMATIONSeller:SHANGHAI FOREIGN TRADE CORP. NO. ZCM9368151 JINLIN ROAD, SHANGHAI,CHINA Date:SEP 27,2004Buyer:MOUN CO., LTDNO. 443, 249 ROAD BANGKOK,THAILANDThe undersigned Sellers and Buyers have agreed to close the following transaction according to the terms and conditions stipulated below:SHIPMENT:To be effected before 041220 from shanghai to BANGKOK,THAILAND with partial shipment not allowed andtransshipment allowed.PAYMENT:By L/C at sightPACKING :20KGS IN ONE NEW AND EXPORTWORTHY BAGSHIPPING MARKS:N/MINSURANCE:To be covered by the seller for 110% of invoice value againstAll Risks and War Risks as per ocean marine cargoclauses and ocean marine cargo war risks clauses ofP.I.C.C .dated 1/1/1981.The Buyer The SellerMOUN CO., LTD SHANGHAI FOREIGN TRADE CORP.2.国外来证SEQUENCE OF TOTAL *27:1/1FORM DOC CREDIT *40 A:REVOCABLEDOC CREDIT NUM *20:BKKB1103043DA TE OF ISSUE 31 C:001103DA TE/PLACE EXP *31 D:DA TE 050105 PLACE CHINAAPPLICANT *50:MOU CO., LTDNO. 443, 249 ROAD BANGKOK THAILAND BENEFICIARY *59:SHANGHAI FOREIGN TRADE CORP.15 JINLIN ROAD, SHANGHAI, CHINAAMOUNT *32 B: USD 18000.00 (SAY US DOLLARSEIGHTY THOUSAND ONLY)A V AIL WITH BY *41 D:ANY BANK IN CHINA BY NEGOTIATIONDRAFTS AT 42 C:AT SIGHTDRAWEE 43 D:ISSUING BANKPARTIAL SHIPMT 43 P:NOT ALLOWEDTRANSSHIPMENT 43 T:NOT ALLOWEDPORT OF LOADING 44 A:CHINA MAIN FORT, CHINAPORT OF DESTINATION 44 B:BANGKOK, THAILANDLATEST SHIPMENT 44 C:051220GOODS DESCRIPT. 45 A:2,000 KGS.ISONIAZID BP98AT USD9.00 PER KG CIF BANGKOK DOCUMENTS REQUIRED 46 A :+ MANUALL Y SIGNED COMMERCIAL INVOICE INDICATING THIS L/C NUMBER+ FULL SET OF 3/3 CLEAN ON BOARD OCEAN BILLS OF LADING MADE OUT TO ORDER OF SHIPPER MARKED FREIGHT COLLECT AND NOTIFY APPLICANT+INSURANCE POLICY OR CERTIFICATE IN DUPLICATE ENDORSED IN BLANK FOR 120 PERCENT OF THE INVOICE V ALUE,COVERING ALL RISKS AND WAR RISK AS PER OCEAN MARING CARGO CLAUSES AND OCEAN MARING CARGO W AR RISK CLAUSES DATED JANUARY 1,1981.CHARGES 71 B :ALL BANKING CHARGES OUTSIDE THAILANDARE FOR BENEFICIARIES’ ACCOUNT.PRESENTA TION PERIOD 48:DOCUMENTS MUST BE PRESENTEDWITHIN 15 DAYS AFTER THE DATE OFSHIPMENT WITHIN V ALIDITY OF THISCREDIT.CONFIRMATION *49:WITHOUTADDITIONAL CONDITION 47 A:THIS IS THE OPERATIVE INSTRUMENT SUBJECT TO THEUCP500 (1993 REVISON).**********经审核信用证存在如下问题:(1)(2)(3)(4)(5)(6)(7)(8)(9)(10)三、制单题(请根据所给出的信用证制作汇票、发票、装箱单,每张单据15分,共45分)L/C 样本ISSUING BANK 52A: SAIBJPJT SAHI BANK LTD, TOKYOFORM OF DOC. CREDIT *40 A : IRREVOCABLEDOC. CREDIT NUMBER *20 : LC-410-046405DA TE OF ISSUE 31C : 071022EXPIRY *31 D: DA TE 080115 PLACE CHINAAPPLICANT *50 : SUMITOMO CORPORA TION199 OAA OSAKA, JAPANBENEFICIARY *59 : GUANGDONG YUE FENG TRADING CO.NO.31 ZHEN AN ROAD GUANGZHOU, CHINAAMOUNT *32B : CURRENCY USD AMOUNT 95,200.00A V AILABLE WITH /BY *41D: ANY BANK BY NEGOTIATIONDRAFT AT ······42C : DRAFTS AT SIGHTFOR FULL INVOICE V ALUEDRAWEE 42A : SAIBJPJT SAHI BANK LTD, TOKYOPARTIAL SHIPMENTS 43P : ALLOWEDTRANSSHIPMENT 43T : ALLOWEDLOADING IN CHARGE 44A : GUANGZHOUFOR TRANSPORT TO 44B : OSAKA, JAPANLATEST DA TE OF SHIP. 44C : 071231DESCRIPT. OF GOODS 45A :HALF DRIED PRUNE 2008CROPGRADE SPEC QNTY UNIT PRICE(CASE) (USD/CASE)A L:700CASE M:700CASE 1,400 26.0 CFR OSAKAB L:1400CASE M:1400CASE 2,800 21.0 CFR OSAKAPACKING:IN WOODEN CASE, 12KGS PER CASE DOCUMENTS REQUIRED 46A:+2/3 SET OF CLEAN ON BOARD OCEAN BILLS OF LADING MADE OUT TO ORDER OF SHIPPER AND BLANK ENDORSED AND MARKED “FREIGHT PREPAID” AND NOTIFY SUMITOMO CORPORATION OSAKA.+MANUALL Y SIGNED COMMERCIAL INVOICE IN TRIPLICATE(3) INDICATING APPLICANT’S REF. NO. SCLI-98-0474 .+PACKING LIST IN TRIPLICATE+MANUALL Y SIGNED CERTIFICATE OF ORIGIN+CERTIFICATE OF WEIGHT AND QUALITY IN TRIPLICATE.ADDITIONAL COND. 47A :THIS DOCUMENTARY CREDIT ISSUBJECT TO 《UCP600》.DETAILS OF CHARGES 71B : ALL BANKING CHARGES OUTSIDEJAPAN ARE FOR ACCOUNT OFBENEFICIARYPRESENTA TION PARIOD 48 : DOCUMENTS TO BE PRESENTEDWITHIN 15 DAYS AFTER THE DA TE OFSHIPMENT, BUT WITHIN THE V ALIDITYOF THE CREDIT.补充资料:发票号码:98IN-C314 发票日期:2007年11月18日提单号码:GSOK30088 提单日期:2007年12月08日船名:CHANG GANG V. 98097H集装箱:2×20’ FCL CY/CYTRIU 1567537 SEAL 08133KHLU 6206867 SEAL 08134净重:12.00KGS/CASE毛重:14.00KGS/CASE尺码:(20×10×10)CM/CASESHIPPING MARKS(唛头)SCNOS1-4200OSAKAMADE IN CHINA1.把下列中标有(1)~(12)的地方填写完整。

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根据合同和信用证填制商业发票、汇票,并翻译信用证相关内容上海进出口贸易公司SHANGHAI IMPORT & EXPORT TRADE CORPORATION.1321ZHONGSHAN ROAD SHANGHAI, CHINASALES CONTRACTTEL::HX050264FAX:DATE: Jan.1,2005TO: TKAMLA CORPORATION6-7,KAWARA MACHOSAKA, JAPANDear Sirs,We hereby confirm having sold to you the following goods on terms and conditions as specified below:LOADING PORT: SHANGHAIDESTINATION: OSAKA PORTPARTIAL SHIPMENT: PROHIBITEDTRANSHIPMENT: PROHIBITEDPAYMENT: L/C AT SIGHT.INSURANCE: FOR 110 PERCENT OF THE INVOICE VALUE COVERING ALL RISKS AND WAR RISKTIME OF SHIPMENT: LATEST DATE OF SHIPMENT MAR.16, 2005TKAMLA CORPORATION高田一郎信用证SEQUENCE OF TOTAL *27 : 1 / 1FORM OF DOC,CREDIT L/C类型 *40 A : IRREVOCABLE 不可撤销DOC. CREDIT NUMBER 信用证号码 *20 :DATE OF ISSUE 开证日期 31 C : 050112信用证失效地点及日期DATE AND PLACE OF EXPIRY *31 D : DATE 050317 PLACE IN THE COUNTRY OF BENEFICIARY在受益人国家的地方APPLICANT 开证申请人 *50 : TKAMLA CORPORATION6-7,KAWARA MACHOSAKA,JAPANISSUING BANK 开证行 52A :FUJI BANK LTD 日本富士银行1013,SAKULA OTOLIKINGZA MACHITOKYO ,JAPAN日本东京BENEFICIARY 信用证受益人 *59 :SHANGHAI TOOL IMPORT & EXPORT CO., LTD上海进出口贸易公司31,GANXIANG ROADSHANGHAI, CHINAAMOUNT 金额 *32 B :CURRENCY USD AMOUNT 12 500.00货币美元金额12AVAILABLE WITH / BY *41 D :ANY BANK IN CHINA通过协商的任何一家中国境内银行议付行 BY NEGOTIATIONDRAFTS AT …付款时间 42 C :DRAFTS AT SIGHT 见票即付FOR FULL INVOICE COSTDRAWEE 付款人 42 A :FUJI BANK LTDPARTIAL SHIPMENTS分批装运 43 P :PROHIBITED 禁止TRANSSHIPMENT 转船 43 T :PROHIBITED禁止LOADING ON BOARD 装运港 44 A :SHANGHAI 上海FOR TRANSPORTATION TO … 44 B :OSAKA PORTLATEST DATE OF SHIPMENT 44 C :050316最迟装运日期DESCRIPT OF GOODS 货物描述 45 A :COTTON BLANKET 棉质毛毯ART NO.H666 500 PCS USD 5.50/PCART NO.HX88 500 PCS USD 4.50/PCART NO.HE21 500 PCS USD 4.80/PCART NO.HA56 500 PCS USD 5.20/PCART NO.HH46 500 PCS USD 5.00/PCCIF OSAKA CIF 大阪DOCUMENTS REQUIRE必须单据 46 A :+ SIGNED COMMERCIAL INVOICE IN TRIPLICATE.+ PACKING LIST IN TRIPLICATE IN TRIPLICATE+ CERTIFICATE OF ORIGIN GSP CHINA FORM A, ISSUED BY THECHAMBER OF COMMERCE OR OTHER AUTHORITY DULY ENTITLED FOR THISPURPOSE.+ 3/2 SET OF CLEAN ON BOARD OCEAN BILLS OF LADING, MADE OUTTO ORDER OF SHIPPER AND BLANK ENDORSED AND MARKED“ FREIGHT PREPAID ”AND NOTIFY APPLICANT.+ FULL SET OF NEGOTIABLE INSURANCE POLICY OR CERTIFICATEBLANK ENDORSED FOR 110 PCT OF INVOICE VALUE COVERING ALLRISKS签署的商业发票一式三份。

装箱单一式三份。

中国原产地证书签发的形式,由商会或其他机关正式赋予这一目的。

3 / 2(一式两份)套已装船清洁提单,空白背书,对托运人和秩序并标明“运费已付”,并通知申请人。

110厘的发票金额投保一切险的全套可转让的保险单或保险凭证空白背书CHARGES 71B : ALL BANKING CHARGES OUTSIDE JAPANARE FOR ACCOUNT OF BENEFICIARY.PERIOD FOR PRESENTATION 48 : DOCUMENTS MUST BE PRESENTED WITHIN 15 DAYS AFTER THE DATE OF SHIPMENT BUTWITHIN THE VALIDITY OF THE CREDIT.补充资料:1. INVOICE NO: XH0566712. INVOICE DATE: FEB 01,20053. PACKINGG.W: 20.5KGS/CTNN.W: 20KGS/CTNMEAS: 0.2CBM/CTNPACKED IN 250 CARTONSPACKED IN TWO20’CONTAINER(集装箱号: TEXU2263999;TEXU2264000 )4. H·S. CODE: 5802.30905. VESSEL: NANGXING V.0866. B/L NO: COCS05118617. B/L DATE: FEB. 26, 200510. FREIGHT FEE: USD 1 10012. 注册号13. 证书号:根据上述信用证、合同和补充资料的内容缮制商业发票、汇票并翻译信用证相关内容1.商业发票2.汇票3、翻译信用证内容40A—46A1.商业发票上海进出口贸易公司SHANGHAI IMPORT & EXPORT TRADE CORPORATION.1321ZHONGSHAN ROAD SHANGHAI, CHINACOMMERCIAL INVOICETEL::XH056671FAX: DATE: FEB 01.2005S/C NO:HX050264L/C NO: (20)TO: TKAMLA CORPORATION6-7,KAWARA MACHOSAKA,JAPANFROM SHANGHAI,CHINA TO OSAKA,JAPANTOTAL AMOUNT:SAY U.S. DOLLARS TWELVE THOUSAND FIVE HUNDRED ONLY .WE HEREBY CERTIFY THAT THE CONTENTS OF INVOICE HEREIN ARE TRUEAND CORRECT.SHANGHAI IMPORT & EXPORT TRADE CORPORATIONTONGLI2.汇票No. XH056671(INV NO)For 12 500.00 (AMOUNT) BILL OF EXCHANGSHANGHAI. FEB. 26, 2005DateAt ******** sight of this SECOND BILL of EXCHANGE ( first of the sametenorand date unpaid ) pay to the order of BANK OF CHINA (议付行)the sum ofSAY U.S. DOLLARS TWELVE THOUSAND FIVE HUNDRED ONLY .Drawn under FUJI BANK LTD (52A)L/C No. Dated JAN.12,2005 (31C) To. FUJI BANK LTD(52A)1013,SAKULA OTOLIKINGZA MACHITONGLISHANGHAI IMPORT & EXPORT TRADE CORPORATION。

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