根据信用证填单练习01

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信用证制单练习

信用证制单练习

信用证样本ADVISING BANK: BANK OF COMMUNICATIONS SHANGHAI(HEAD OFFICE)OPENING BANK: BANGKOK BANK PUBLIC COMPANY LIMITED,BANGKOKSEQUENCE TOTAL * 27 1/1FORM DOC CREDIT * 40A IRREVOCABLEDOC CREDIT NUM * 20 0011LC123756DA TE OF ISSUE 31C 001103DA TE/PLACE EXPIRY * 31D Date 010114 Place BENEFICIARIES’ COUNTRY APPLICANT * 50 MOUN CO., LTD.NO.443, 249 ROADBANGKOK THAILANDBENEFICIARY * 59 /SHANGHAI FOREIGN TRADE CORP .SHANGHAI, CHINACURR CODE, AMT * 32B Code USD Amount 18.000,A V AIL WITH BY * 41D ANY BANK IN CHINABY NEGOTIATIONDRAFTS AT 42C SIGHT IN DUPLICATE INDICATINGTHIS L/C NUMBERDRAWEE 43D / /ISSUING BANKPARTIAL SHIPMTS 43P NOT ALLOWEDTRANSSHIPMENT 43T ALLOWEDLOADING ON BRD 44ACHINA MAIN PORT, CHINATRANSPORT TO 44BBANGKOK, THAILANDLATEST SHIPMENT 44C 001220GOODS DESCRIPT. 45A2,000KGS. ISONIAZID BP98AT USD9.00 PER KG. CFR BANGKOKDOCS REQUIRED 46ADOCUMENTS REQUIRED:+COMMERCIAL INVOICE IN ONE ORIGINAL PLUS 5 COPIESINDICATING F.O.B. V ALUE, FREIGHT CHARGESSEPARATEL Y AND THIS L/C NUMBER, ALL OF WHICHMUST BE MANUALL Y SIGNED.+FULL SET OF 3/3 CLEAN ON BOARD OCEAN BILLS OF LADING ANDTWO NON-NEGOTIABLE COPIES MADE OUT TO ORDER OFBANGKOK BANK PUBLIC COMPANY LIMITED, BANGKOK. MARKEDFREIGHT PREPAID AND NOTIFY APPLICANT AND INDICATING THISL/C NUMBER.+PACKING LIST IN ONE ORIGINAL PLUS 5 COPIDIES, ALL OFWHICH MUST BE MANUALL Y SIGNED.+CERTIFICATE OF ANALYSIS IN ONE ORIGINAL PLUS ONE COPY. DD. CONDITIONS 47AADDITIONAL CONDITION:A DISCREPANCY FEE OF USD50.00 WILL BE IMPOSED ON EACH SETOF DOCUMENTS PRESENT ED FOR NEGOTIATION UNDER THIS L/CWITH DISCREPANCY. THE FEE WILL BE DEDUCTED FROM THE BILLAMOUNT.CHARGES 71BALL BANK CHARGES OUTSIDE THAILAND INCLUDINGREIMBURSING BANK COMMISSION AND DISCREPANCY FEE (IFANY) ARE F OR BENEFICIARIES’ ACCOUNT.相关资料:发票号码:SHE 02/1845 发票日期:2000年11月26日提单号码:SCOISG7564 提单日期:2000年11月29日船名:JENNY V.03 装运港:上海港货物装箱情况:50KGS/DRUM 总毛重:2,200KGS集装箱:1x40’ FCL CFS/CFS 运费:USD160.00UXXU4240250 01692551、本信用证中要求出具正本清洁已装船海运提单几份?“Shipper”、“Consignee”、“Notify”分别是谁?答:正本清洁已装船海运提单几份: 3份Shipper :SHANGHAI FOREIGN TRADE CORP .SHANGHAI, CHINAConsignee:TO ORDER OF BANGKOK BANK PUBLIC COMPANY LIMITED, BANGKOKNotify:MOUN CO., LTD.NO.443, 249 ROADBANGKOK THAILAND2. 把下列发票中标有(1)~(5)的地方填写完整。

装箱单练习1

装箱单练习1

题目要求和说明相关说明2009年3月12日,GUANGDONG FOREIGN TRADE IMP.AND EXP. GRANDTON根据合同、信用证及补充资料填制装箱单。

1.商业发票编号为2009FT011,日期为2009年3月12日。

2. Package G.W N.W Meas.ART NO. P97811 500 CARTONS 6750KGS 5750KGS 87CBMART NO. P97811 500 CARTONS 6750KGS 5750KGS 87CBM售货确认书SALES CONFIRMATION卖方(Sellers):GUANGDONG FOREIGN TRADE IMP.AND EXP. GRANDTON 267 TIANHE ROAD GUANGZHOU, CHINA Contract No.: AB44001 Date:FEB.12,2009 Signed at: GUANGZHOU买方(Buyers):A.B.C. TRADING CO. LTD., HONGKONG312 SOUTH BRIDGE STREET, HONGKONG兹经买卖双方同意按下列条款成交:The undersigned sellers and buyers have agreed to close the following transactions according to the terms and conditions stipulated below:货号Art. No. 品名及规格Description数量Quantity单价Unit Price金额AMOUNTART NO. P09811 ART NO. P09801 AIR CONDITIONER(HUALING BRAND)KF-23GWKF-25GW500PCS500PCS@HKD1000.00@HKD1000.00FOBC2 GUANGZHOUHKD 500000.00HKD 500000.001000PCS HKD 1000000.00数量及总值均得有%的增减,由卖方决定。

信用证练习(有答案)

信用证练习(有答案)

信用证练习一、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.信用证和单据相符答案:C解析:在信用证业务中,实行的是凭单付款的原则,开证银行只根据提交的单据与信用证相符,即要求“单证一致”、“单单一致”。

2、信用证的基础是买卖合同,当使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.通知行修改答案:C3、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,不看单据答案:A4、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.任何人答案:B5、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答案:B6、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.议付行答案:B解析: 考点为开立信用证的要求。

买方负有开立信用证的义务,要求开证行开立的有条件的承诺付款的书面文件。

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.保兑信用证答案:D解析:信用证的选择问题,ABC收回货款的风险大。

采用保兑信用证,是指一家银行开立的信用证,由另一家银行加以保证兑付,保兑行在信用证下也承担了第一付款责任。

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.21答案:D解析:本题是关于信用证的有效期与银行交单的关系。

银行拒绝接受迟于运输单据出单日期21天后提交的单据(出单日期指提单签发日期,即货物装船完毕日期)9、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.由双方协商决定答案:B解析:根据《跟单信用证统一惯例》规定,信用证上未注明是可撤销信用证或不可撤销信用证时,视为不可撤销信用证。

信用证分析表填写例题

信用证分析表填写例题

信用证分析表填写例题1.信用证是由进口商向开证行申请,由()开给()的有条件的付款承诺。

A。

出口商进口商B。

进口商出口商C。

出口商开证行D。

开证行出口商2.信用证必选项和可选项的判别方法之一,是看信用证中有没有()符号。

A。

*B。

#C。

/D。

M3.信用证中兑付方式一栏写着:“ABCBANKBYPAYMENT”,则在信用证分析表的相应栏内填写()。

A。

PAYMENTATSIGHTB。

SIGHTPAYMENTC。

BYPAYMENTD。

L/C4.在信用证中对于日期的表达多为阿拉伯数字,如170925,在填写信用证分析表时可以直接照抄。

()A。

正确B。

错误5.通常情况下,信用证到期地点的规定以出口国到期使用较多,这样便于出口方更好地把握交单时间,对出口方较为有利。

()A。

正确B。

错误6.PROHIBITED的含义是()。

A。

允许的B。

准许的C。

禁止的7.如信用证中没有规定是否可以分批装运,则信用证分析表中填写()是错的。

A。

YESB。

ALLOWEDC。

NOTALLOWEDD。

PERMITTED8.分批装运和转运在信用证分析表中的表达就是直接把ALLOWED或NOTALLOWED或其他表示允许或不允许的单词抄入分析表中,不能使用YES或NO来表达。

()A。

正确B。

错误9.信用证分析表中装运港一栏的填写必须与信用证保持一致,如信用证中写CHINESEPORT,分析表也应该照抄。

()A。

正确B。

错误10.与44CLATESTDATEOFSHIPMENT表达类似的是44DSHIPMENTPERIOD,无论那种表达都可以使用,但不能在信用证中同时出现。

()A。

正确B。

错误11.当采用以下哪种信用证时可能不需要提供汇票()。

A。

L/CBYPAYMENTCBYPAYMENTCBYPAYMENTB。

L/CBYNEGOTIATIOND。

L/CBYMIXEDPAYMENT12.信用证方式下,汇票的付款人多为()。

A。

开证申请人B。

海运提单练习题目1

海运提单练习题目1

海运提单练习题目11、根据信用证和补充资料的内容缮制提单2、信用证部分条款SEQUENCE OF TOTAL*27:1/1FORM OF DOC,CREDIT*40A:IRREVOCABLEDOC.CREDIT NUMBER*20:33416852DATE OF ISSUE31C:050112DATE AND PLACE OF EXPIRY*31D:DATE050317PLACE IN THE COUNTRY OF BENEFICIARY APPLICANT*50:TKAMLA CORPORATION6-7,KAWARA MACH,OSAKA,JAPANISSUING BANK52A:FUJI BANK LTD1013,SAKULA OTOLIKINGZA MACHI,TOKYO,JAPAN BENEFICIARY*59:SHANGHAI TOOL IMPORT&EXPORT CO.,LTD 31,GANXIANG ROAD,SHANGHAI,CHINAAMOUNT*32B:CURRENCY USD AMOUNT12500.00AV AILABLE WITH/BY*41D:ANY BANK IN CHINABY NEGOTIATIONDRAFTS AT…42C:DRAFTS AT SIGHTFOR FULL INVOICE COSTDRAWEE42A:FUJI BANK LTDPARTIAL SHIPMENTS43P:PROHIBITEDTRANSSHIPMENT43T:PROHIBITEDLOADING ON BOARD44A:SHANGHAIFOR TRANSPORTATION TO…44B:OSAKA PORTLATEST DATE OF SHIPMENT44C:050316DESCRIPT OF GOODS45A:COTTON BLANKETART NO.H666500PCS USD5.50/PCCIF OSAKADOCUMENTS REQUIRED46A:+SIGNED COMMERCIAL INVOICE IN TRIPLICATE.+PACKING LIST IN TRIPLICATE IN TRIPLICATE+CERTIFICATE OF ORIGIN GSP CHINA FORM A,ISSUED BY THE CHAMBER OF COMMERCE OR OTHER AUTHORITY DULY ENTITLED FOR THIS PURPOSE.+3/3SET OF CLEAN ON BOARD OCEAN BILLS OF LADING,MADE OUT TO ORDER OF SHIPPER AND BLANK ENDORSED AND MARKED“FREIGHT PREPAID”AND NOTIFY APPLICANT.+FULL SET OF NEGOTIABLE INSURANCE POLICY OR CERTIFICATE BLANK ENDORSED FOR110 PCT OF INVOICE VALUE COVERING ALL RISKS补充资料:1.PACKING:G.W:20.5KGS/CTN N.W:20KGS/CTN MEAS:0.2CBM/CTN PACKED IN250CARTONS,PACKED IN TWO20’CONTAINER(集装箱号:TEXU2263999;TEXU2264000)CY TO CY 2.VESSEL:NANGXING V.086 3.B/L NO:COCS05118614.B/L DATE:FEB.26,20055.SHIPPING MARKS:T.COSAKAC/NO.1-250。

信用证练习题

信用证练习题

信用证练习题信用证是国际贸易中非常重要的支付方式,尤其适用于跨国交易。

为了帮助读者更好地理解和应用信用证,本文将提供一些信用证练习题,旨在增强读者的实践能力和应对实际交易的能力。

以下是一些典型的信用证练习题:练习题一:检查一份信用证假设你是一家外贸公司的信用证专员,你收到了一份信用证,请对该信用证进行全面检查并提供评估意见。

根据以下要求进行检查:1. 检查信用证的格式和条款是否符合国际惯例和你公司的要求。

2. 检查信用证的有效期、货物描述、运输方式、装运期限等是否与你公司的商务合同一致。

3. 检查开证行和通知行的信用等级和声誉。

4. 检查信用证中开证行和受益人的名称和地址是否正确无误。

5. 检查信用证的金额和货币是否与合同一致。

练习题二:填写信用证申请书假设你是一家贸易公司的信用证申请人,请根据以下情境填写一份信用证申请书:你公司与一家国外供应商签订了一份货物采购合同,买方要求使用信用证支付。

请根据以下要求填写信用证申请书:1. 填写开证行和通知行的名称和地址。

2. 填写付款条件,包括有效期、金额、货币和装运期限等。

3. 填写货物的详细描述和数量。

4. 填写合同中的其他要求和条款。

练习题三:处理信用证的转让和要求修改假设你是一家贸易公司的信用证专员,你收到了一份转让信用证,请根据以下情境处理该信用证:你公司是中间商,收到了一份转让信用证,要求将货物装运至其他国家的最终买家。

请根据以下要求进行处理:1. 检查信用证的转让要求是否合法和符合条款。

2. 向最终买家确认货物的畅销市场和数量。

3. 修改信用证的装运地点和目的地。

4. 确保信用证的转让和修改符合国际信用证的规定和程序。

练习题四:处理信用证的索赔和争议解决假设你是一家贸易公司的信用证专员,你收到了一份信用证索赔通知,请根据以下情境处理该索赔:买方声称货物质量与合同不符,并要求退款。

请根据以下要求进行处理:1. 仔细检查买方提供的索赔证据和相关文件。

国际结算信用证练习

国际结算信用证练习

1. Put×in relative check box of the following sentences orfill the blanks to issue anIrrevocable unconfirmed documentary credit which is to expire on or before 30 June, 2000×and is available with the advising bank, the Industrial and Commercial Bankof China. Shanghai by deferred payment at 30days after presentation of documents against the documents.(1) In Irevocable Documentary Credit FormWe request you to advise beneficiary:①□without adding your confirmation。

②□adding your confirmation。

③□adding your confirmation if requested by the beneficiary。

(2) In Notificat0n of Irrevocable Documentary Credit Form①□This notification and the enclosed advice are sent to you without any engagement on our part。

②□As requested by the issuing bank, we hereby add our confirmation to this credit in accordance with the stipulations under UCP500 Article 9。

根据信用证填单练习01

根据信用证填单练习01

9.40'集装箱,CFS/CFS。

LETTER OF CREDITBasic Header appl ID: F APDU Id: 01 LT Addr: OCMMCNSHXXXXSession: 8533 Sequence: 142087Application Header Input/Output: 0 Msg Type: 700Input Time: 1622 Input Date: 001103Sender LT: BKKBTHBKEXXXBANGKOK BANK PUBLIC COMPANY LIMITEDBANCKOKInput Session: 5177 ISN: 800333 Output Date: 001103Output Time: 2033 Priority: NSequence Total * 27 1/1Form Doc Credit * 40 A IRREVOCABLEDoc Credit Num * 20 BKKB1103043Date of Issue 31 C 001103Date/Place Exp * 31 D Date 010114 Place BENEFICIARIES’ COUNTRYApplicant * 50 MOUN CO., LTDNO. 443, 249 ROADBANGKOK THAILANDBeneficiary * 59 /SHANGHAI FOREIGN TRADE CORP.SHANGHAI, CHINACurr Code, Amt * 32 B Code USD Amount 18.000,Avail With By * 41 D ANY BANK INCHINABY NEGOTIATIONDrafts At 42 C SIGHT IN DUPLICATE INDICATINGTHIS L/C NUMBERDrawee 43 D / /ISSUING BANKPartial Shipmts 43 P NOT ALLOWEDTransshipment 43 T ALLOWEDLoading on Brd 44 ACHINA MAIN FORT, CHINA44 BBANGKOK, THAILANDLatest Shipment 44 C 001220Goods Descript. 45 A2,000 KGS.ISONIAZID BP98AT USD9.00 PER KG C AND F BANGKOKDocs Required 46 ADOCUMENTS REQUIRED:+ COMMERCIAL INVOICE IN ONE ORIGINAL PLUS 5 COPIES INDICATINGF.O.B.V ALUE, FREIGHT CHARGES SEPARATELY AND THIS L/C NUMBER,ALL OF WHICH MUST BE MANUALLY SIGNED.+ FULL SET OF 3/3 CLEAN ON BOARD OCEAN BILLS OF LADING AND TWONON–NEGOTIABLE, COPIES MADE OUT TO ORDER OF BANGKOK BANKPUBLIC COMPANY LIMITED, BANGKOK MARKED FREIGHT PREPAID ANDNOTIFY APPLICANT AND INDICATING THIS L/C NUMBER.+ PACKING LIST IN ONE ORIGINAL PLUS 5 COPIES, ALL OF WHICHMUST BE MANUALLY SIGNED.dd. Conditions 47 AADDITIONAL CONDITION:A DISCREPANCY FEE OF USD50.00 WILL BE IMPOSED ON EACH SET OFDOCUMENTS PRESENTED FOR NEGOTIATION UNDER THIS L/C WITHDISCREPANCY. THE FEE WILL BE DEDUCTED FROM THE BILLAMOUNT.Charges 71 B ALL BANK CHARGES OUTSIDETHAILAND INCLUDING REIMBURSINGBANK COMMISSION AND DISCREPANCYFEE (IF ANY) ARE FORBENEFICIARIES’ ACCOUNT.Confirmat Instr * 49 WITHOUTReimburs. Bank 53 D / /BANGKOK BANK PUBLIC COMPANYLIMITED, NEW YORK BRANCH ON T/TBASISIns Paying bank 78DOCUMENTS TO BE DESPATCHED IN ONE LOT BY COURIER.ALL CORRESPONDENCE TO BE SENT TO/BANGKOK BANK PUBLICCOMPANYLIMITED HEAD OFFICE, 333 SILOM ROAD, BANGKOK 10500,THAILAND.Send Rec Info 72 REIMBURSEMENT IS SUBJECT TOICC URR 525Trailer MAC :CHK :DLM :--------------------------------------------------------------End of Message---------------------------------------------------------------。

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9.40'集装箱,CFS/CFS。

LETTER OF CREDIT
Basic Header appl ID: F APDU Id: 01 LT Addr: OCMMCNSHXXXX
Session: 8533 Sequence: 142087
Application Header Input/Output: 0 Msg Type: 700
Input Time: 1622 Input Date: 001103
Sender LT: BKKBTHBKEXXX
BANGKOK BANK PUBLIC COMPANY LIMITED
BANCKOK
Input Session: 5177 ISN: 800333 Output Date: 001103
Output Time: 2033 Priority: N
Sequence Total * 27 1/1
Form Doc Credit * 40 A IRREVOCABLE
Doc Credit Num * 20 BKKB1103043
Date of Issue 31 C 001103
Date/Place Exp * 31 D Date 010114 Place BENEFICIARIES’ COUNTRY
Applicant * 50 MOUN CO., LTD
NO. 443, 249 ROAD
BANGKOK THAILAND
Beneficiary * 59 /
SHANGHAI FOREIGN TRADE CORP.
SHANGHAI, CHINA
Curr Code, Amt * 32 B Code USD Amount 18.000,
Avail With By * 41 D ANY BANK IN
CHINA
BY NEGOTIATION
Drafts At 42 C SIGHT IN DUPLICATE INDICATING
THIS L/C NUMBER
Drawee 43 D / /
ISSUING BANK
Partial Shipmts 43 P NOT ALLOWED
Transshipment 43 T ALLOWED
Loading on Brd 44 A
CHINA MAIN FORT, CHINA
44 B
BANGKOK, THAILAND
Latest Shipment 44 C 001220
Goods Descript. 45 A
2,000 KGS.ISONIAZID BP98
AT USD9.00 PER KG C AND F BANGKOK
Docs Required 46 A
DOCUMENTS REQUIRED:
+ COMMERCIAL INVOICE IN ONE ORIGINAL PLUS 5 COPIES INDICATING
F.O.B.V ALUE, FREIGHT CHARGES SEPARATELY AND THIS L/C NUMBER,
ALL OF WHICH MUST BE MANUALLY SIGNED.
+ FULL SET OF 3/3 CLEAN ON BOARD OCEAN BILLS OF LADING AND TWO
NON–NEGOTIABLE, COPIES MADE OUT TO ORDER OF BANGKOK BANK
PUBLIC COMPANY LIMITED, BANGKOK MARKED FREIGHT PREPAID AND
NOTIFY APPLICANT AND INDICATING THIS L/C NUMBER.
+ PACKING LIST IN ONE ORIGINAL PLUS 5 COPIES, ALL OF WHICH
MUST BE MANUALLY SIGNED.
dd. Conditions 47 A
ADDITIONAL CONDITION:
A DISCREPANCY FEE OF USD50.00 WILL BE IMPOSED ON EACH SET OF
DOCUMENTS PRESENTED FOR NEGOTIATION UNDER THIS L/C WITH
DISCREPANCY. THE FEE WILL BE DEDUCTED FROM THE BILL
AMOUNT.
Charges 71 B ALL BANK CHARGES OUTSIDE
THAILAND INCLUDING REIMBURSING
BANK COMMISSION AND DISCREPANCY
FEE (IF ANY) ARE FOR
BENEFICIARIES’ ACCOUNT.
Confirmat Instr * 49 WITHOUT
Reimburs. Bank 53 D / /
BANGKOK BANK PUBLIC COMPANY
LIMITED, NEW YORK BRANCH ON T/T
BASIS
Ins Paying bank 78
DOCUMENTS TO BE DESPATCHED IN ONE LOT BY COURIER.
ALL CORRESPONDENCE TO BE SENT TO/BANGKOK BANK PUBLIC
COMPANY
LIMITED HEAD OFFICE, 333 SILOM ROAD, BANGKOK 10500,
THAILAND.
Send Rec Info 72 REIMBURSEMENT IS SUBJECT TO
ICC URR 525
Trailer MAC :
CHK :
DLM :
--------------------------------------------------------------End of Message---------------------------------------------------------------。

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