2012单证员考试《单证实用英语》习题及答案
2012全国国际商务单证专业考试 操作试题及答案

Description of Goods Man´s Wind Breaker Style No. YM082 Colour: Black
Khaki
Quanount
2500PCS 2500PCS
CIFC5 Kuwait USD15.10/PC
USD75500.00
TOTAL
blank endorsed notifying the applicant. + Insurance Policy in duplicate endorsed in blank. + Packing List in triplicate. + Certificate of Origin issued by China Chamber of Commerce
5000PCS
USD75500.00
Total Amount:Say U.S.Dollars Seventy Five Thousand Five Hundred Only
Packing: 20pcs are packed in one export standard carton Shipping Mark: VALUE
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ড়ৠ˖ SALES CONTRACT
The Seller: Tianjin Yimei International Corp. Address: 58 Dongli Road TianjinˈChina
2012年单证员考试国际商务单证缮制与操作真题试题及答案

Transshipment: AllowedI nsurance: To be effected by the seller for 110% invoice value covering All Risks and War Riskas per CIC of PICC dated 01/01/1981Terms of Payment: By L/C at 60 days after sight, reaching the seller before June 15, 2011, andremaining valid for negotiation in China for further 15 days after the effectedshipment. L/C must mention this contract number. L/C advised by BANK OFCHINA. All banking charges outside China (the mainland of China) are foraccount of the Drawee.Documents:+ Signed commercial invoice in triplicate.+ Full set (3/3) of clean on board ocean Bill of Lading marked Freight Prepaid made out to orderblank endorsed notifying the applicant.+ Insurance Policy in duplicate endorsed in blank.+ Packing List in triplicate.+ Certificate of Origin issued by China Chamber of Commerce.Signed by:THE SELLER: THE BUYER:Tianjin Yimei International Corp. VALUE TRADING ENTERPRISE, LLC Jack Julia信用证:27: SEQUENCE OF TOTAL: 1/140A: FORM OF DOC. CREDIT: IRREVOCABLE20: DOC. CREDIT NUMBER: KR369/0331C: DATE OF ISSUE: 11061940E: APPLICABLE RULES: UCP LATEST VERSION31D: DATE AND PLCA OF EXPIRY: 110825 KUWAIT51D: APPLICANT BANK: VALUE TRADING ENTERPRISE CORP.RM1008 GREEN BUILDING KUWAIT50: APPLICANT: AORE SPECIALTIES MATERIAL CORP.YARIMCA, KOCAELI 41740, IZMIT, TURKEY59: BENEFICIARY: TIANJIN YMEI INTERNATIONAL CORP.58 DONGLI ROAD TIANJIN, CHINA32B: CURRENCY CODE, AMOUNT: USD71500.0041A: AVAILABLE WITH … BY: BANK OF CHINABY NEGOTIATION42C: DRAFTS AT …: 90 DAYS AFTER SIGHT42A: DRAWEE: VALUE TRADING ENTERPRISE, LLC43P: PARTIAL SHIPMENTS: NOT ALLOWED43T: TRANSSHIPMENT: NOT ALLOWED44E: PORT OF LOADING/AIRPORT OF DEPARTURE: ANY CHINESE PORT44F: PORT OF DISCHARGE/ AIRPORT OF DESTINATION: KUWAIT BY SEA FREIGHT44C: LATEST DATE OF SHIPMENT: 11071045A: DESCRIPTION OF GOODS AND / OR SERVICES: 5000PCS WIND BREAKERSTYLE NO. YM085AS PER ORDER NO. A01 AND S/C NO. YM009AT USD15.10/PC CIF KUWAITPACKED IN CARTON OF 20PCS EACH46A: DOCUMENTS REQUIRED+ SIGNED COMMERCIAL INVOICE IN TRIPLICATE INDICATING LC NO. ANDCONTRACT NO.+ FULL SET (3/3) OF CLEAN ON BOARD OCEAN BILL OF LADING MADE OUT TOAPPLICANT AND BLANK ENDOSED MARKED “FREIGHT TO COLLECT”NOTIFY THE APPLICANT+ SIGNED PACKING LIST IN TRIPLICATE SHOWING THE FOLLOWING DETAILS:TOTAL NUMBER OF PACKAGES SHIPPED; CONTENT(S) OF PACKAGE(S), GROSSWEIGHT, NET WEIGHT AND MEASUREMENT.+ CERTIFICATE OF ORIGIN ISSUED AND SIGNED OR AUTHENTICATED BY ALOCAL CHAMBER OF COMMERCE LOCATED IN THE EXPORTING COUNTRY.+ INSURANCE POLICY/CERTIFICATE IN DUPLICATE ENDORSED IN BLANK FOR 120%INVOICE VALUE, COVERING ALL RISKS AND WAR RISK OF CIC OF PICC(1/1/1981) 71B: CHARGES: ALL CHARGES AND COMMISSIONS ARE FOR ACCOUNT OFBENEFICIARY INCLUDING REIMBURSING CHARGES经审核,信用证存在问题如下:1.31D信用证到期时间错,应该是110815;2.31D信用证到期地点错,应该是CHINA;3.50申请人名称错,应该是VALUE TRADING ENTERPRISE, LLC.;4.59受益人名称错,应该是TIANJIN YIMEI INTERNATIONAL CORP.;5.32B金额错,应该是USD75500.00;6.42C汇票期限错,应该是60 DAYS AFTER SIGHT;7.42A汇票付款人错,应该是开证银行;8.43T转运要求错,应该是ALLOWED;9.44E装运港错,应该是TIANJIN, CHINA;10.44F卸货港错,应该是KUWAIT;11.44C最晚装运日错,应该是110731;12.45A货物名称错,应该是MEN’S WIND BREAKER;13.45A合同号码错,应该是YM0806009;14.45A贸易术语错,应该是CIFC5KUWAIT;15.46A第2条提单抬头错,应该是MADE OUT TO ORDER;16.46A第2条提单运费显示错,应该是FREIGHT PREPAID;17.46A第5条保单加成错,应该是FOR 110% INVOICE VALUE;18.71B银行费用错,应该是FOR ACCOUNT OF THE DRAWEE。
单证考试试题和答案

单证考试试题和答案一、单选题(每题2分,共20分)1. 信用证支付方式下,受益人提交的单据必须符合()的要求。
A. 开证行B. 信用证条款C. 申请人D. 受益人答案:B2. 在国际贸易中,商业发票的出具方是()。
A. 出口商B. 进口商C. 银行D. 货运代理答案:A3. 根据《国际贸易术语解释通则》,FOB术语下,卖方必须负责将货物()。
A. 运至买方指定的目的地B. 装上船C. 运至买方指定的港口D. 交付给承运人答案:B4. 信用证中“不可撤销”的含义是()。
A. 信用证不能被修改或撤销B. 信用证只能在一定条件下被撤销C. 信用证可以被申请人撤销D. 信用证可以被开证行撤销答案:A5. 国际贸易中,提单的签发人通常是()。
A. 出口商B. 进口商C. 承运人或其代理人D. 银行答案:C6. 根据《联合国国际货物销售合同公约》,卖方交付货物后,买方的最基本义务是()。
A. 接受货物B. 支付货款C. 检验货物D. 索赔答案:B7. 在国际贸易中,如果合同规定使用D/P(付款交单)支付方式,那么出口商通常需要提交的单据是()。
A. 商业发票和装箱单B. 商业发票和提单C. 商业发票和汇票D. 提单和保险单答案:C8. 信用证中“软条款”通常指的是()。
A. 信用证中规定的条件难以满足B. 信用证中规定的条件对受益人不利C. 信用证中规定的条件对开证行不利D. 信用证中规定的条件对申请人不利答案:B9. 在国际贸易中,如果合同规定使用CIF术语,那么卖方必须负责()。
A. 将货物运至目的地B. 将货物装上船C. 为货物投保D. 支付货物运输至目的地的费用答案:C10. 根据《国际贸易术语解释通则》,CIP术语下,卖方必须负责()。
A. 将货物运至目的地B. 将货物装上运输工具C. 为货物投保D. 支付货物运输至目的地的费用答案:B二、多选题(每题3分,共15分)1. 以下哪些单据是信用证支付方式下,受益人必须提交的()。
全套单证练习和答案单证员考试单证资格认证考试资料

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2012年单证员考试复习答案

单证复习卷答案一1-5D B B B B 6-10 B A B B A11-15C D B B A 16-20C A D A B21-25D C A D C26-30B B D D D31-35D B A A C 36-42B C A D D B A二1-5×√×√×6-10×√√××11-15××√××16-20√√×××21-24×××√×三、案例分析题1.我方从泰国A公司进口一批大米,签订“CFR上海”合同,货轮在台湾海峡附近沉没。
A 公司未及时向我方发出装船通知,我方未办理投保,无法向保险公司索赔。
故我方要求对方承担责任,但泰国A公司以货物离港,风险已经转移给我方为由拒绝承担责任。
问:泰国A公司的行为是否合理,究竟由谁承担责任?为什么?解:泰国A公司的行为不合理,应由泰国A公司承担责任。
CFR的风险在货物在装运港越过船舷时发生转移,但这以出口商发出装运通知为前提,以便买方办理保险;否则,风险不能正常转移。
在本案例中,货物的确已越过船舷,但泰国A公司并没有发出装运通知,所以,风险不能正常转移,仍应由泰国A公司承担。
2. 某外贸公司接到国外开来的信用证,证内规定:“数量共6000箱,1-6月份分6批装运,每月装运1000箱。
”该信用证的受益人l-3月,每月装运1000箱,银行已分批议付了货款。
4月份因故未按时装运,该批货物延至5月份才装船,当该公司凭5月的装船提单向银行交单议付时,却遭到银行拒付,而且银行声称,原先约定的5至6月份的装运也已失效。
试问,银行拒收单据、拒付货款和宣布以后各批失效有无道理?为什么?解:银行有道理拒收单据、拒付货款和宣布以后各批失效。
根据UCP600规定,分批装运的信用证,如果其中一批违约,那么信用证对该批及以后各批均告失效。
2012年单证员测试章节习题第9章和答案

2012年单证员测试章节习题第9章和答案简答题1、翻译:Credit is available for acceptance of your drafts at 90 days sight drawn on us。
[答案]本信用证可凭你方向我方开立的90天期汇票承兑2、翻译:Beneficiary’s draft is negotiable at sight by the negotiating bank。
[答案]受益人的汇票可以由议付行见票议付3、翻译:Usance draft to be negotiated at sight basis。
[答案]远期汇票将即期议付4、翻译:Drawee bank’s discount or interest charges and acceptance commission are for the applicant and therefore the beneficiary is to receive value for term draft as if drawn at sight。
[答案]付款行的贴现利息及承兑佣金由开证申请人支付,因此受益人的远期汇票将收到如即期汇票的金额。
5、翻译:Although drafts are drawn at 90 dayssight, they will receive payment at sight upon presentation of documents in full compliance with L/C terms。
[答案]尽管这些汇票是90天期远期汇票,但在提交单据时若与信用证条款相符,则以即期付款。
6、翻译:Drawings against this credit are authorized only up to 97% of this face amount of the invoice submitted。
2012单证员考试实操部分

2012年全国国际商务单证员专业考试国际商务单证缮制与操作试题(考试时间:6月10日下午15:30——17:30)一、根据下述合同的内容审核信用证,指出不符之处,并提出修改意见(36分)。
请在答题纸上作答。
合同:SALES CONFIMATIONContract No. YM0806009D ate: June 05, 2011 T he Seller: Tianjin Yimei International Corp.A ddress: 58 Dongli Road Tianjin, ChinaThe Buyer: VALUE TRADING ENTERPRISE, LLCA ddress: R m1008 Green Building KuwaitThis Sales Contract is made by and between Seller and Buyer, whereby the Seller agree to sell and the Buyer agree to buy the under-mentioned goods according to the terms and conditions stipulated below:Specification of Goods Q uantity U nit price A mountM an’s Wind BreakerStyle No. YM082Colour: Black Khaki2500PCS2500PCSCIFC5 KUWAITUSD15.10/PCUSD15.10/PCUSD37750.00USD37750.00 TOTAL5000PCS USD75500.00TOTAL AMOUNT: S ay U. S. D ollars Seventy Five Thousand Five Hundred Only.P acking: 20pcs are packed in one export standard carton.S hipping Marks: VALUEORDER NO. A01KUWAITC/No. 1-UPTime of Shipment: Before AUGG. 10, 2011Loading Port and Destination: From Tianjin, China to KuwaitPartial shipment: Not allowedTransshipment: AllowedI nsurance: To be effected by the seller for 110% invoice value covering All Risks and War Riskas per CIC of PICC dated 01/01/1981Terms of Payment: By L/C at 60 days after sight, reaching the seller before June 15, 2011, andremaining valid for negotiation in China for further 15 days after the effectedshipment. L/C must mention this contract number. L/C advised by BANK OFCHINA. All banking charges outside China (the mainland of China) are foraccount of the Drawee.Documents:+ Signed commercial invoice in triplicate.+ Full set (3/3) of clean on board ocean Bill of Lading marked Freight Prepaid made out to orderblank endorsed notifying the applicant.+ Insurance Policy in duplicate endorsed in blank.+ Packing List in triplicate.+ Certificate of Origin issued by China Chamber of Commerce.Signed by:THE SELLER: THE BUYER:Tianjin Yimei International Corp. VALUE TRADING ENTERPRISE, LLC Jack Julia信用证:27: SEQUENCE OF TOTAL: 1/140A: FORM OF DOC. CREDIT: IRREVOCABLE20: DOC. CREDIT NUMBER: KR369/0331C: DATE OF ISSUE: 11061940E: APPLICABLE RULES: UCP LATEST VERSION31D: DATE AND PLCA OF EXPIRY: 110825 KUWAIT51D: APPLICANT BANK: VALUE TRADING ENTERPRISE CORP.RM1008 GRE EN BUILDING KUWAIT50: APPLICANT: AORE SPECIALTIES MATERIAL CORP.YARIMCA, KOCAELI 41740, IZMIT, TURKEY59: BENEFICIARY: TIANJIN YMEI INTERNATIONAL CORP.58 DONGLI ROAD TIANJIN, CHINA32B: CURRENCY CODE, AMOUNT: USD71500.0041A: AVAILABLE WITH … BY: BANK OF CHINABY NEGOTIATION42C: DRAFTS AT …: 90 DAYS AFTER SIGHT42A: DRAWEE: VALUE TRADING ENTERPRISE, LLC43P: PARTIAL SHIPMENTS: NOT ALLOWED43T: TRANSSHIPMENT: NOT ALLOWED44E: PORT OF LOADING/AIRPORT OF DEPARTURE: ANY CHINESE PORT44F: PORT OF DISCHARGE/ AIRPORT OF DESTINATION: KUWAIT BY SEA FREIGHT44C: LATEST DATE OF SHIPMENT: 11071045A: DESCRIPTION OF GOODS AND / OR SERVICES: 5000PCS WIND BREAKERSTYLE NO. YM085AS PER ORDER NO. A01 AND S/C NO. YM009AT USD15.10/PC CIF KUWAITPACKED IN CARTON OF 20PCS EACH46A: DOCUMENTS REQUIRED+ SIGNED COMMERCIAL INVOICE IN TRIPLICATE INDICATING LC NO. ANDCONTRACT NO.+ FULL SET (3/3) OF CLEAN ON BOARD OCEAN BILL OF LADING MADE OUT TOAPPLICANT AND BLANK ENDOSED MARKED “FREIGHT TO COLLECT”NOTIFY THE APPLICANT+ SIGNED PACKING LIST IN TRIPLICATE SHOWING THE FOLLOWING DETAILS:TOTAL NUMBER OF PACKAGES SHIPPED; CONTENT(S) OF PACKAGE(S), GROSSWEIGHT, NET WEIGHT AND MEASUREMENT.+ CERTIFICATE OF ORIGIN ISSUED AND SIGNED OR AUTHENTICATED BY ALOCAL CHAMBER OF COMMERCE LOCATED IN THE EXPORTING COUNTRY.+ INSURANCE POLICY/CERTIFICATE IN DUPLICATE ENDORSED IN BLANK FOR 120%INVOICE VALUE, COVERING ALL RISKS AND WAR RISK OF CIC OF PICC(1/1/1981) 71B: CHARGES: ALL CHARGES AND COMMISSIONS ARE FOR ACCOUNT OFBENEFICIARY INCLUDING REIMBURSING CHARGES ACCOUNT OFBENEFICIARY INCLUDING REIMBURSING CHARGES经审核,信用证存在问题如下:1.31D信用证到期时间错,应该是110815;2.31D信用证到期地点错,应该是CHINA;3.50申请人名称错,应该是V ALUE TRADING ENTERPRISE, LLC.;4.59受益人名称错,应该是TIANJIN YIMEI INTERNA TIONAL CORP.;5.32B金额错,应该是USD75500.00;6.42C汇票期限错,应该是60 DAYS AFTER SIGHT;7.42A汇票付款人错,应该是开证银行;8.43T转运要求错,应该是ALLOWED;9.44E装运港错,应该是TIANJIN, CHINA;10.44F卸货港错,应该是KUWAIT;11.44C最晚装运日错,应该是110731;12.45A货物名称错,应该是MEN’S WIND BREAKER;13.45A合同号码错,应该是YM0806009;14.45A贸易术语错,应该是CIFC5KUWAIT;15.46A第2条提单抬头错,应该是MADE OUT TO ORDER;16.46A第2条提单运费显示错,应该是FREIGHT PREPAID;17.46A第5条保单加成错,应该是FOR 110% INVOICE V ALUE;18.71B银行费用错,应该是FOR ACCOUNT OF THE DRAWEE。
2012年全国国际商务单证员考试试题

2012年全国国际商务单证员考试试题姓名:林跃宇考号: 120090803114考生所在单位: 闽江学院一、单项选择题:在每小题的备选答案中选出一个正确答案,并将正确答案的代码填在题干上的括号内。
(每小题0.5分,本大题共10分)1、根据《INCOTERMS2000》,以CIF贸易术语成交合同,如果买卖双方无其他约定,卖方可以向保险公司投保()。
A、F.P.A.B、W.A.C、ALL RISKSD、ICC(A)2、托收是出口人委托并通过银行收取货款的一种支付方式,在托收方式下,使用的汇票是(),属于()。
A、商业汇票;商业信用B、银行汇票;银行信用C、商业汇票;银行信用D、银行汇票;商业信用3、《国际贸易术语解释通则》是由()制定的。
A、国际法协会B、国际商会C、联合国贸发会D、联合国国际法委员会4、报关是指进出境运输工具的负责人、进出境物品的所有人、进出口货物的收发货人或其代理人向()办理进出境手续的全过程。
A、边检B、海关C、进出境商品检验检疫局D、外经贸部门5、按照《2000年通则》的解释,采用CIF条件成交,买卖双方风险划分的界限是()。
A、装运港船边B、装运港船上C、装运港船舷D、目的港船舷6、使用托收方式时,托收行和代收行在货款收进方面()A、没有责任B、承担部分责任C、有责任D、视情况分析7、我国出口到蒙古的杂货运输应选择()A、海洋运输B、铁路运输C、航空运输D、管道运输8、CIF合同的货物在装船后因火灾被焚,应由()A、卖方负担损失B、卖方请求保险公司赔偿C、买方请示保险公司赔偿D、买方负担损失并请求保险公司赔偿9、从交货方式上看,CIF是一种典型的象征性交货。
此语的含义为()A、卖方以态度明确的函电表示交货B、卖方以提交全套合格单据来履行交货义务C、卖方无须实际准备足货,只要少量样品即可代表D、买方对不符合合同要求的货物,只要单据合格,无权索赔10、在L/C、D/P和D/A三种支付方式下,就买方风险而言,按由大到小排列,哪个正确()A、L/C > D/A > D/PB、L/C > D/P > D/AC、D/A > D/P > L/CD、D/P > D/A > L/C11、指出“装船提单”的日期()A、货于5月24日送交船公司B、货于6月4日开始装船C、货于6月4日全部装完D、货于6月24日抵达日本12、《90通则》,若以CFR成交,风险划分点为()A、以货越船舷为界B、以货交第一承运人为界C、以目的港交货为界D、以船边交货为界13、修订《华沙—牛津规则》的机构为()。
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2012单证员考试《单证实用英语》习题及答案I. Please fill in the blanks with appropriate answers.1. In documentary collection transactions, the terms ‘D/P‘ stands for .__, and ‘D/A‘ stands for__2. Draft is also called__3. The payment method ‘L/C‘ stands for__4. The ocean transport documents ‘B/L‘ stands for __5. According to UCPS00, in credit operations al parties concerned deal with__ and not with goods, services, and/or other performances to which the __ may relate.6. The shipper on the B/L is also called __7. According to the regulations of Customs House, all exit and entry means of transportation,cargos articles of international consignment must go through the procedures of __8. The trade terms DEQ stands for __9. The bank adds its own undertaking to an irrevocable L/C in addition to the issuing bank at the issuing bank‘s authorization or request is called the .__ bank.10.According to regulations, __ declaration and __ declaration must be made for dangerous cargos.Ⅱ.True or false questions (Please write " √ " for the correct statement, and " x "for theincorrect statement).1.( )The buyer (as applicant) should specify in the application form the documents to be presented and the terms and conditions to be complied with.2 ( )The banks channel the documents but also give their payment undertaking under the procedure of a documentary collection.3.( )The documentary credit structure provides the seller with an independent bank undertaking of payment.4.( )The buyer of the goods and/or services may ‘also be known, as the importer, opener, applicant,accountee, or principal.5.( )The documentary credit provides only the seller with independent assurance in respect of the exchange of goods for payment.6.( )If the L/C calls for " Beneficiary‘ s certified copy of shipment advice by fax to the applicant advising shipment details", then banks will accept a documents titled as "shipment advice" without any signature and/or date produced on a fax machine.7.( )Red clause L/C is also called "reciprocal L/C".8. ( )Both transferable L/C and back-to-back L/C involve a middleman as a seller and substitution of documents.9.( )For an unconfirmed L/C, a negotiating bank may negotiate with recourse to the beneficiary.10. ( )Unless otherwise allowed in the L/C, insurance document should be issued in the same currency as the L/C.Ⅲ. Multiple choice questions (Of following questions, there is only one correct answer to each question. Please select the correct answer. ).1.( )We are looking forward to __ your inquiry at an early, date.A. receiveB. receivingC. receivedD. having received2.( )The above offer is our final confirmation.A. subject withB. subject inC. subject toD. object to3.( )According to UCPS00, which of the following words used in connection with the amount of the Credit or the quantity or the unit price stated in the Credit are NOT construed as allowing a difference not to exceed 10% more or less in the amount or the quantity or the unit price to which they refer?A. circaB. approximatelyC. circsD. about4. ( )According to INCOTERMS 2000, the trade terms __ means that the seller delivers the goods, cleared for export, to the carrier nominated by the buyer at the named place.A. FCAB. EXWC. CFRD. DAF5.( )According to INCOTERMS 21300, when the seller only makes the goods available to the buyer at the seller‘s premises, the corresponding trade term isA. DDUB. EXWC. FOBD. DDP6.( )UCP500 categorizes L/Cs into four types. Which type of IZC does not fall into that categorization?A. sight payment L/CB. acceptance L/CC. negotiation L/CD. confirmation L/C7.( )According to UCP500, which of the following documents must be issued/drawn by the beneficiary unless otherwise stipulated by the Credit?A. draftB. packing listC. inspection certificateD. fax8.( )When the credit calls for a draft drawn on the applicant, according to UCP500, how will banks treat such draft?A. Banks may disregard such requirement.B. Banks may accept a draft drawn on the issuing bank in lieu of one drawn on the applicant.C. Banks will consider the draft as an "additional document.D. Banks will t~" to persuade the applicant to amend the Credit to delete sueh requirement.9.( )A bank that adds its undertaking to a Credit at the request of the issuing bank is called the:A. advising bankB. nominated bankC. reimbursing bankD. confirming bank10. ( )Letter of credit, by their nature, are __ transactions from the sales confirmation or other contract on which they may be based, and bank are in __ way concerned with or bound by such contract.A. separate.., anyB. separate.., noC. associateD.., all theD. affiliateD.., any。