国际结算知识(中英文对照)

国际结算知识(中英文对照)
国际结算知识(中英文对照)

国际结算知识(中英文对照)

不可撤销跟单信用证(公开议付)

公开议付(Unrestricted Negotiation)亦称自由议付。凡公开议付信用证,一般来讲在信用证的议付条款中须注明“公开议付”(Free Negotiation)字样。

但有的信用证不载明此字样,而载明“邀请”(Invitation)或“建议”(Order)公开议付条款。

开证银行开立的信用证是通过其承诺条款(Undertaking Clause)或称保证条款来表达其公开议付的功能。

凡信用证中列有如下承诺条款的,皆为公开议付:

1、本银行(开证银行)向出票人、背书人及正当持票人保证,凡依本信用证所列条款开具的汇票,于提交时承担付款责任。

We (Issuing Bank) hereby engage with the drawers, endorsersand bona - fide holders of draft(s) drawn under and in compliancewith the terms of the credit that such draft(s) shall be duly honoured on due presentation and delivery of documents as specified.

2、凡依本信用证条款开具并提示汇票,本银行保证对其出票人、背书人和正当持票人于交单时承兑付款。

Provided such drafts are drawn and presented in accordance withthe terms of this credit, we hereby engage with the drawers, endorsers and bona - fide holders that the said drafts shall be duly honoured on presentation.

3、本信用证项下签发的汇票并符合信用证所列条款,则其出票人、背书人、及正当持票人于19____年_月_日以前向议付银行提示议付,开证银行保证于提交单据时付清票款。

We hereby agree with the drawers,endorsers and bona-fide holdersof drafts drawn under and in compliance with the terms of this credit that the same shall be duly honoured on due presentation, and negotiated at the Negotiating Bank on or before, 19___。

4、本银行向出票人、背书人及正当持票人表示同意,凡依本信用证所列条款开具的汇票,向本银行提示时。到期即予以付清票款。

We hereby agree with the drawers, endorsers and bona - fide holders of drafts drawn in compliance with the terms of the credit that such drafts shall be duly honoured on presentation and paid at maturity.

邀请公开议付的条款系指开证银行或付款银行作出保证或承诺,凡汇票出票人、背书人或正当持票人,持有按信用证所列条款而签发汇票者,付款银行届时予以付款。此条款系付款银行向持票人发出普遍的、公开的、自由议付的书面邀请。凡开具公开议付信用证的银行,一般来讲系信誉好,手续简便,银行费用较低的银行。

凡签发公开议付汇票的受益人,必然收取外汇,采用公开议付方式,对出票人选择议付银行的自由度较大,而且收汇结算比较快速和方便。

识别公开议付、限定议付和不许议付诸功能:

凡在信用证中未注明有关公开议付(Open Negotiation)或限定议付(Restricted Negotiation)字样者,皆视为付款取单的直接信用证(Straight Credit),不允许任何银行予以议付,此种信用证称不许议付信用证。

开证银行根据什么规定,按信用证条款项下,由受益人签发的汇票可以:

公开议付,即欢迎任何银行予以议付:

限定议付,即只限定指名由某一银行议付;

不许议付,即不许任何银行予以议付,只许由付款银行付款取单。

关于三种方式,取何种方式为宜,这取决于进口商资金周转的实际情况、开证银行的信誉及进出口商双方经谈判而同意的议付方式而定。

若开证银行是信誉好,资金雄厚的名牌银行,所开具的信用证为公开议付方式,则任何银行都可议付,拓展银行业务并可收取银行费用。

若开证银行希望自己掌握审单,减少风险,则指定其分理银行、代理银行经办并从严予以办理,但开证银行开具的信用证,一般来讲,采取限定银行议付方式。

若进口商将欲支付的货款,已存入出口商所在地的银行(如通知银行),则开证银行开具的信用证一般来讲,应采用直接信用证项下,付款赎单的方式,以减少汇票及单据的周转程序并可节约银行费用。

直接信用证的功能:

1. 本银行向贵公司(受益人)表示同意,凡依本信用证条款规定所开具的汇票与单据,于到期提交付款银行时应予以付款。

We hereby agree with you (Beneficiary) that all drafts drawn under and in conformity with the terms of this credit will be duly honoured on presentation and on delivery of documents as specified to the Drawee bank。

2. 本银行保证,凡按本信用证开具的汇票, 于到期时,将予以付款。

We hereby guarantee that drafts drawn in compliance with the terms and conditions of this credit shall be duly paid at maturity。

3. 凡开具的汇票完全符合本信用证规定的条款,一经向付款银行提示并提交本信用证所规定的有关单据,本银行同意向贵方履行付款责任。

We hereby agree with you that all drafts drawn under and in compliance with the terms of this credit will be duly honoured ondue presentation and on delivery of documents specified to Drawee Bank。

4. 根据本信用证开具的汇票和单据,完全符合本信用证条款并及时提交,本银行保证向贵方履行付款责任。

We hereby engage with you that drafts and all documents drawn under and in strict conformity with the terms of this credit will be honoured on due presentation。

直接信用证通常规定受益人所在地的通知银行兼付款银行,而且付款银行直接付款的对象仅限受益人,此乃直接信用证的特征。直接信用证项下的由通知银行兼付款银行或另外指定银行对汇票予以付款,而付款银行一经付款,则无权追索。

在国际贸易的实务中于何种情况和条件下,采用限定议付、公开议付或直接付款,应视贸易方式而定。

国际结算英文术语

国际结算英文术语

国际结算(International settlement) 贸易(Trade Settlement) 非贸易(Non-Trade Settlement) EDI(Electronic Data Intercharge)电子数据交换, 控制文件(Control Documents) 有权签字人的印鉴(Specimen Signatures) 密押(Test Key) 费率表(Terms and Condition) 货物单据化,履约证书化,( cargo documentation , guarantee certification) 权利单据(document of title) 流通转让性(Negotiability) 让与(Assignment) 转让(Transfer) 流通转让(Negotiation) 汇票的定义是:A bill of exchange is an unconditional order in writing, addressed by one person to another, signed by the person giving it, requiring the person to whom it is addressed to pay on demand or at a fixed or determinable future time a sum

payable at days/ months after stated date) ④板期付款(bills payable on a fixed future date) ⑤延期付款(bills payable at days/months after shipment/ the date of B/L) 收款人名称(payee) 同样金额期限的第二张不付款”〔pay this first bill of exchange(second of the same tenor and dated being unpaid) 需要时的受托处理人(referee in case of need)出票人(drawer) 收款人(payee) 背书人(endorser) 被背书人(endorsee) 出票(issue) (1)制成汇票并签字(to draw a draft and to sign it); (2)将制成的汇票交付给收款人(to deliver the draft

国际结算英文版课后练习答案.doc

Chapter One 1.Fill in the blanks to complete each sentence. (1)local legal system, political, exchange risks (2)open account, advance payment, remittance and collection (3)letter of credit, bank guarantee (4)price terms, delivery terms (5)least/minimum, most/maximum (6)advance payment (7)open account (8)clean collection, documentary collection 2.略 3.Translate the following terms into English. (1)settlement on bank credit (2)the potential for currency fluctuation (3)to dear the goods for export (4)to pay the insurance premium (5)to carry out export formalities (6)the major participants in international trade (7)the commodity inspection clause (8)to fulfill the obligation to deliver the goods (9)the goods have passed over the ship's rail (10)International contract is concluded in a completely different context than domestic ones 4.Decide whether the following statements are true or false. ⑴ F (2)F (3)T (4)T (5) T (6)T (7)F (8)T (9)T (10) F 5.Choose the best answer to each of the following statements ⑴?(5) BCCBD (6)-(10) DACCC (11)-(15) BDDCD (16)-(20) DCACD Chapter Two 1. Fill in the blanks to complete each sentence. (1)barter (2)medium of exchange (3)expensive, risky (4)our ⑸ Vostro (6)vostro ⑺ nostro (8) specimen of authorized signatures, telegraphic test keys, terms and conditions, Swift authentic keys 2. Define the following terms (1)Correspondent relationship KA bank having direct connection or friendly service relations with another bank.』 (2)International settlements [[International settlements are financial activities conducted among different countries in which payments are effected or funds are transferred from one country to another in order to settle accounts, debts, claims, etc. emerged in the course of political, economic or cultural contracts among them. 3 (3)Visible trade [[The exchange of goods and commodities between the buyer and the seller across borders.2 (4)Financial transaction [[International financial transaction covers foreign exchange market transactions^ government

国际结算术语汇总

International Settlements terms Chapter one Brief introduction to international trade transshipmen 转运 capacity容量,生产量 inspection检查,视察,检验,商检 arbitration仲裁,公断 inquiry质询,调查,询盘,问价 quotation价格,报价单,行情表,报价 facilitate便利,使容易 1oan facility贷款便利 domestic家庭的,国内的 domestic product国内生产的产品 consideration体谅,考虑,需要考虑的事项,报酬,因素 dimension尺寸,尺度,维(数),体积 warehouse 仓库v.存仓 premises房屋及周围的土地,这里表示“公司或企业的所在地”amendment改善,改正,修改 update使现代化,使跟上最新的发展 reversal颠倒,逆转,反转,倒转 fulfill履行,实现,完成(计划等) fulfill ones obligation履行(职责) formality拘谨,礼节,正式手续 quay码头 procure获得,取得 to procure marine insurance 办理海上保险 to procure ship租船 breach n.违背,破坏,破裂 breach of the contract毁约 frontier国境,边疆,边境 adjoin邻接,临近,毗邻 adjoining邻接的,隔壁的,临近的 the adjoining room隔壁的房子 adjoining country邻国 furnish供应,提供, deficiency缺乏,不足 jurisdiction权限,司法权,裁判权 fluctuation波动,起伏 variation变更,变化,变异,变种 permutation置换,彻底改变,兑变 commitment委托事项,许诺,承担义务,承诺 domicile住处,法定居住地 currency/foreign exchange fluctuation汇率波动

国际结算 中,专业名词的英汉对照

国际结算 英译汉 第一章 1. payment in advance 预付 2. payment at time of shipment装运时付款 3. payment after shipment装运后付款 4. open account买方记账赊销 5. negotiable document议付文件 6. correspondent 代理行 7. test key密押8. booklet of authorized signatures签字样本9. schedule of terms and condition费率表 第二章 1.document of title 权利单据 2.bill of exchange 汇票 3.for value receive 对价已付 4.tenor 付款期限 5.sight bill即期汇票 6.demand bill 即期汇票 7.time bill 远期汇票 https://www.360docs.net/doc/272608564.html,uance bill 远期汇票 9.term bill远期汇票 10.deferred payment延期付款 11.without recourse不得追索 12.indorsement背书 13.acceptance 承兑 14.presentation 提示 15.protest 拒绝证书 16.disnonour拒付,退票 17.discount 贴现 18.promissory note 本票 19.international money order国际小额本票 20.traveller’s cheque 旅行支票21.cheque 支票 22.open cheque 现金支票,敞口支票 23.crossed cheque划线支票,平行线支票24.general crossed cheque 、普通划线支票25.special crossed cheque 特别划线支票 26.accommodation bill融通汇票 27.A/S 见票即付 28.banker’s bill 银行汇票 https://www.360docs.net/doc/272608564.html,mercial bill 商业汇票 30.banker’s acceptance bill 银行承兑汇票31.trader’s acceptance bill 商业承兑汇票 32.clean bill 光票 33.documentary bill跟单汇票 34.direct bill直接汇票 35.indrect bill 间接汇票 36.sola bill 单式汇票 37.set bill复式汇票 38.certified cheque保付支票 第三章 1.remittance汇款,顺汇 2.reverce remittance逆汇 3.outward remittance汇出汇款 4.inward remittance汇入汇款 5.telegraphic transfer电汇 6.cable confirmation电报证实书 7.mail transfer信汇 8.payment order支付委托书 9.M/T advice信汇委托书 10.draft on center中心汇票 11.banker’s demand draft银行即期汇票 12.international settlement国际结算 第四章 1.cover头寸 2.reimbursement of remittance cover拨头寸 3.collection托收 4.pricipal委托人 5.rremitting托收行 6.collecting bank代收行 7.presenting bank 提示行 8.drawer出票人 9. financial documents金融单据 https://www.360docs.net/doc/272608564.html,mercial documents商业单据 11.consignor托运人 12.clean collection光票托收 13.documentary collection跟单托收14.documents against payment付款交单托收 15.documents against acceptance承兑交单托收 16.documentary bill for collection 跟单托收1 17.trust receipt信托收据 18.trustee被信托人

国际结算英语翻译

1.汇票的制作10个项目 汇票的内容又分为绝对必要项目和相对必要项目。绝对必要项目:1.有“汇票”的字样。2.无条件支付命令。3.确定金额4.收款人名称5.付款人名称6出票日期7出票人签章 相对必要项目:1.出票地2.付款地3.付款日期 2.支票的种类 按抬头不同分类:1.记名支票2.不记名支票 对付款闲置不同分类:1.普通支票:可取现金。2.划线支票:不可取现金,只能转账。划线支票好处在于可以延缓交易时间,可以便于追踪资金轨迹。划线支票又分为特别划线支票和一般划线支票。特别划线支票平行线会加注付款账号行名称。一般划线无须固定账户。 按是否可以流通分为可流通支票和不可流通支票。 3.提单的总类 按提单收货人的抬头划分:1.记名提单,不记名提单,指示提单。 按货物是否已装船划分:1.已装船提单,收妥备运提单。 按提单上有无批注划分:1.清洁提单2不清洁提单。 按照运输方式的不同划分为:1.直达提单2转船提单3.联运提单4.多式联运提单 按签发提单的时间划分为:1.正常提单2过期提单3.预借提单4.倒签提单 4.信用证的种类 1.不可撤销信用证 2.保兑信用证 3.即期付款信用证,迟期信用证,议付信用证,承兑信用证。 4.假远期信用证 5.红条款信用证 6.循环信用证 7.可转让信用证8背靠背信用证9对开信用证 5.托收的种类 托收根据金融单据是否伴随商业单据分为光票托收和跟单托收。跟单托收又根据票据的期限分为付款交单(D/P)(即期)和承兑交单(D/A)(远期)。付款交单是指付款人对即期汇票付款然后交单。而承兑交单是指付款人对远期汇票承兑而进行交单。 汇票 BILL OF EXCHANGE No. 汇票编号Date: 出票日期 For: 汇票金额 At 付款期限sight of this second of exchange (first of the same tenor and date unpaid) pay to the order of 受款人 the sum of金额 Drawn under 出票条款 L/C No. 信用证号Dated 信用证开征时间 To. 付款人 出票人签章

国际结算-大题

2.提单的抬头有哪几种形式,不同的抬头对提单的流通性有怎样的影响? 3.在票汇、托收和信用证结算方式下使用的汇票的出票人、付款人分别有什么不同? 答:在国际贸易结算中,票汇的汇票如果是银行汇票,则出票人是买方,付款人银行;托收的汇票的出票人是卖方,付款人是买方;信用证项下的汇票的出票人信用证的受益人,付款人是开证行。 4.信用证的基本性质有哪些? 答:①开证行负第一性付款责任,L/C是开证行付款责任。 ②L/C是一项独立文件,是开证行与受益人间存在的契约,一经开立不受合同牵制。 ③L/C是单据业务,而非货物。 5.信用证结算方式下,卖方交单议付,银行发现单据存在不符点,此时卖方可以采取哪些措施? 答:①及时更正和修改。 ②向银行出具一份保函。 ③向开证行拍发要求接受不符点予付款的电传。 ④给托收方式。 7.托收结算方式下,进口商和出口商分别可以怎样贸易融资? 答:出口商:①出口押汇②打包放款③贴现④出口信贷⑤出口发票融资进口商:①进口押汇②提货担保③进口垫款④信托提货 四、案例分析题

1.甲国A公司与乙国B公司就进口钢材达成合同,钢材分两批装运,结算方式为每批分别开立不可撤销即期付款信用证。第一批货物装运后,B公司即向当地银行办理了议付,并随后得到开证行的偿付。但A公司收到货物检验后发现货物品质未达到合同要求,于是要求开证行对第二批货物拒付。这一要求被开证行拒绝。 请问:开证行拒绝A公司的要求是否合理?为什么? 答:开证行拒绝对外拒付是有道理的。因为,在信用证业务中,银行办理的依据是有关单据的情况。而不是货物的情况。在B公司所提交的单据中未能发现有不符合信用证规定的情况,则开证行必须履行自己在信用证中的承诺,向B公司付款。而且,在不可撤销信用证下,未经受益人同意,开证行不能单方面撤销已开立的信用证。鉴于上述情况,A公司只能直接依据有关的证明(包括有关的检验报告等)与B公司交涉,包括从双方协商,到调解、仲裁或司法诉讼。进一步的教训是,在国际贸易中从谈判洽商至签约前,一定要对贸易对方的资信情况有充分的了解和掌握。 2.我方以FCA贸易术语从意大利进口布料一批,双方约定最迟的装运期为4月12日,由于我方业务员疏忽,导致意大利出口商在4月15日才将货物交给我方指定的承运人。当我方收到货物后,发现部分货物有水渍,据查是因为货物交承运人前两天被大雨淋湿所致。据此,我方向意大利出口商提出索赔,但遭拒绝。 请问: (1)本案例情况下,货物风险在何时转移? 答:4月13号之前转移至买方。 (2)我方的索赔是否有理? 答:我方的索赔是无理的。因为本案中,我方收到货物后,所发现的部分货物的水渍,是因我方业务员的疏忽而造成的。所以,责任应由我方承担。因此,我方的索赔是无理的。

国际结算 英文名词翻译 按章整理

英文名词翻译 第一章 国际结算导论 international settlement 美国CHIPS 系统:纽约清算银行同业支付系统 英国CHAPS 系统: 清算所自动支付体系 布鲁塞尔SWIFT 系统: 环球银行金融电讯协会 (Critical Point for Delivery) 交货临界点 (Critical Point for Risk) 风险临界点 (Critical Point for Cost)费用临界点 《国际贸易术语解释通则》 Incoterms2000 visible trade :有(无)形贸易 (representative office) 代表处 ( agency office)代理处 (overseas sister bank /branch,subbranch )海外分/支行 (correspondent bank ) 代理银行 (subsidiary bank )附属银行(子银行) (affiliated banks ) 联营银行 (consortium bank )银团银行 甲行以乙国货币在乙行设立帐户: 甲行是往帐(Nostro a/c),即我行在你行设帐(Our a/c with you ) 乙行以甲国货币在甲行设立帐户 甲行是来帐(V ostro a/c),即你行在我行设帐(Your a/c with us ) 在银行实际业务中,增加使用“贷记”(To Credit ),减少使用“借记”(To Debit ) 第二章 票据Instrument drawer 出票人 drawee/payer 付款人 payee 收款人 endorser 背书人 endorsee 被背书人 holder in due course 善意持票人 acceptor 承兑人 guarantor 保证人 bill of exchange 汇票 mandatory elements issue 出票 endorsement 背书 presentation 提示 acceptance 承兑 payment 付款 dishonor 拒付 recourse 追索 guarantee 保证 限制性抬头 restrictive order (pay E company only)(pay E company not transferable) 指示性抬头 demonstrative order (pay to the order of B company)(pay to B company or order) 持票来人抬头 payable to bearer (pay to bearer)(pay to A company or bearer) UCP600:《跟单信用证统一惯例》 URC 522 ;《托收统一规则》 URDG458:《见索即付保函统一规则》 URR 525:《跟单信用证项下银行间偿付统一规则》 URCB524:《合同保函统一规则》

国际结算英文专业术语词汇18页

国际结算专业词汇 A Acceptance The act of giving a written undertaking on the face of a usance bill of exchange to pay a stated sum on the maturity date indicated by the drawee of the bill, (usually in exchange for documents of title to goods shipped on D/A terms) - see Collections Introduction. Acceptance Credit A documentary credit which requires the beneficiary to draw a usance bill for subsequent acceptance by the issuing bank or the advising bank or any other bank as the credit stipulates - see Documentary Credits. Accommodation Bill In the context of fraud, a bill drawn without a genuine underlying commercial transaction. Accountee Another name for the applicant/opener of a documentary credit i.e. the importer = the person for whose account the transaction is made. Advice of Fate The Collecting Bank informs the Remitting Bank of non- payment/non-acceptance or (for D/A bills) of acceptance and the bill maturity date - see Handling Import Collections. Advising Act of conveying the terms and conditions of a DC to the beneficiary. The advising bank is the issuing bank agent, usually located in the beneficiary country - see Export - DC Advising.

国际结算(英文版)清华大学出版社-答案

KEY OF INTERNATIONAL SETTLEMENT Chapter 1 1.Put the following phrases into English 2.Put the following sentences into English (1)国际结算涉及有形贸易和无形贸易,外国投资,从其他国家借贷资金,等等。 The international settlement involves tangible trades, intangible trades, foreign investments, funds borrowed from or lent to other countries and so on. (2)许多银行注重发展国际结算和贸易融资的业务。 Many banks have focused on their business of international settlement and trade finance. (3)大多数国际间的支付来自于世界贸易。 Most of the international payments originate from transactions in the world trade. (4)一般来说,国际结算的方式分为三类:汇款、托收和信用证。 Usually the international settlement is divided into three broad categories: remittance, collection and letter of credit.

3. True or False 1)International payments and settlements are financial activities conducted in the domestic country. (F) 2)Fund transfers are processed and settled through certain clearing systems.(T) 3)Using the SWIFT network, banks can communicate with both customers and colleagues in a structured, secure, and timely manner.(T) 4)SWIFT can achieve same day transfer.(T) 4.Multiple Choice 1)SWIFT is __B__ A.in the united states B. a kind of communications belonging to TT system for interbank’s fund transfer C.an institution of the United Nations D. a governmental organization 2)SWIFT is an organization based in __A___ A.Brussels B.New York C.London D.Hong Kong 3) A facility in fund arrangement for buyers or sellers is referred to __A___ A.trade finance B.sale contract C.letter of credit D.bill of exchange 4)Fund transfers are processed and settled through __C___

国际结算(英文版)清华大学出版社-答案

国际结算(英文版)清华大学出版社-答案

KEY OF INTERNATIONAL SETTLEMENT Chapter 1 I.Put the following phrases into English 2.Put the following sentences into English (1)国际结算涉及有形贸易和无形贸易,外国投资, 从其他国家借贷资金,等等。

The international settlement involves tangible trades, intangible trades, foreign investments, funds borrowed from or lent to other countries and so on. (2)许多银行注重发展国际结算和贸易融资的业 务。 Many banks have focused on their business of international settlement and trade finance. (3)大多数国际间的支付来自于世界贸易。 Most of the international payments originate from transactions in the world trade. (4)一般来说,国际结算的方式分为三类:汇款、 托收和信用证。 Usually the international settlement is divided into three broad categories: remittance, collection and letter of credit. 3.True or False 1)I nternational payments and settlements are finan cial activities con ducted in the domestic coun try. (F)

国际结算知识(中英文对照)

国际结算知识(中英文对照) 不可撤销跟单信用证(公开议付) 公开议付(Unrestricted Negotiation)亦称自由议付。凡公开议付信用证,一般来讲在信用证的议付条款中须注明“公开议付”(Free Negotiation)字样。 但有的信用证不载明此字样,而载明“邀请”(Invitation)或“建议”(Order)公开议付条款。 开证银行开立的信用证是通过其承诺条款(Undertaking Clause)或称保证条款来表达其公开议付的功能。 凡信用证中列有如下承诺条款的,皆为公开议付: 1、本银行(开证银行)向出票人、背书人及正当持票人保证,凡依本信用证所列条款开具的汇票,于提交时承担付款责任。 We (Issuing Bank) hereby engage with the drawers, endorsersand bona - fide holders of draft(s) drawn under and in compliancewith the terms of the credit that such draft(s) shall be duly honoured on due presentation and delivery of documents as specified. 2、凡依本信用证条款开具并提示汇票,本银行保证对其出票人、背书人和正当持票人于交单时承兑付款。 Provided such drafts are drawn and presented in accordance withthe terms of this credit, we hereby engage with the drawers, endorsers and bona - fide holders that the said drafts shall be duly honoured on presentation. 3、本信用证项下签发的汇票并符合信用证所列条款,则其出票人、背书人、及正当持票人于19____年_月_日以前向议付银行提示议付,开证银行保证于提交单据时付清票款。 We hereby agree with the drawers,endorsers and bona-fide holdersof drafts drawn under and in compliance with the terms of this credit that the same shall be duly honoured on due presentation, and negotiated at the Negotiating Bank on or before, 19___。 4、本银行向出票人、背书人及正当持票人表示同意,凡依本信用证所列条款开具的汇票,向本银行提示时。到期即予以付清票款。

国际结算双语课程标准--英文版

International settlement(bilingualism) course standard First, summary of course It is the core course of international economic and trade major, based on the operating skills’cultivation about methods of international settlement, combining theory with reality, emphasising on positional operation, paying attention to the cultivation of comprehensive ability about finding, analyzing and solving problems, etc. Second, before and after courses International settlement(before courses are International trade practice (bilingualism)、International business documents) , after courses are international trade business comprehensive trading and Foreign trade correspondence. Third, the course content

国际结算英文术语

国际结算(International settlement) 贸易(Trade Settlement) 非贸易(Non-Trade Settlement) EDI(Electronic Data Intercharge)电子数据交换, 控制文件(Control Documents) 有权签字人的印鉴(Specimen Signatures) 密押(Test Key) 费率表(Terms and Condition) 货物单据化,履约证书化,( cargo documentation , guarantee certification) 权利单据(document of title) 流通转让性(Negotiability) 让与(Assignment) 转让(Transfer) 流通转让(Negotiation) 汇票的定义是:A bill of exchange is an unconditional order in writing, addressed by one person to another, signed by the person giving it, requiring the person to whom it is addressed to pay on demand or at a fixed or determinable future time a sum certain in money to the order or specified person or to bearer. “汇票” (bill of exchange,exchange或draft) 无条件支付命令(unconditional order to pay) 出票条款(drawn clause) 利息条款(with interest) 分期付款(by stated instalment) 支付等值其它货币( pay the other currency according to an indicated rate of exchange) 付款人(payer)受票人(drawee) 付款期限(time of payment)或(tenor) 即期(at sight, on demand, on presentation)付款。 远期(at a determinable future time , time/ usance / term bill)付款。 期限远期付款的表现形式: ①见票后若干天(月)付款(bills payable at days/ months after sight) ②出票后若干天(月)付款(bills payable at days/ months after date) ③预定日期后若干天(月)付款(bills payable at days/ months after stated date) ④板期付款(bills payable on a fixed future date) ⑤延期付款(bills payable at days/months after shipment/ the date of B/L) 收款人名称(payee) 同样金额期限的第二张不付款”〔pay this first bill of exchange(second of the same tenor and dated being unpaid) 需要时的受托处理人(referee in case of need) 出票人(drawer) 收款人(payee) 背书人(endorser) 被背书人(endorsee) 出票(issue)

参考资料:《国际结算》相关术语中英文对照与中文名词解释

参考资料:《国际结算》相关术语中英文对照 国际结算 International Settlement 有形贸易 Visible Trade 无形贸易 Invisible Trade 洗钱 Money Laundering 支付协定 Payment Agreement 国际结算制度 System of International Settlement 支付系统 Payment System 代表处 Representative Office 代理处 Agency Office 海外分、支行(境外联行) Overseas Sister Bank/Branch,Subbranch 代理银行 Correspondent Banks 附属银行(子银行) Subsidiary Banks 联营银行 Affiliated Banks 银团银行 Consortium Bank 票据 Instrument 设权性 Right to Be Paid 无因性 Non causative Nature 要式性 Requisite in Form 流通性 Negotiability 可追索性 Recoursement 基本当事人 Immediate Parties 附属当事人 Remote Parties 出票人 Drawer 付款人 Payer,Drawee 收款人 Payee 背书人 Endorser 被背书人 Endorsee 持票人 Holder 承兑人 Acceptor 保证人 Guarantor 汇票 Bill of Exchange 限制性抬头 Restrictive Order 指示性抬头 Demonstrative Order 持票来人抬头 Payable to Bearer 出票日期 Date of Issue 出票人签字 Signature of the Drawer 出票地点 Place of Payment 付款地点 Place of Payment 付款日期 Tenor

银行部分翻译术语

招商银行:Chi na Mercha nts Bank 中国工商银行:In dustrial and Commercial Bank of Chi na 中国农业银行:Agricultural Ba nk of Chi na 花旗银行:Citiba nk 中信银行:Chi na Citic Bank 交通银行:Bank of Communi cati ons 中国光大银行:Chi na Everbright Bank 中国建设银行:Chi na Con struction Bank 广东发展银行:Guan gdo ng Developme nt Bank 中国银行:Ba nk of Ch ina 中国民生银行:Chi na Min she ng Banking Co., Ltd. 兴业银行:In dustrial Ba nk Co., Ltd. 北京银行:Bank of China

短信费:SMS fee 账户管理费:Acco unt man ageme nt fee 现存/现金存入:Cash deposit 转支:Withdrawal through transfer 结息:Interest settlement 消费:Consumption 网银转账:On li ne tran sfer/ Tran sfer via on li ne bank 现支:Cash withdrawal 手续费:Service fee 利息税:In terest tax ATM跨行取现:Draw cash across ba nk from ATM 转存:Redeposit 委托扣:En trusted deduct ion 基金分红: Fund divide nds 授权结算: Authorized settleme nt 快捷支付:swift payme nt

国际结算复习题名词解释掌握各名词的英文形式1汇票2

《国际结算》复习题 一、名词解释(掌握各名词的英文形式) 1、汇票; 2、承兑; 3、背书; 4、顺汇(逆汇); 5、托收; 6、D/P(D/A); 7、托收行(代收行); 8、T/R; 9、跟单信用证; 10、SWIFT; 11、议付; 12、假远期信用证; 13、不可撤销信用证; 14、对背信用证; 15、银行保函; 16、见索即付保函; 17、备用信用证;18、反担保人; 19、投标保函(履约保函); 20、补偿贸易保函; 21、租赁保函; 22、海运提单; 23、唛头; 24、清洁提单(不清洁提单);25、倒签提单; 26、国际保理; 27、进口保理商; 28、福费廷; 29、国际结算; 30、支票; 31、商业发票; 32、保险单据。 二、单项选择题 1、具有不可撤销性的信用证在征得()同意的情况下,即使是不可撤销信用证也是可以撤销和修改的。 A.开证行 B.保兑行 C.信用证受益人 D.前三个都同意 2、银行办理托收业务时,未发现单据中存在错误,最后单到国外,付款人提出单据有误拒绝付款。银行对此( ) A.负完全责任 B.完全无责任 C.该银行与外国银行共同负担责任 D.该银行与出票人共同承担责任 3、下列那种信用证一经付款还有向受益人的追索权()。 A.议付信用证 B.即期信用证 C.承兑信用证 D.延期付款信用证 4、信用证业务特点之一是:银行付款依据( ) A.信用证 B.单据 C.货物 D.合同 5、关于汇票的付款时间,如果提示日为2009年4月20日,票面上写明“At 90 days from sight”,则到期付款日为( ) A.7月18日 B.7月19日 C.7月20日 D.7月21日 6、在信用证业务流程中,基本当事人应当是( )。 A.开证行和开证申请人 B.开证银行和信用证受益人 C.信用证受益人和付款行 D.开证申请人与付款行 7、下列关于信用证的描述哪一项是正确的?( ) A.有条件的书面付款命令 B.有条件的书面付款承诺 C.无条件的书面付款承诺 D.无条件的书面付款命令 8、以下由()带来的结算被归入国际非贸易结算中。 A.国际运输、成套设备输出、国际旅游 B.国际金融服务、侨民的汇款、国际旅游 C. 侨民的汇款、国际商品贸易、国际技术贸易 D.有形贸易、无形贸易、国际文化交流 9、属于顺汇方法的支付方式是()。 A.票汇 B.托收 C.保函 D.直接托收 10、某汇票关于付款到期日的表述为:出票日后30天付款。则应如何计算汇票到期日?() A.从出票日当天开始算,出票日作为30天的第一天

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