根据合同审核信用证
根据外销(合同)审核信用证

根据外销合同审核信用证1. 引言外销合同审核信用证是国际贸易中常见的操作流程之一。
在国际贸易中,信用证的作用至关重要,它是国际贸易支付方式中最安全、最可靠的方式之一。
本文将介绍根据外销合同审核信用证的步骤和注意事项。
2. 外销合同审核信用证步骤2.1 确定信用证的类型在审核信用证之前,首先要确定信用证的类型。
常见的信用证类型有即期信用证和远期信用证。
即期信用证要求卖方在一定的时间内向开证行提交相关单据,而远期信用证给予卖方更长的时间来履行相关义务。
2.2 仔细阅读信用证文件在审核信用证之前,应仔细阅读信用证文件。
信用证文件通常包括信用证本身、外销合同、装运单据等。
务必确保信用证的内容与外销合同一致,并核对信用证中的细节是否与合同规定相符。
2.3 确认信用证的合规性审核信用证的一个重要步骤是确认信用证的合规性。
合规性主要包括几个方面:•确保信用证的开证行具备有效的信用力和可靠性。
•检查信用证是否违反国际贸易规则和相关法律法规。
•确认信用证开证日期是否在有效期内,以及单据提交期限是否合理。
2.4 核对信用证的单据要求信用证通常要求卖方提交一系列的单据,如提单、发票、装箱单等。
在审核信用证时,务必核对信用证中的单据要求,并确保能按时提供符合规定的单据。
2.5 合理订正信用证的不符点在审核信用证过程中,可能会发现信用证存在不符点。
在这种情况下,卖方需要与买方及信用证开证行进行沟通,并争取适当的订正。
这个步骤需要注意与买方的合作,并且要确保订正后的信用证符合合同要求。
3. 注意事项3.1 熟悉国际贸易规则和相关法律法规在审核信用证之前,务必熟悉国际贸易规则和相关法律法规。
对信用证的审核需要遵循国际贸易惯例,并遵守当地法律法规。
熟悉相关规则和法规,有助于提高审核的准确性和合规性。
3.2 与相关方保持良好沟通审核信用证是一个涉及多方的过程。
卖方需要与买方、信用证开证行以及装运和保险方保持良好的沟通。
及时解决问题,并确保所有相关方对信用证的规定和要求达成一致。
根据合同审核信用证【范本模板】

习题二:信用证审核一、思考题:1。
何谓信用证?简述其一般流程。
2.信用证方式的基本当事人有哪些?在什么情况下,又可能有什么当事人?各当事人分别承担什么责任?3。
信用证方式的主要特点是什么?4。
何谓“议付”?“议付”与“付款”有什么区别?二、操作题:1.练习目的:学会阅读信用证2.练习要求:根据下面的信用证范例找出下列内容:(1)信用证的种类(2)信用证号码(3)开证日期(4)信用证的有效期(5)信用证的到期地点(6)开证申请人名称、地址(7)受益人名称、地址(8)开证行名称(9)信用证金额及货币单位(10)分批运输(11)转运(12)装运港(地)、目的港(地)(13)最迟装运期(14)货名及规格(15)价格术语(16)交单期限(17)信用证要求的单据(18)信用证特别条款信用证范例:JUNE 5,2003 14:35:46 LOGICAL TERMINAL HN03MT S700 ISSUE OF A DOCUMENTARY CREDIT PAGE 00001FUNC HNHQP786MSGACK DWS6789 AUTH OK,KEY B003060267DE43AF,ICBKCNBJ BFDC***RECORDBASIC HEADER F01 ICBKCNBJ A367 0675 780609 APPLICATION HEADER O700 2851 030605 BFDCIE2DAXXX 5439 447618 020605 1806N* BANQUE FRANCAISE DU COMMERCE EXTERIEUR* PARIS*(HEAD OFFICE)USER HEADER SERVICE CODE 103BANK PRIORITY 113MSG USER REF。
108INFO. FROM CI 115TO:INDUSTRIAL AND COMMERCIAL BANK OF CHINA ZHEJIANG,CHINA(ICBKCNZJYYY)SEQUENCE OF TOTAL *27 : 1/1FORM OF DOCUMENTARY CREDIT *40A :IRREVOCABLE DOCUMENTARY CREDIT NUMBER *20 : AF/651909DATE OF ISSUE 31C : 20030605EXPIRY *31D :DATE 20030810 PLACE CHINAAPPLICANT *50 :A AND D SARUE DU CHEMIN VERTCENTRE DE GROS NO。
一、根据下述合同内容审核信用证,并指出不符之处。(36分)

一、根据下述合同内容审核信用证,并指出不符之处。
(36分)1、受益人名称与合同卖方不符(合同是SHANGHAI SHENG DA CO.,LTD.,信用证SHANGHAI DA SENG CO.,LTD.)2、开证申请人的地址不符(合同是28, IMAMGONJ,信用证是26,IMAMGONJ)3、商品名称不符(合同是STEEL TAPE RULES,信用证是TAPE RULES)4、商品规格不符(合同是JH-392W和JH-380W,信用证是JH-395W和JH-386W)5、单价不符(合同是USD3.60/DOZ PAIR CFR CHITTAGONG和USD4.20/DOZ PAIRCFRCHITTAGON,信用证是HKD3.60 PER DOZEN CIF CHITTAGONG和HKD4.20 PER DOZEN CIF CHITTAGONG)6、总金额不符(合同是USD9,300.00,信用证是CURRENCY HKD AMOUNT 9800.00)7、包装不符(合同是In Cartons,信用证是PACKING: EXPORT STANDARDSEAWORTHY PACKING)8、装运期不符(合同是During May, 2008,信用证是LATEST DATE OF SHIPMET : MAY2, 2008)9、装运港不符(合同是Shanghai,信用证是ANY CHINESE PORTS)10、分批和转运要求不符(合同是Partial Shipment and Transshipment are allowed.,信用证是PARTIAL SHIPMENT: NOT ALLOWED和TRANSSHIPMENT: NOT ALLOWED)11、合同用的是CFR术语,信用证要求受益人提交保险单不符12、CFR术语,提单上要求注明“FREIGHT COLLECT”不符13、付款期限不符(合同是Sight Letter of Credit,信用证DRAFTS AT 60 DAYS SIGHT)二、根据买方订单及相关资料缮制形式发票(24分)(12) DETAILS OF OUR BANK:BANK OF CHINA, SHANGHAI BRANCH,NO.4 Zhongshan road, Shanghai ,P.R.CHINASWIFT CODE: BKCHCNBJ530BENEFICIARY: SHANGHAI LUCKY SAFETY SCREENS CO., LTDACCOUNT NO: 1281 2242012 7091 015ADDRESS: UNIT C 2/F JINGMAO TOWER SHANGHAI ,CHINASHANGHAI LUCKY SAFETY SCREENS CO., LTD三、根据合同、信用证及补充资料缮制商业发票、海运提单、汇票及普惠制产地证FORM A(共40分)凭信用证号Drawn under industrial bank of Japan,ltd.,head office L/C NO.LC196107800日期按…. .息…. 付款Dated Oct.15,2007 Payable with interest @… .. % per annum 号码汇票金额上海NO.YL71001Exchange for USD12630.00 Shanghai …DEC.05,2007……………见票…………………日后(本汇票之正本未付)付交At *** sight of this FIRST of Exchange (Second of Exchange being unpaid) Pay to the order of BANK OF CHINA,SHANGHAI BRANCH金额the sum of SAY US DOLLARS TWELVE THOUSAND SIX HUNDRED AND THIRTY ONLY此致To: INDUSTRIAL BANK OF JAPAN,HEAD OFFICESHANGHAI YILONG CO.,LTD.XXXSHANGHAI YILONG CO.,LTD.X X X.Shipper Insert Name, Address and PhoneSHANGHAI YILONG CO.,LTD.NO.91 NANING ROAD SHANGHAI ,CHINA.B/L No.TH14HK07596.Consignee Insert Name, Address and Phone TO ORDER中远集装箱运输有限公司COSCO CONTAINER LINESNotify Party Insert Name, Address and Phone(It is agreed that no responsibility shall attach to the Carrier or his agents for failure to notify)ABC COMPANY1-3 MACHI KU STREET OSAKA,JAPAN Port-to-Port or Combined Transport BILL OF LADINGLADEN ON BOARD THE VESSEL DATE:NOV29,2007BY KAOHSIUNG V.0707SCOSCO CONTAINER LINESCNS01 0108895。
信用证审核_根据合同答案

*31 D :DATE 20000815 PLACE OSAKA
COVERING ALL RISKS WAR RISK FOR 140 PERCENT OF INVOICE VALUE SUBJECT TO C.I.C.DATED 1/1/1981 4. CERTIFICATE OF INSPECTION ISSUED BY THE APPLICANT 5. PACKING LISTS IN DUPLICATE.
OSAKA, JAPAN
CORPORATION.
BLANK
UE SUBJECT
TRAILER : ORDER IS <MAC:> <PAC:> <ENC:> <CHK:> <TNG:> <PDE:> MAC: 3CDFF74 5 6 7 8 9 10
信用证到期地点错误, 信用证到期地点错误 建议改为在受益人国内到期 开证申请人名称有误,应为 开证申请人名称有误,应为ITOCHU 付款期限错误, 付款期限错误,应为见票即付的汇票 转运应为允许 目的港错误,应为 目的港错误,应为OSAKA TWD003 单价有误 运费到付改为运费已付 保险加成率改为110% 保险加成率改为 客检条款删除 商品名称描述错误,应为TOY 商品名称描述错误, 应为
信用证审核情况一:根据正确的合同,审核信用证 习题二
请根据简式合同的条款(见合同2),审核下页的信用证,列举信用证存在的问题 并提出修改意见。(请将修改意见列明在信用证的下方)
KYOWA ASITAMA BANK, LTD.
FORM OF DOC, CREDIT DOC, CREDIT NUMBER DATE OF ISSUE EXIPRY APPLICANT BENEFICIARY *40 *20 *31 C *50 *59 : IRREVOCABLE : LC-410-392216 20000610 : ITOCHN CORPORATION, OSAKA SECTION 3-3-1, BUZENDA-CHO, SHIMONOSEKI, OSAKA, JAPAN : SHANGHAI TEXTILES IMP AND EXP CORPORATION. 27 ZHONGSHAN ROAD E, 1. SHANGHAI, CHINA AMOUNT AVAILABLE WITH/BY DRAFTS AT ... *32 B : CURRENCY USD AMOUNT 17040.00 *41 D : ANY BANK BY NEGOTIATION *42 C : DRAFTS AT 30 DAYS SIGHT FOR FULL INVOICE VALUE DRAWEE *42 A : OPENING BANK PARTIAL SHIPMENTS *43 P : PERMITTED TRANSSHIPMENT *43 T : PROHIBITED LOADING IN CHARGE *44 A : SHIPMENT FROM CHINESE PORT(S) FOR TRANSPORT TO ... *44 B : TO KOBE, JAPAN LATEST DATE OF SHIP. *44 C :20000730 DESCRIPT. OF GOODS *45 A : 1800 PIECES OF CHINESE YOY PRODUCTS ART NO. QUANTITY UNIT PRICE TWD001 1000 10.08 TWD003 800 8.90 PRICE TERMCIF OSAKA : DOCUMENTS REQUIRED *46 A : 1. COMMERCIAL INVOICE IN TRIPLICATE. 2. FULL SET OF CLEAN ON BOARD OCEAN BILLS OF LADING MADE OUT TO ORDER MARKED FREIGHT TO BE COLLECTED AND NOTIFY APPLICANT 3. INSURANCE POLICY OR CERTIFICATE IN DUPLICATE ENDORSED IN BLANK
根据合同内容审核信用证(单证员考试国际商务单证缮制与操作试题)

题目要求和说明合同:SALES CONTRACTTHE SELLER:SHANGHAI WILL TRADING. CO., LTD. JIANGNING ROAD, SHANGHAI, CHINA NO. WILL09068DATE: , 2009SIGNED AT: SHANGHAI,CHINATHE BUYER:NU BONNETERIE DE GROOTE.AUTOSTRADEWEG 6 9090 MEUE BELGIUMThis Sales Contract is made by and between the Sellers and the Buyers, whereby the sellers agree to sell and the Buyers agree to buy the under-mentioned goods according to the terms and conditions stipulated below:Packing: IN CARTONS OF 50 PCS EACHTime of Shipment: DURING AUG. 2009 BY SEAShipping Mark: AT SELLER’S OPTIONLoaDing Port and Destination: FROM SHANGHAI, CHINA TO ANTWERP, BELGIUMPartial Shipment and Transshipment: ARE ALLOWEDInsurance: TO BE EFFECTED BY THE SELLER FOR 110 PCT OF INVOICE VALUE AGAINST ALL RISKS AND WAR RISK AS PER CIC OF THE PICC DATED01/01/1981.Terms of Payment: THE BUYER SHALL OPEN THROUGH A BANK ACCEPTABLE TO THE SELLER ANIRREVOCABLE SIGHT LETTER OF CREDIT TO REACH THE SELLER 30 DAYS BEFORETHE MONTH OF SHIPMENT AND TO REMAIN VALID FOR NEGOTIATION IN CHINA UNTILTHE 15th DAY AFTER THE FORESAID TIME OF SHIPMENT.SELLER BUYERSHANGHAI WILL TRADING CO., LTD NU BONNETERIE DE GROOTE张平LJSKOUT59: BENEFICIARY:SHANGHAI WILL IMPORT AND EXPORT CO., LTDJIANGNING ROAD, SHANGHAI, CHINA32B: AMOUNT:CURRENCY USD AMOUNT 1941A: AVAILABLE WITH…BY BY ANY BANK IN CHINA BY NEGOTIATION42C: DRAFTS AT30 DAYS AFTER SIGHT42A: DRAWEE :NU BONNETERIE DE GROOTE.43P: PARTIAL SHIPMTS:NOT ALLOWED43T: TRANSSHIPMENT:ALLOWED44E: PORT OF LOADING:ANY CHINESE PORT44F: PORT OF DISCHARGE :ANTWERP, BELGIUM44C: LATEST DATE OF SHIPMENT:09081545A: DESCRIPTION OF GOODS:+ 3000 PCS SHORT TROUSERS – 100PCT COTTON TWILL AT PCAS PER ORDER D0900326 AND SALES CONTRACT NUMBERWILL09068.+ 5000 PCS SHORT TROUSERS – 100PCT COTTON TWILL AT PCAS PER ORDER D0900327 AND SALES CONTRACT NUMBERWILL09069.SALES CONDITIONS: CFR ANTWERPPACKING: 50PCS/CTN46A:DOCUMENTS REQUIRED: 1. SIGNED COMMERCIAL INVOICES IN 4 ORGINAL AND 4 COPIES2. FULL SET OF CLEAN ON BOARD OCEAN BILLS OFORDER, BLANK ENDORSED, MARKED FREIGHT COLLECT NOTIFY THEAPPLICANT3. CERTIFICATE OF ORIGIN.4. PACKING LIST IN QUADRUPLICATE STATING CONTENTS OF EACHSEPARARTELY.单据审核结果。
根据合同内容审核信用证

根据下述合同内容审核信用证,并指出不符之处Exercise 1Sales ContractThe Seller: SHANGHAI SHENG DA CO., LTD.UNIT C 5/F JINGMAO TOWER No. SD080215SHANGHAI, CHINAThe Buyer: ALFAGA ENTERPRISE Date: Feb. 15, 2008 28, IMAMGONJDHAKA,BANGLADESH Signed at: Shanghai, ChinaThe undersigned Seller and buyer have agreed to close the following transactions according to the terms and conditions stipulated below:Packing: In CartonsShipping Mark: A.E.CHITTAGONGTime of Shipment: During May, 2008Loading Port and Destination: From Shanghai to ChittagongPartial Shipments and Transshipment: AllowedInsurance: To be effected by the buyerTerms of Payment: The Buyer shall open through a bank acceptable to the Seller an irrevocable Sight Letter of Credit to reach the Sellers 30 days before the month of shipment. Valid fornegotiation in China until the 15th day after the month of shipment.The Seller The Buyer SHANGHAI SHENG DA CO., LTD. ALFAGA ENTERPRISE信用证SEQUENCE OF TOTAL 27: 1/1FORM OF DOC. CREDIT 40A: IRREVOCABLEDOC. CREDIT NUMBER 20: 06660801DATE OF ISSUE: 31C: FEBRUARY 24, 2008APPLICABLE RULES 40E: UCP LATEST VERTIONDATE AND PLACE OF EXP. 31D: MAY 23, 2008 IN BANGLADESH APPLICANT: 50: ALFAGA ENTERPRISE26, IMAMGONJ, DHAKA, BANGLADESH ISSUING BANK 52A: AB BANK LIMITEDIMAMGANJ, DHAKA-1211, BANGLADESH BENEFICIARY 59: SHANGHAI DA SENG CO., LTD.UNIT C 5/F JINGMAO TOWERSHANGHAI, CHINAAMOUNT 32B: CURRENCY HKD AMOUNT 9800.00 AVAILABLE WITH/BY 41D: ANY BANK IN CHINA BY NEGOTIATION DRAFTS AT 42C: DRAFTS AT 60 DAYS SIGHTDRAWEE 42D: AB BANK LIMITED, IMAMGANJ BRANCH PARTIAL SHIPMENTS 43P: NOT ALLOWED TRANSSHIPMENT 43T: NOT ALLOWELOADING/DISPATCHING/TAKING 44A: ANY CHINESE PORTSIN CHARGE AT/FROMTRANSPORTATION TO…44B: CHITTAGANG SEA PORT, BANGLADESH LATEST DATE OF SHIPMENT 44C: MAY 2, 2008DESCRIP OF GOODS 45A: TAPE RULES(1) 2000 DOZ PAIR MODEL: JH-395WSIZE:3M x 16MM @ HKD3.60 PER DOZENCIF CHITTAGONG(2) 500 DOZ PAIR MODEL: JH-386WSIZE: 3M x 16MM @ HKD4.20 PER DOZENCIF CHITTAGONGPACKING: EXPORT STANDARD SEAWORTHYPACKINGDOCUMENTS REQUIRED 46A: + SIGNED COMMERCIAL INVOICE IN TRIPLICATE+ SIGNED PACKING LIST IN TRIPLICATE+ G.S.P. CERTIFICATE OF ORIGIN FORM A+ BENEFICIARY’S CERTIFICATE STATING THATONE SET OF ORIGINAL SHIPPING DOCUMENTSINCLUDING ORIGINAL “FORM A” HAS BEENSENT DIRECTLY TO THE APPLICANT AFTERTHE SHIPMENT+ INSURANCE POLICY OR CERTIFICATEENDORSED IN BLANK FOR 100 PCT OF CIFVALUE, COVERING W.P.A. AND WAR RISKS+ 3/3 PLUS ONE COPY OF CLEAN “ON BOARD”OCEAN BILLS OF LADING MADE OUT TOORDER AND BLANK ENDORSED MARKED“FREIGHT COLLECT” AND NOTIFY APPLICANT ADDITIONAL CONDITION 47A: + ALL DRAFTS DRAWN HEREUNDER MUST BEMARKED “DRAWN UNDER AB BANK LIMITED,IMAMGANJ BRANCH CREDIT NO. 06660801DATED FEBRUARY 24, 2008”+ T/T REIMBURSEMENT IS NOT ACCEPTABLE DETAILS OF CHARGES 71B: ALL BANKING CHARGES OUTSIDE BANGLADESHARE FOR BENEFICIARY’S ACCOUNT PRESENTATION PERIOD 48: DOCUMENTS MUST BE PRESENTED WITHIN 15DAYS AFTER THE DATE OF ISSUANCE OF THESHIPPING DOCUMENTS BUT WITHIN THEVALIDITY OF THE CREDIT CONFIRMATION 49: WITHOUTINSTRUCT. TO NEGOTIATING 78: THE AMOUNT AND DATE OF NEGOTIATION OFBANK EACH DRAFT MUST BE ENDORSED ON THEREVERSE OF THIS CREDITALL DOCUMENTS INCLUDING BENEFICIARY’SDRAFTS MUST BE SENT BY COURIER SERVICEDIRECTLY TO US IN ONE LOT. UPON OUR RECEIPTOF THE DRAFTS AND DOCUMENTS WE SHALLMAKE PAYMENT AS INSTRUCTED BY YOU.Exercise 2SALES CONFIRMATIONNo. LT07060DATE: AUG. 10, 2005The Sellers: AAA IMPORT AND EXPORT CO. The Buyers: BBB TRADING CO.222 JIANGUO ROAD P.O.BOX 203DALIAN, CHINA GDANSK, POLANDThe undersigned Sellers and Buyers have agreed to close the following transactions according to the terms and conditions stipulated bellowed:TOTAL USD45,600.00 TOTAL VALUE: U.S. DOLLARS FORTY FIVE THOUSAND SIX HUNDRED ONLY.PORT OF LORDING: DALIANDESTINATION: GDANSKTRANSSHIPMENT: ALLOWEDPARTIAL SHIPMENTS: ALLOWEDSHIPMENT: DECEMBER, 2005INSURANCE: TO EFFECTED BY THE SELLERS FOR 110% INVOICE VALUE COVERING F.P.A.OF PICC CLAUSEPAYMENT: BY TRANSFERABLE L/C PAYABLE 60 DAYS AFTER B/L DATE, REACHING THE SELLERS 4 DAYS BEFORE THE SHIPMENTGENERAL TERMS:1. Reasonable tolerance in quality, weight, measurements, designs and colors is allowed, for which no claims will be entertained.2. The buyers are to assume full responsibilities for any consequences arising from:(a) the use of packing, designs or pattern made of order;(b) late submission of specifications or any other details necessary for the execution of thissales confirmation;(c) late establishment of L/C;(d) late amendment to L/C inconsistent with the previsions of this sales confirmation.David King 苏进The Buyers The SellersLETTER OF CREDITFORM OF DOC. CREDIT *40A: IRREVOCABLEDOC. CREDIT NUMBER *20: 70/1/5822DATE OF ISSSUE 31C: 051007EXPIRY 31D: DATE 060115 PLACE POLANDISSUING BANK 51D: SUN BANK, P.O. BOX 201 GDANSK, POLAND APPLICANT *50: BBB TRADING CO.P.O. BOX 203 GDANSK, POLAND BENEFICIARY *59: AAA IMPORT AND EXPORT CO.222 JIANGUO ROAD, DALIAN, CHINA AMOUNT *32B: CURRENCY USD AMOUNT 45,600.00 AVAILABLE WITH/BY *41A: BANK OF CHINA DALIAN BRANCHBY DEF PAYMENTDEFERRED PAYM. DET. *42P: 60 DAYS AFTER B/L DATEPARTIAL SHIPMENTS 43P: NOT ALLOWEDTRANSSHIPMENT 43T: ALLOWEDLOADING IN CHARGE 44A: SHANGHAIFOR TRANSPORT TO…44B: GDANSKLATEST DATE OF SHIP. 44C: 051231DESCRIPT. OF GOODS 45A: 65% POLYESTER 35% COTTON LADIES SHIRTSSTYLE NO. 101 200 DOZ @ USD60/PCESTYLE NO. 102 400 DOZ @ USD84/PCEALL OTHER DETAILS OF GOODS ARE AS PERCONTRACT NO. LT07060 DATED AUG. 10, 2005.DELIVERY TERMS: CIF GDANSK(INCOTERMS 2000)DOCUMENTS REQUIRED 46A:1. COMMERCIAL INVOICE MUNUALY SIGNED IN 2 ORIGINALS PLUS 1 COPY MADE OUT TO DDD TRADING CO., P.O.BOX 211, GDANSK, POLAND2. FULL SET (3/3) OF ORIGINAL CLEAN ON BOARD BILLS OF LADING PLUS 3/3 NON NEGOTIABLE COPIES, MADE OUT TO ORDER OF ISSUING BANK AND BLANK ENDORSED, NOTIFY THE APPLICANT, MARKED FREIGH PREPAID, MENTIONING GROSS WEIGHT AND NET WEIGHT.3. ASSORTMENT LIST IN 2 ORIGINALS PLUS 1 COPY.4. CERTIFICATE OF ORIGIN IN 1 ORIGINAL PLUS 2 COPIES SIGNED BY CCPIT.5. MARINE INSURANCE POLICY IN THE CURRENCY OF THE CREDIT ENDORSED IN BLANK FOR CIF VALUE PLUS 30 PCT MARGIN COVERING ALL RISKS OF PICC CLAUSES INCLUDING CLAIMS PAYABLE IN POLAND.ADDITIONAL COND. 47A:+ ALL DOCS MUST BE ISSUED IN ENGLISH.+ SHIPMENTS MUST BE EFFECTED BY FCL.+ B/L MUST SHOWING SHIPPING MARKS: BBB, S/C L/T07060, GDAND, C/NO.+ ALL DOCS MUST NOT SHOW THIS L/C NO. 70/1/5822.+ FOR DOCS WHICH DO NOT COMPLY WITH L/C TERMS AND CONDITIONS, WE SHALL DEDUCT FROM THE PROCEEDS A CHARGE OF EUR50.00 PAYABLE IN USD EQUIVALENT PLUS ANY INCCURED SWIFT CHARGES IN CONNECTION WITH.DETAILS OF CHARGES 71B: ALL BANKING COMM/CHARGES OUTSIDE POLANDARE ON BENEFICIARY’S ACCOUNT. PRESENTATION PERIOD 48: 15 DAYS AFTER B/L DATE, BUT WITHIN L/CVALIDITY.CONFIRMATION *49: WITHOUTINSTRUCTIONS 78: WE SHALL REIMBURSE AS PER YOURINSTRUCTIONSSEND TO REC. INFO. 72: CREDIT SUBJECT TO ICC PUBL. 500//1993 REV.Exercise 3Sales ContractNo.: ss03Date: May20, 2006Seller: Shanghai stationery and sporting goods Imp. And Exp. Corp.Address: 5-15 Mansion 1230-1240 Zhongshan Road, ShanghaiBuyer: Smith Co. Ltd.Address: The Jane street, Kong zone, London, EnglandThis contract is made by the buyers and the sellers, whereby the buyers agree to buy and the sellers agree to seller the under-mentioned commodity according to the terms and conditions stipulated below:Name of commodity: men’s glovesSpecification: Model No. 5Quantity: 2000 dozensUnit Price: CFR Amsterdam USD 45.00 per dozenAmount: USD90,000.00 (SAY US DOLLARS NINETY THOUSAND ONLY)Shipment: From Shanghai, China to Amsterdam, Holland not later than July 30, 2006 with transshipment and partial shipment not allowedPacking: in Seaworthy cartonsInsurance: To be covered by buyersTerms of Payment: By irrevocable letter of credit at sightShipping Marks: At seller’s opti onLetter of CreditCREDIT NUMBER 20: A2B9600463DATE OF ISSUE 31C: 060618ADVISING BANK 57A: BANK OF CHINA23, ZHONGSHAN ROAD, SHANGHAIFORM OF DOCUMENTARY CREDIT 40A: IRREVOCABLEDATE AND PLACE OF EXPIRY 31D: 060830/ AT ISSUING BANK’S COUNTER APPLICANT 50: SMITH CO. LTD.THE JANE STREET, KONG ZONE,LONDON, ENGLANDBENEFICIARY 59A: SHANGHAI STATIONERY AND SPORTING GOODSIMP. AND EXP. CORP5-15 MANSION 1230-1240 ZHONGSHAN ROAD,SHANGHAI, CHINACURRENCY CODE, AMOUNT 32B: USD 90,000.00AVAILABLE WITH…BY…41A: ANY BANK IN ADVISING BANK’S COUNTRYBY NEGOTIATION AT 30 DAYS SIGHT DRAFTS AT 42C: AT SIGHTDRAWN ON 42A: ABN AMRO BANK NV, LONDONPARTIAL SHIPMENTS 43P: ALLOWEDTRANSSHIPMENT 43T PROHIBITEDLOADING ON BOARD/DISPATCH/ 44A: SHANGHAI PORTTAKING IN CHARGE AT/FROMFOR TRANSSHIPMENT TO 44B: AMSTERDAMSHIPMENT PERIOD 44C NOT LATER THAN 060630DESCRIPTION OF GOODS 45A: 2000 DO ZENS MEN’S GLOVES CFR AMSTERDAMAT USD 45.00 EACHDOCUMENTS REQUIRED 46A: 1. COMMERCIAL INVOICE IN 3 COPIES2. FULL SET OF CLEAN ON BOARD OCEAN BILL OFLADING MADE OUT TO ORDER AND BLANKENDORSED, MARKED FREIGHT TO COLLECT,NOTIFYING THE APPLICANT.3. PACKING LIST/WEIGHT LIST IN 3 COPIESINDICATING QUANTITY4. INSURANCE POLICY OR CERTIFICATE ADDITIONAL COND. 47A: ALL DOCUMENTS ARE TO BE PRESENTED TO USIN ONE LOT BY COURIER/SPEED POST. DETAILS OF CHARGES 71B: ALL BANKING CHARGES OUTSIDE OF OPENINGBANK ARE FOR BENEFICIARY'S ACCOUNT. PRESENTATION PERIOD 48: DOCUMENTS TO BE PRESENTED WITHIN 15 DAYSAFTER THE DATE OF SHIPMENT BUT WITHINTHE VALIDITY OF THE CREDIT INSTRUCTIONS : 78: WE HEREBY UNDERTAKE THAT DRAFTS DRAWNUNDER AND IN COMPLY WITH THE TERMS ANDCONDITIONS OF THIS CREDIT WILL BE PAIDMATURITY.SEND. TO REC. INF. 72: SUBJECT U.C.P.1993 ICC PUBLICATION 500Exercise 4SALES CONTRACTBUYER: JAE & SONS PAPERS COMPANY NO.ST05-016203 LODIA HOTEL OFFICE 1546, DONG-GU, DATE: AUGUST 08, 2005BUSAN,KOREA SIGNED AT: NANJING, CHINA SELLER: WONDER INTERNATIONAL COMPANY LIMITEDNO. 529, QIJIANG ROAD HE DONG DISTRICT,NANJING, CHINAThis Contract is made by the Seller; whereby the Buyers agree to buy and the Seller agrees to sell the under -mentioned commodity according to the terms and conditions stipulated below: 1. COMMODITY: UNBLEACHED KRAET LINEBOARD.UNIT PRICE: USD390.00/PER METRIC TON, CFR BUSAN KOREATOTAL QUANTITY: 100METRIC TONS, ±10% ARE ALLOWED.PAYMENT TERM: BY IRREVOCABLE L/C 90 DAYS AFTER B/L DATE2. TOTAL VALUE: USD39,000.00 (SAY U.S.DOLLARS THIRTY NINE THOUSAND ONLY. 10% MORE OR LESS ALLOWED.)3. PACKING: To be packed in strong wooden case(s), suitable for long distance ocean transportation.4. SHIIPPING MARK: The Seller shall mark each package with fadeless paint the package number, gross weight, measurement and the wording: “KEEP AWAY FROM MOISTURE”, “HANDLE WITH CARE”, etc. and the shipping mark: ST05-016BUSAN KOREA5. TIME OF SHIPMENT: BEFORE OCTOBER 02, 20056. PORT OF SHIPMENT: MAIN PORTS OF CHINA7. PORT OF DESTINATION: BUSAN, KOREA8. INSURANCE: To be covered by the Buyer after shipment. (F.O.B Terms)9. DOCUMENT:+ Signed invoice indicating LC No and Contract No.+ Full set (3/3) of clean on board ocean Bill of Lading marked “Freight to Collect”/ “Freight Prepaid” made out to order blank endorsed notify ing the applicant.+ Packing List/Weight List indicating quantity/gross and net weight.+ Certificate of Origin.+ No solid wood packing certificate issued by manufacturer.10. OTHER CONDITIONS REQD IN LC:+ All banking charges outside the opening bank are for beneficiary’s a/c.+ Do not mention any shipping marks in your L/C.+ Partial and transshipment allowed.11. REMARKS: The last date of L/C opening:20 August, 2005.Letter of CreditBANK OF KOREA LIMITED, BUSANSEQUENCE OF TOTAL 27: 1 / 1FORM OF DOC. CREDIT 40A: IRREVOCABLEDOC. CREDIT NUMBER 20: S100-108085DATE OF ISSUE 31C: 20050825EXPIRY 31D: DATE 20051001 PLACE APPLICANT'S COUNTRY APPLICANT 50: JAE & SONS PAPERS COMPANY203 LODIA HOTEL OFFICE 1564,DONG-GU, BUSAN, KOREABENEFICIARY 59A: WONDER INTERNATIONAL COMPANY LIMITEDN0. 529, QIJIANG ROAD HE DONG DISTRICT,NANNING, CHINAAMOUNT 32B: CURRENCY HKD AMOUNT 39,000.00 AVAILABLE WITH/BY 41A: ANY BANK IN CHINA BY NEGOTIATION DRAFTS AT 42C: DRAFT AT 90 DAYS SIGHTFOR FULL INVOICE COSTDRAWEE 42A: BANK OF KOREA LIMITED, BUSANPARTIAL SHIPMENTS 43P: NOT ALLOWEDTRANSSHIPMENT 43T: NOT ALLOWEDLOADING IN CHARGE 44A: MAIN PORTS OF CHINAFOR TRANSPORT TO 44B: MAIN PORTS OF KOREALATEST DATE OF SHIP 44C: 2005/10/02DESCRIPT. OF GOODS 45A: COMMODITY: UNBLEACHED KRAET LINEBOARD.U/P: HKD 390.00/MTTOTAL: 100MT ±10% ARE ALLOWED.PRICE TERM: CIF BUSAN KOREACOUNTRY OF ORIGIN: P.R. CHINAPACKING: STANDARD EXPORT PACKINGSHIPPING MARK: ST05-016BUSAN KOREADOCUMENTS REQUIRED 46A: 1. COMMERCIAL INVOICE IN 3 COPIESINDICATING LC NO. & CONTRACT NO.ST05-0182. FULL SET OF CLEAN ON BOARD OCEAN BILLOF LADING MADE OUT TO ORDER AND BLANKENDORSED, MARKED FREIGHT TO COLLECT,NOTIFYING THE APPLICANT.3. PACKING LIST/WEIGHT LIST IN 3 COPIESINDICATING QUANTITY/GROSS AND NETWEIGHTS4. CERTIFICATE OF ORIGIN IN 3 COPIES ADDITIONAL COND. 47A: ALL DOCUMENTS ARE TO BE PRESENTED TO USIN ONE LOT BY COURIER/SPEED POST. DETAILS OF CHARGES 71B: ALL BANKING CHARGES OUTSIDE OF OPENINGBANK ARE FOR BENEFICIARY'S ACCOUNT. PRESENTATION PERIOD 48: DOCUMENTS TO BE PRESENTED WITHIN 21DAYS AFTER THE DATE OF SHIPMENT BUTWITHIN THE VALIDITY OF THE CREDIT CONFIRMATION 49: WITHOUTINSTRUCTIONS 78: WE HEREBY UNDERTAKE THAT DRAFTS DRAWNUNDER AND IN COMPLY WITH THE TERMS ANDCONDITIONS OF THIS CREDIT WILL BE PAIDMATURITY.SEND. TO REC. INFO. 72: SUBJECT U.C.P.1993 ICC PUBLICATION 500Exercise 5SALES CONTRACTTHE SELLER: NO.WILL09068SHANGHAI WILL TRADING CO.,LTD. DATE:JUNE.1,2009NO.25JIANGNING ROAD,SHANGHAI,CHINA SIGNED AT:SHANGHAI,CHINATHE BUYER:NU BONNETERIE DE GROOTEAUTOSTRADEWEG 6 9090 MEUE BELGIUMThis Sales Contract is made by and between the Sellers and the Buyers, whereby the sellers agree to sell and the buyers agree to buy the under-mentioned goods according to the terms and conditions stipulated below:Packing: IN CARTONS OF 50 PCS EACHShipping Mark: AT S ELLER’S OPTIONTime of Shipment: DURING AUG. 2009 BY SEALoading Port and Destination: FROM SHANGHAI, CHINA TO ANTWERP, BELGIUMPartial Shipment and Transshipment: ARE ALLOWEDInsurance: TO BE EFFECTED BY THE SELLER FOR 110 PCT OF INVOICE VALUEAGAINST ALL RISKS AND WAR RISK AS PER CIC OF THE PICC DATED 01/01/1981.Terms of Payment: THE BUYER SHALL OPEN THROUGH A BANK ACCEPTABLE TO THE SELLER AN IRREVOCABLE SIGHT LETTER OF CREDIT TO REACH THE SELLER 30 DAYS BEFORE THE MONTH OF SHIPMENT AND TO REMAIN VALID FOR NEGOTIATION IN CHINA UNTIL THE 15th DAY AFTER THE FORESAID TIME OF SHIPMENT.SELLER BUYERSHANGHAI WILL TRADING CO., LTD NU BONNETERIE DE GROOTE张平LJSKOUTISSUE OF DOCUMENTARY CREDIT27: SEQUENCE OF TOTAL:1/140A: FORM OF DOC.CREDIT :IRREVOCABLE20: DOC.CREDIT NUMBER :132CD637273031C: DATE OF ISSUE :09071540E: APPLICABLE RULES :UCP LATEST VERSION31D: DATE AND PLACE OF EXPIRY :DATE 090910 PLACE IN BELGIUM51D:APPLICANT BANK:ING BELGIUM NV/SV (FORMERLY BANKBRUSSELS LAMBERT SA), GENT50: APPLICANT :NU BONNETERIE DE GROOTEAUTOSTRADEWEG 69090 MELLE BELGIUM59: BENEFICIARY :SHANGHAI WILL IMPORT AND EXPORT CO., LTDNO.25 JIANGNING ROAD, SHANGHAI, CHINA 32B: AMOUNT :CURRENCY USD AMOUNT 19 500.0041A:AVAILABLE WITH…BY :ANY BANK IN CHINA BY NEGOTIATION42C:DRAFTS AT… :30 DAYS AFTER SIGHT42A:DRAWEE :NU BONNETERIE DE GROOTE43P:PARTIAL SHIPMTS:NOT ALLOWED43T:TRANSSHIPMENT:ALLOWED44E:PORT OF LOADING:ANY CHINESE PORT44F:PORT OF DISCHARGE:ANTWERP, BELGIUM44C:LATEST DATE OF SHIPMENT:09081545A:DESCRIPTION OF GOODS:+ 3000 PCS SHORT TROUSERS – 100PCT COTTONTWILL AT EUR10.50/PC AS PER ORDER D0900326AND SALES CONTRACT NUMBER WILL09068.+ 5000 PCS SHORT TROUSERS – 100PCT COTTONTWILL AT EUR12.00/PC AS PER ORDER D0900327AND SALES CONTRACT NUMBER WILL09069. SALES CONDITIONS: CFR ANTWERPPACKING: 50PCS/CTN46A:DOCUMENTS REQUIRED: 1. SIGNED COMMERCIAL INVOICES IN 4 ORGINALAND4 COPIES2. FULL SET OF CLEAN ON BOARD OCEAN BILLS OFLADING, MADE OUT TO ORDER, BLANK ENDORSED,MARKED FREIGHT COLLECT NOTIFY THE APPLICANT3. CERTIFICATE OF ORIGIN.4. PACKING LIST IN QUADRUPLICATE STATINGCONTENTS OF EACH PACKAGE SEPARARTELY.5. INSURANCE POLICY/CERTIFICATE ISSUED INDUPLICATE IN NEGOTIABLE FORM, COVERING ALLRISKS, FROM WAREHOUSE TO WAREHOUSE FOR120 PCT OF INVOICE VALUE. INSURANCEPOLICY/ CERTIFICATE MUST CLEARLY STATE IN THEBODY CLAIMS, IF ANY, ARE PAYABLE IN BELGIUMIRRESPECTIVE OF PERCENTAGE47A: ADDITIONAL CODITIONS: 1. ALL DOCUMENTS PRESENTED UNDER THIS LCMUST BE ISSUED IN ENGLISH.2. IN CASE THE DOCUMENTS CONTAINDISCREPANCIES, WE RESERVE THE RIGHT TOCHARGE DISCREPANCY FEES AMOUNTING TOEUR 75 OREQUIVALENT.71B: CHARGES:ALL CHARGES ARE TO BE BORN BY BENEFICIARY 48: PERIOD FOR PRESENTATION:WITHIN 5 DAYS AFTER THE DATE OF SHIPMENT, BUTWITHIN THE VALIDITY OF THIS CREDIT 49: CONFIRMATION INSTRUCTION:WITHOUT。
根据销售合同写信用证

致:[开证银行名称]日期:[信用证开证日期]编号:[信用证编号]以下为根据销售合同[销售合同编号]所申请的信用证详细内容,请予以审核并开立:一、信用证类型及条款1. 信用证类型:不可撤销、保兑信用证(Irrevocable and Confirmed Letter of Credit)2. 信用证有效期:[装运期限]后15天,在中国到期3. 信用证金额:[合同总价]美元4. 受益人:[卖方全称]- 地址:[卖方地址]- 国家:[卖方国家]5. 通知行:[通知行名称]- 地址:[通知行地址]- 国家:[通知行国家]6. 议付行:[议付行名称]- 地址:[议付行地址]- 国家:[议付行国家]7. 信用证性质:可转让、可分割信用证(Transferable and Divisible Letterof Credit)8. 分运及转运:允许分运及转运二、信用证条款1. 货物描述:[合同中详细货物描述,包括货号、品名及规格、数量、单价等]2. 装运期限:[合同中规定的装运期限]3. 装运口岸:[合同中规定的装运口岸]4. 目的口岸:[合同中规定的目的口岸]5. 保险:由卖方按发票全额110%投保至[目的口岸]为止的险种6. 单据要求:- 正本发票一份- 提单一份,注明“运费已付”或“运费预付”- 装箱单一份- 检验证书一份- 产地证明一份- 发货通知一份- 信用证项下其他单据7. 付款条件:即期付款8. 争议解决:任何争议应通过友好协商解决;如协商不成,提交[仲裁机构名称]仲裁三、其他特殊要求1. 信用证中必须注明允许分运及转运。
2. 信用证中必须注明受益人有权在信用证到期前要求提前议付。
3. 信用证中必须注明所有单据需加盖受益人公章。
四、申请理由本信用证是根据与[买方全称]签订的[销售合同编号]销售合同所申请。
为确保合同顺利履行,保障双方权益,特申请开立本信用证。
五、承诺我方承诺,在信用证有效期内,按照信用证条款要求,及时、准确地向贵行提交符合信用证要求的单据,并承担因单据不符合信用证条款而产生的所有责任。
根据外销合同审核信用证

根据外销合同审核信用证一、背景说明信用证是国际贸易中的一种重要支付工具,特别是在外销合同中。
外销合同审核信用证是指根据签订的外销合同对信用证进行审核,确保信用证的条款与合同要求一致,以保障出口商的权益。
本文将从以下几个方面对根据外销合同审核信用证的过程进行详细介绍。
二、信用证审核的目的和重要性外销合同审核信用证的目的是为了保障出口商的权益,确保信用证的条款与合同要求一致,避免出口商因为信用证的条款不符合合同要求而无法获得付款。
信用证作为一种独立的支付工具,具有市场广泛认可度和可靠性,因此对信用证的审核十分重要。
1. 获取外销合同和信用证的副本首先,出口商需要从买方或银行获取外销合同和信用证的副本。
外销合同是买卖双方达成一致的文件,其中包含了交货日期、货物规格、价格等具体条款。
信用证则是银行对买方承诺支付货款的文件,其中也包含了一系列的条件和要求。
2. 仔细阅读和理解信用证的条款出口商需要仔细阅读和理解信用证的条款,包括货物描述、交货日期、付款方式、保险要求等内容。
在阅读过程中,出口商需要特别关注与合同要求不一致的地方,以便在后续进行准确的审核。
出口商需要对比外销合同和信用证的条款,确保两者一致。
如果发现有不一致的地方,出口商需要与买方或银行进行沟通,以确定解决的方案。
4. 检查信用证的有效期和修改记录出口商还需要检查信用证的有效期和修改记录。
如果信用证已经过期或存在多次修改,出口商需要与买方或银行进行确认,以确保信用证的有效性。
5. 准备审核报告最后,出口商需要准备审核报告,将外销合同和信用证的审核情况进行详细记录。
审核报告应包括审核过程中发现的不一致点以及与买方或银行的沟通记录。
这样的审核报告有助于出口商在后续与买方或银行的纠纷中提供证据。
四、审核注意事项在根据外销合同审核信用证的过程中,出口商需要注意以下几个事项:•仔细阅读和理解信用证的条款,确保与外销合同一致。
•若发现任何不一致的地方,及时与买方或银行进行沟通,并争取尽早解决。
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进口国开来的信用证:
ISSUING BANK: UNITED GREAT KINGDOM BANK LTD, LONDON
CREDIT NUMBER: LOD88095
DATE OF ISSUE: 2008.09.01
EXPIRYDATE AND PLACE: DATE 2008.10.20 PLACE U.K.
APPLICANT:
EASTERN TRADING COMPANY
81 WORDFORD STREET,
LONDON
UNITED KINGDOM
BENEFICIARY:
SHANGHAI MAOLIN TRADE CORP.
NO.97 MAOMING NAN ROAD
SHANGHAI P. R. OF CHINA
AMOUNT: USD32040.00 (SAY U. S. DOLLARS THIRTY TWO THOUSAND AND FORTY ONLY) THE CREDIT IS AVAILABLE WITH ANY BANK BY NEGOTIATION DRAFTS AT 30 DAYS AFTER SIGHT FOR FULL INVOICE VALUE DRAWN ON US
PARTIAL SHIPMENT: NOT ALLOWED
TRANSHIPMENT: ALLOWED
PORT OF LOADING: SHANGHAI
PORT OF DISCHARGE: LONDON
LATEST SHIPMENT DATE: 2008.10.15
DESCRIPTION OF GOODS: WOOLLEN BLANKETS, CIF LONDON
ART. NO. H666 600PCS @USD15.50/PC USD9300.00
ART. NO.HX88 600PCS @USD16.30/PC USD9780.00
ART. NO. HE21 720PCS @USD18.00/PC USD12960.00
TOTAL: 1920PCS USD32040.00
AS PER CONTRACT NO.SH2008X806
DOCUMENTS REQUIRED:
*SIGNED COMMERCIAL INVOICE IN TRIPLICATE
*PACKING LIST IN TRIPLICATE
*FULL SET OF CLEAN ON BOARD MARINE BILLS OF LADING MADE OUT TO ORDER MARKED FREIGHT PREPAID NOTIFY APPLICANT
*GSP FORM A CERTIFYING THAT THE GOODS ARE OF CHINESE ORIGIN ISSUED BY COMPETENT AUTHORITIES
*INSURANCE POLICY / CERTIFICATE COVERING ALL RISKS INCLUDING WAREHOUSE TO WAREHOUSE CLAUSE UP TO FINAL DESTINATION AT LONDON FOR AT LEAST 110 PCT OF CIF VALUE AS PER INSTITUTE CARGO CLAUSE (A)
*SHIPPING ADVICES MUST BE SENT TO APPLICANT WITHIN IMMEDIATELY AFTER SHIPMENT ADVISING THE INVOICE VALUE, NUMBER OF PACKAGES, GROSS AND NET WEIGHT, VESSEL NAME, BILL OF LADING NO. AND DATE, CONTRACT NO. SHOWING SHIPPING MARK AS:EASTERN
2008X826
LONDON
NO.1-80
PRESENTATION PERIOD: 10 DAYS AFTER ISSUANCE DATE OF SHIPPING DOCUMENTS BUT WITHIN THE VALIDITY OF THE CREDIT
CONFIRMATION: WITHOUT
INSTRUCTIONS: THIS CREDIT IS SUBJECT TO UNIFORM CUSTOMS A PRACTICE FOR DOCUMENTARY CREDIT ICC NO.600.THE NEGOTIATION BANK MUST FORWARD THE DRAFTS AND ALL DOCUMENTS BY REGISTERED AIRMAIL DIRECT TO US IN TWO CONSECUTIVE LOTS. UPON RECEIPT OF THE DRAFTS AND DOCUMENTS IN ORDER, WE WILL REMIT THE PROCEEDS AS INSTRUCTED BY THE NEGOTIATING BANK.
经审核,信用证存在以下问题:
1.合同规定信用证有效期为装运日后15天,即2008年10月30日,而信用证为2008年10月20日;
2.根据合同信用证的到期地点不应在英国,而应在中国。
3.受益人名称与合同有差异,名称应为“CO.”,而不是“CORP.”。
4.信用证金额大小写都有误,应是32400美元,SAY U. S. DOLLARS THIRTY TWO THOUSAND FOUR HUNSRED ONLY。
5.根据合同中汇票期限应为即期,而信用证错为见票后30天远期。
6.根据合同,可以分批装运,信用证错为不可以分批。
7.根据合同,货号HE21的单价是USD18.50/PC,信用证错为USD18.00/PCS。
8.货物描述中的总金额应该是USD32400.00,信用证错为USD32040.00。
9.货物描述中的合同号错为SH2008X806。
10.根据合同,保险险别是一切险和战争险,信用证错为一切险。
11.合同上的交单期为提单后15天,而信用证错为10天。
12.信用证金额、数量前面都没有5%的增减幅度,而合同中规定金额和数量允许的5%溢短装幅度。
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