根据下面的销售合同审核信用证

合集下载

根据外销(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。

第1次2005年国际商务单证员《缮制与操作》真题-中大网校

第1次2005年国际商务单证员《缮制与操作》真题-中大网校

第1次2005年国际商务单证员《缮制与操作》真题总分:100分及格:60分考试时间:120分一、单据改错(20分)(1)资料:卖方:Great Wall Trading C0.买方:TTC C0.成交条件:CIF TOKYO合同号:GWT0503X信用证规定的交货期:不晚于2005—5—30信用证有效期:2005—6—15要求:根据已知资料和惯例,改正你认为错误的单据签发日期<TABLE cellSpacing=1 cellPadding=0 align=center bgColor=#000000 border=0><TBODY><TR><TD vAlign=top width=192 bgColor=#ffffff><STRONG>单据名称</STRONG></TD><TD vAlign=top width=191 bgColor=#ffffff><STRONG>签发H期</STRONG></TD><TD vAlign=top width=143 bgColor=#ffffff><STRONG>正确的签发日期</STRONG></TD></TR><TR><TD vAlign=top width=192 bgColor=#ffffff>出口货物许可证</TD><TD vAlign=top width=191 bgColor=#ffffff>2005年5月30日</TD><TD vAlign=top width=143 bgColor=#ffffff> </TD></TR><TR><TD vAlign=top width=192 bgColor=#ffffff>商业发票</TD><TD vAlign=top width=191 bgColor=#ffffff>2005年5月31日</TD><TD vAlign=top width=143 bgColor=#ffffff> </TD></TR><TR><TD vAlign=top width=192 bgColor=#ffffff>装箱单</TD><TD vAlign=top width=191 bgColor=#ffffff>2005年5月23 日</TD><TD vAlign=top width=143 bgColor=#ffffff> </TD></TR><TR><TD vAlign=top width=192 bgColor=#ffffff>商业汇票</TD><TD vAlign=top width=191 bgColor=#ffffff>2005年5月23日</TD><TD vAlign=top width=143 bgColor=#ffffff> </TD></TR><TR><TD vAlign=top width=192 bgColor=#ffffff>原产地证明</TD><TD vAlign=top width=191 bgColor=#ffffff>2005年5月31日</TD><TD vAlign=top width=143 bgColor=#ffffff> </TD></TR><TR><TD vAlign=top width=192 bgColor=#ffffff>出口商检证书</TD><TD vAlign=top width=191 bgColor=#ffffff>2005年5月31日</TD><TD vAlign=top width=143 bgColor=#ffffff> </TD></TR><TR><TD vAlign=top width=192 bgColor=#ffffff>出口货物保险单</TD><TD vAlign=top width=191 bgColor=#ffffff>2005年6月1日</TD><TD vAlign=top width=143 bgColor=#ffffff> </TD></TR><TR><TD vAlign=top width=192 bgColor=#ffffff>直达海运提单</TD><TD vAlign=top width=191 bgColor=#ffffff>2005年5月31 日</TD><TD vAlign=top width=143 bgColor=#ffffff> </TD></TR><TR><TD vAlign=top width=192 bgColor=#ffffff>出口货物报关单</TD><TD vAlign=top width=191 bgColor=#ffffff>2005年5月31 日</TD><TD vAlign=top width=143 bgColor=#ffffff> </TD></TR><TR><TD vAlign=top width=192 bgColor=#ffffff>装船通知</TD><TD vAlign=top width=191 bgColor=#ffffff>2005年5月31日</TD><TD vAlign=top width=143 bgColor=#ffffff> </TD></TR></TBODY></TABLE>(2)资料:<TABLE cellSpacing=1 cellPadding=0 align=center bgColor=#000000 border=0><TBODY><TR><TD vAlign=top width=171 bgColor=#ffffff>托收方式</TD><TD vAlign=top width=96 bgColor=#ffffff>首次提示日</TD><TD vAlign=top width=95 bgColor=#ffffff>承兑日</TD><TD vAlign=top width=95 bgColor=#ffffff>付款日</TD><TD vAlign=top width=72 bgColor=#ffffff>交单日</TD></TR><TR><TD vAlign=top width=171 bgColor=#ffffff>D/P at sight</TD><TD vAlign=top width=96 bgColor=#ffffff>3月8 日</TD><TD vAlign=top width=95 bgColor=#ffffff>3月9日</TD><TD vAlign=top width=95 bgColor=#ffffff>3月10日</TD><TD vAlign=top width=72 bgColor=#ffffff>3月10 日</TD></TR><TR><TD vAlign=top width=171 bgColor=#ffffff>D/P at 30 days after sight</TD><TD vAlign=top width=96 bgColor=#ffffff>3月8日</TD><TD vAlign=top width=95 bgColor=#ffffff>3月7日</TD><TD vAlign=top width=95 bgColor=#ffffff>4月6日</TD><TD vAlign=top width=72 bgColor=#ffffff>4月6日</TD></TR><TR><TD vAlign=top width=171 bgColor=#ffffff>D/A at 45 days after sight</TD><TD vAlign=top width=96 bgColor=#ffffff>3月8日</TD><TD vAlign=top width=95 bgColor=#ffffff>3月7日</TD><TD vAlign=top width=95 bgColor=#ffffff>4月21日</TD><TD vAlign=top width=72 bgColor=#ffffff>4月21 日</TD></TR></TBODY></TABLE>要求:根据已知资料和惯例,将你认为应改正的日期填在下列表格。

根据合同审核信用证【范本模板】

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。

外贸单证B卷

外贸单证B卷

中南林业科技大学课程考试试卷(闭卷考试)课程名称: 外贸单证实务 ;试卷编号: B 卷;考试时间:120分钟一、根据下面的销售合同审核信用证(30分)SHANGHAI LIGHT INDUSTRIAL PRODUCTS IMPORTAND EXPORT CORPORATIONSALES CONFIRMATION128 Huqiu Road Shanghai ChinaTele :86—21-23 140568 Fax :86-21—25467832TO :CONSOLIDATORS LIMITED NO :PLW253RM .13001—13007E ,13/F , DATE :Sept .15,2006 ASUA TERMINALS CENTER B .BERTH 3,KWAI CHUNG ,N .T .,HONGKONG P .O .Box 531 HONGKONGWe hereby confirm having sold to you the following goods on terms and conditions as stated belowNAME OF COMMODITY :Butterfly Brand Sewing Machine SPECIFICATION : JA 一1 1 5 3 Drawem Folding Cover PACKING :Packed in wooden cases of one set each .学院 专业班级装订线(答题不得超过此线)QUANTITY:Total 5500setsUNIT PRICE: USD 64.00 per set CIFC3%H.K.TOTAL AMOUNT:USD 352 000.00(Say U.S.dollars three hundred and fifty two thousand only.) SHIPMENT: During Oct./Nov.2006 from Shanghai to H.K.with partialShipments and transshipment permitted.INSURANCE: To be covered by the seller for 110%of total invoice value against All risks and war risks as per the relevant ocean marine cargo clauses of thePeople’S Insurance Company of China dated January 1,1981.PAYMENT: The buyer should open through a bank acceptable to the seller an irrevocable Letter of Credit at 30 days after sight to reach the Seller 30 days beforethe month of Shipment valid for negotiation in China until the 15th dayafter the date of shipment.REMARKS:Please sign and return one copy for our file.The Buyer: The Seller:CONSOLIDATORS LIMITED SHANGHAI LIGHT INDUSTRIAL PRODUCTSIMPORT&EXPORT CORPORATION信用证HONGKONG & SHANGHAI BANKING CORPORATIONQUEEN’S ROAD CENTERAL,P.O.BOX 64,H.K.TEL:822—111l FAX:810—1112Advised through:Bank of China, NO.CN3099/7 1 4Shanghai Branch, DATE Oct.2,2006 H.K.To:Shanghai Light Industrial ProductsImport & Export Corp.128 HUQIU ROADSHANGHAI,CHINADear Sirs:We are pleased to advise that for account of Consolidators Limited,H.K.,we hereby open our L/C No.CN3099/7 14 in your favour for a sum not exceeding about USD 330 000.00(Say US Doliars Three Hundred Thirty Thousand only)available by your drafts on HSBC at 30 days after date accompanied by the following documents:1.Signed commercial invoice in 6 copies.2.Packing List in quadruplicate.3.Full set of(3/3)clean on board Bs/L issued to our order notify the above mentioned buyer and marked“Freight Collect”dated not later than October 31,2006.From Shanghai to Hongkong.Partial shipment are not permitted and trans shipment is not permitted.4.Insurance policy in 2 copies covering C.I.C for 150% invoice value against All risks and war risks as per the relevant ocean marine cargo clauses of the People’s Insurance Company of China dated January 1,1981.5.Certificate of Origin issued by China Council for the Promotion of International Trade.DESCRIPTION GOODS:5 500 sets Sewing Machine Art.No.JA一1 1 5 packed in wooden cases or cartons each at USD 64.oo CIF H.KDrafts drawn under this credit must be marked“drawn under HSBC,H.K.,”bearing the number and date of this credit.We undertake to honour all the drafts drawn in compliance with the terms of this credit if such draftS to be presented at our counter on or before Oct.31,2006.SPECIAL INSTRUCTl0NS:(1)Shipment advice to be sent by fax to the applicant immediately after the shipment stating our L/C No.,shipping marks,name of the vessel,goods description and amount as well as the bill of lading No.and date.A copy of such advice must accompany the original documents presented for negotiation.(2)The negotiating bank is kindly requested to froward all documents to us(HONGKONG & SHANGHAI BANKING CORPORATION QUEEN’S ROAD CENTERAL,P.O.BOX 64,H.K.)in one lot by airmail.It is subject to the Uniform Customs and Practice for Documentary Credits (1993)Revision,International Chamber of Commerce Publication No.500.Yours faithfullyFor HONGKONG & SHANGHAI BANKING CORPORATION此信用证有如下错误:二、根据所给资料缮制单证(50分)Aug.8.2006 14:10:38 LOGICAL TERMINAL P005 MT S701ISSUE OF DOCUMENTARY CREDITPAGE 00001FUNC SWPR3MSGACK DWS7651 AUTHENTICATION SUCCESSFUL WITH PRIMARY KEYBASIC HEADER 01 BKCHCNBJA300 5976 66240lAPPLICATION HEADER O 700 1530 030807 MITKJPJTAXXX 1368 960990 030808*SAKURA BANK,LTD*(FORMERLY MITSUI TAIYO KOBE)*TOKYOUSER HEADER BANK,PRIORTY 113:MSG USER REF 108:SEQUENCE OFTOTAL *27: 1/3FORM OF DOC.CREDIT *40A: IRREVOCABLEDOC.CREDlT N UMBER *20:090-3001573DATE 0F ISSUE *31C:060804EXPIRY *31D:DATE 060915 PLACE IN THE COUNTRY 0FBENEFICIARYAPPLICANT *50: TIANJIN—DAIAI CO.,ITD,SHIBADAIMON MFBLDG.2.1.16,SHIBADAIMON,MINATO—KU.TOKYO,105 JAPAN BENEFICIARY *59: SHANGHAI GARMENT CORP,NO.567MAOTAI RD.,SHANGHAI,CHINAAMOUNT *32B:CURRENCY USD AMOUNT 74 157 ADD.AMOUNT COVERED *39C:FULL CIF INVOICE VALUEAVAIIABLE WITH/BY *41D:BANK 0F CHINA BY NFGOTIATIONDRAfTS AT... *42C:DRAFT(S)AT SIGHTDRAWEE *42A:CHEMUS33*CHEMICAL BANK*NEW YORK.NYPARTIAL SHIPMENT *43P:PARTIAL SHIPMENTS ARE ALLOWED TRANSSHIPMENT *43T:TRANSSHIPMENT IS NOT ALLOWEDLOADING IN CHARGE *44A:SHANGHAIFOR TRANSPORT T0… *44B:KOBE/OSAKA.JAPANLATEST DATE OF SHIP. 44C:060831DESCRIPTION OF G00DS 45A:GIRL’S T/R VEST SUITSST/NO.353713 6 000SETS USD6.27/SET USD37 620.00 353714 5 700SETS USD6.41/SET USD36 537.00 TOTAL: 11 700SETSPRESENTATION PERIOD 48:DOCUMENTS MUST BE PRESENTED WITHIN 15DAYS AFTER THE DATE OF SHIPMENT CONFIRMATION *49:WITHOUTREIMBURSEMENT BANK 53A:CHEMU$33*CHEMICAL BANK*NEW YORK.NYINSTRUCTl0NS 78:IN REIMBURSEMENT,NEGOTIATING BANK SHOULD SEND THE BENEFICIARY’SDRAFT TO THE DRAWEE BANK FOR OBTAINING THE PROCEED,NEGOTIATINGBANK SHOULD FORWARD THE DOCUMENTS DIRECT TO THE SAKURA BANK LTD.,TOKYO INT’L OPERATIONS CENTERP.O.BOX 766,TOKYO,JAPANBY TWO CONSECUTIVE REGISTERED AIRMAILSDOCUMENTS REQUIRED *46B:SIGNED COMMERCIAL INVOICE IN 5 COPIESINDICATING IMPORT ORDER NO.131283 AND CONTRACT NO.06-09-403DATED JULY 12,2003 AND L/C NO.FULL SET OF 3/3 CLEAN ON BOARD OCEAN BILLS OF LADINGMADE OUT TO ORDER OF SHIPPER AND BLANK ENDORSEDAND MARKED“FREIGHT PREPAID”NOTIFY TIANJIN—DAIEICO.,LTD 6F,SHIBADAIMON MF BLDG.,2—1—16SHIBADAIMON,MINATO—KU TOKYO 105 JAPAN.TEL NO.03—5400—1971.FAX NO.03—5400—1976PACKING LIST IN 5 COPIESCERTIFICATE OF ORIGIN IN 5 COPIESINSURANCE POLICY OR CERTIFICATE IN 2/2 AND ENDORSED IN BLANK FOR110 PCT OF FULL TOTAL INVOICE VALUE COVERING ALL RISKS,WAR RISKSAS PER THE RELEVANT OCEAN MARINE CARGO CLAUSE OF P.I.C.C.DATEDJAN.1,1981 WITH CLAIMS,IF ANY,PAYABLE AT DESTINATIONTELEX OR FAX COPY OF SHIPPING ADVICE DESPATCHED TOTIANJIN.DAIEI CO.,LTD.(DIV:1,DEPT:3 FAX NO.03-5400—1796)IMMEDIATELY AFTER SHIPMENTBENEFICIARY’S CERTIFICATE STATING THAT THREE SETS COPIES OF NON-NEGOTIABLE SHIPPING DOCUMENTS HAVE BEEN AIRMAILED DIRECTLY TO THE APPLICANT IMMEDIATELY AFTER SHIPMENT.ADDITIONAL COND.47B:1)5PCT MORE OR LESS IN BOTH AMOUNT AND QUANTITY PER EACH ITEM WILL BE ACCEPTABLE.2) BUYER’S IMPORT ORDER NO.131283 MUST BE MENTIONED ON ANY SHIPPING DOCUMENTS.3) ABOVE CARGO SHALL BE C0NTAINERIZED.4) SHIPPING MARK OF EACH CARTON SHOULD INCLUDE BUYER’S IMPORT ORDEENO.1312835) T.T.REIMBURSEMENT IS NOT ACCEPTABLE.6、ALL BANKING CHARGES OUTSIDE JAPAN ARE FOR ACCOUNT OF BENEFICIARY.ORDER IS <MAC:> <PAC:> <ENC:> <CHK:> <TNG:> <PED:>MAC:BF35294ECHK:6E452BBE2A451.根据上述信用证填写汇票2.根据上述信用证及以下补充内容填写一份商业发票发票号码:MNG0886656发票日期:Aug.18,2006SHIPPING MARK:TIANJIN—DAIEI CO.KOBE.JAPANCTN.1~80IMPORT ORDER N0.131283MADE IN CHINA3.根据上述信用证及以下补充内容缮制一份海运提单Ocean vessel voy No.:RICKMERS V.0369一SMSHIPPING MARK:TIANJIN—DAIEI CO.KOBE.JAPANCTN.1~80IMPORT 0RDER NO.13 1283MADE IN CHINACFS.CFSGross Weight:1660.80kgsNet weight: 1598.99 kgsMeasurement:8.65 ebms提单出单日期为2006年8月31日提单号HIFLAFD65894l提单由中国对外贸易运输总公司签发4.根据上述信用证缮制一份一般原产地证明书(其号码是:0566589,HS编码是SH9876543210)。

2023根据外销标准合同审核信用证

2023根据外销标准合同审核信用证

根据外销合同审核信用证一、背景介绍外贸交易中,信用证是一种常用的支付方式。

出口商在与买家签订外销合同后,可以要求买家开立信用证作为支付保障。

然而,信用证的审核却是一个复杂而且关键的过程。

本文将介绍如何根据外销合同审核信用证,以确保交易的顺利进行。

二、外销合同审核信用证的重要性审核信用证是出口商在外贸交易过程中的重要一环。

通过审核信用证,出口商可以确保买方的支付能力,并从银行获得相应的付款保障。

同时,审核信用证也可以防止买方在支付过程中的不履约行为,保护出口商的权益。

因此,外销合同审核信用证是一个既需要注意细节又需要审慎处理的过程。

三、外销合同审核信用证的步骤1. 熟悉信用证的基本条款在审核信用证之前,出口商应该先熟悉信用证的基本条款。

这些条款包括信用证的有效期、付款方式、装运地点和文件要求等内容。

出口商需要确保信用证的条款与外销合同中的条款相符,以避免后续纠纷。

2. 检查信用证的合规性审核信用证的第一步是检查信用证的合规性。

出口商应该仔细审查信用证的文本,确保它符合国际贸易的规则和标准,如UCP600等。

出口商还需要检查信用证中的金额、货物描述等信息是否与外销合同一致。

3. 确认货物装运细节审核信用证的下一步是确认货物的装运细节。

出口商需要核实信用证中所要求的货物数量、质量要求以及装运日期等信息是否与外销合同一致。

如果有任何差异,出口商需要与买方进行协商,以确保双方达成一致。

4. 检查付款条件审核信用证的另一个重要方面是检查付款条件。

出口商应该确认信用证中规定的付款方式、付款期限以及付款金额等是否符合外销合同的约定。

如果有任何问题或疑虑,出口商可以与买方进行沟通并协商修改信用证的付款条件。

5. 确认文件要求外销合同通常规定了出口商需要向买方提供的文件,如发票、装箱单和提单等。

出口商在审核信用证时,需要核对信用证中所要求的文件清单,确保自己能够按时提供符合要求的文件。

如果有任何不清楚的地方,出口商可以与买方进行确认。

审核信用证题目及答案

审核信用证题目及答案

审核信⽤证题⽬及答案1.根据提供的外销合同对信⽤证进⾏审核并提出修改信⽤证的意见。

TO: BANK OF CHINA TANGSHAN BRANCH,CHINAIRREVOCABLE DOCUMENTARY CREDITFOR THE ACCOUNT OF HONGYAN TRADING CO, LTD., HONGKONG. 311 SOUTH BRIDGE STREET, HONGKONG. DEAR SIRS:WE OPEN AN IRREVOCABLE DOCUMENTARY CREDIT IN FAVOUR OF TANGSHAN FOREIGN TRADE EXP. CO. 188 WEIGUO ROAD TANGSHAN, A SUM OF AVAILABLE BY THE BENEFICIARY’S DRAFT(S) AT SIGHT DRAWN ON APPLICANT BEARING THE CLAUSE:“DRAWN UNDER NANYANG COMMERCIAL BANK LTD., HONGKONG. DOCUMENTARY CREDIT DTAED IST MARCH,2013.”ACCOMPANIED BY THE FOLLOWING DOCUMETNS:(1) 3/3 ORIGNAL + 3NN COPIES CLEAN ON BOARD BILL OF LADINGMADE OUT TO ORDER OF APPLICANT AND MARKEDFREIGHT PREPAID .(2) INSURANCE POLICY/ CERTIFICATE IN DUPLICATE IN FAVOUR OF NANYANG COMMERCIAL BANK LTD., HONGKONG FOR 100% OF THE INVOICE VALUE BLANK OCEAN MARINE CARGO CLAUSES AND WAR RISKS DATED 1st JANUARY, WAREHOUSE TO WAREHOUSE CLAUSE UP TO FINAL DESTINATON AT DUBA(3) CERTIFICATE FO ORIGIN ISSUED BY TANGSHAN IMPORT AND EXPORT COMMODITY INSPECTION BUREAU OF THE PEOPLE’S REPUBLIC OF CHINA IN TRIPLICATE. EVIDENCING SHI PMENT OF THE FOLLOWING MERCHANDISE: AIR CONDITIONER(HUALING BRAND),10000PCS KW-23GW AND 10000 PCS KW-25GW, PACKING:IN CARTON BOX,50 KILOS NET EACH,CIF DUBAI VIA HONGKONG,PARTIAL SHIPMENT AND TRANSSHIPMENT PROHIBITED. LATEST DATE FOR SHIPMENT: 30TH APRIL,2014. EXPIRY DATE:15THMAY,2014.IN PLACE OF OPENER FOR NEGOTIATION. WITH 5 % MORE OR LESS BOTH IN AMOUNT AN QUANTILY ALLOWED AT THE SELLER’S OPTION.OTHER TERMS AND CONDITIONS:SHIPPER MUST SEND ONE COPIES OF SHIPPING DOCUMENTS DIRECT TO BUYER AND CERTIFICATE TO THIS EFFECT IS REQUIRED.审核结果:(1)HONGYAN 错误,应为HONGYANG。

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)

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。

根据外销合同审核信用证 - 副本

根据外销合同审核信用证 - 副本

SALES CONTRACT卖方SELLER:DESUN TRADING CO.,LTD。

29TH FLOOR KINGSTAR MANSION,623JINLIN RD。

,SHANGHAI CHINA编号NO.:SHDS09027日期DATE: APR。

03, 2009地点SIGNED IN:SHANGHAI买方BUYER:NEO GENERAL TRADING CO.#362 JALAN STREET,TORONTO,CANADA买卖双方同意以下条款达成交易:This contract Is made by and agreed between the BUYER and SELLER , in accordance with the terms and conditions stipulated below。

允许With 10%溢短装,由卖方决定More or less of shipment allowed at the sellers' option5。

总值Total ValueSAY US DOLLARS FORTY SIX THOUSAND NINE HUNDRED AND EIGHTY ONLY。

6。

包装Packing DS2201 IN CARTONS OF 2 SETS EACH AND DS1151,DS4505 AND DS5120 TO BE PACKED IN CARTONS OF 1 SET EACH ONLY.TOTAL: 1639 CARTONS.7。

唛头Shipping MarksAT BUYER’S OPTION。

8. 装运期及运输方式Time of Shipment &means of Transportation TO BE EFFECTED BEFORE THE END OF APRIL 2009 WITH PARTIAL SHIPMENT ALLOWED AND TRANSHIPMENT ALLOWED。

  1. 1、下载文档前请自行甄别文档内容的完整性,平台不提供额外的编辑、内容补充、找答案等附加服务。
  2. 2、"仅部分预览"的文档,不可在线预览部分如存在完整性等问题,可反馈申请退款(可完整预览的文档不适用该条件!)。
  3. 3、如文档侵犯您的权益,请联系客服反馈,我们会尽快为您处理(人工客服工作时间:9:00-18:30)。

根据下面的销售合同审核信用证。

合同条款:
卖方:中国机械进出口公司
买方:史密斯公司
商品名称:挖掘机
数量;15台
单价:CFR欧洲主要港口每台60 000.00瑞士法郎
总值:900 000.00瑞士法郎
装运期:2002年8月自中国港口至欧洲主要口岸,允许分批装运和转船
付款条件:凭不可撤销即期信用证付款
签订日期和地点:2002年6月15日于北京
合同号码:B1125
信用证内容:
Irrevocable Documentary Credit No. 2234 dated June 25, 2002
Advising Bank: Bank of China, Beijing
Applicant: China National Machinery Imp. /Exp. Corp
Beneficiary: Smith & Co.
Amount: French Francs 900, 000.00 (Say French Francs Nine Hundred Thousand Only) Expiry Date: September 15, 2002 for negotiation in China
We hereby issue in your favor this documentary credit which is available by presentation of your draft drawn at sight on us bearing the clause: Drawn under documentary credit No. 2234 of ABC Bank accompanied by the following documents:
(1) Signed Commercial Invoice in triplicate, indicating S/C No. B1125 dated 15 June, 2002.
(2) Full set of clean on board Bills of Lading issued to order and blank endorsed showing “Freight Paid” covering:
15 Tunnel Drillers, Model TB201, at 60 000 French Francs each CFR European Main Ports. (3) One original Insurance Policy/Certificate covering All Risks and War Risk for 110% of invoice value.
Shipment is to be effected during August 2002 from China Port to European Main Ports.
Partial shipments prohibited. Transshipment allowed.
We hereby engage with drawers and/or bona fide holders that drafts drawn and negotiated in conformity with the terms of this credit will be duly honored on presentation and that drafts accepted within the terms of this credit will be duly honored at maturity.。

相关文档
最新文档