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信用证审核练习

信用证审核练习
信用证审核练习

1、请根据所给合同审核信用证

SHANGHAI LIGHT INDUSTRIAL PRODUCTS IMPORT

ANG EXPORT CORPORATION

128 Huqiu road Shanghai China

SALES CONFIRMATION

Tele:86-21-23140568 NO:PLW253

Fax:86-21-25467832 DATE:Sept.15,2

TO:CONSOLIDATORS LIMITED

RM.13001-13007E,13/F,

ASUA TERMINALS CENTER B. 003

BERTH 3,KWAI CHUNG,N.T.,HONGKONG

P.O.Box 531 HONGKONG

We hereby confirm having sold to you the following goods on terms and conditions as stated below

NAME OF COMMODITY: Butterfly Brand Sewing Machine

SPECIFICATION: JA-115 3 Drawers Folding Cover

PACKING: Packed in wooden cases of one set each. QUANTITY: Total 5500sets

UNIT PRICE: US$ 64.00 per set CIFC3% H.K.

TOTAL AMOUNT: US$ 352000.00

(Say U.S. dollars three hundred and fifty two thousand only.) SHIPMENT: During Oct./Nov. 2003 from Shanghai to H.K. with partial Shipments 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 the People’s Insurance Company of China dated

January 1st,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 before the month of Shipment valid for negotiation in China until the 15th day after the date of shipment. REMARDS: Please sign and return one copy for our file.

The Buyer: The Seller: CONSOLIDATORS LIMITED CORPORATION SHANGHAI LIGHT INDUSTRIAL

PRODUCTS IMPORT & EXPORT

信用证

HONGKONG & SHANGHAI BANKING CORPORATION

QUEEN’S ROAD CENTERAL,P.O.BOX 64,H.K.

TEL:822-1111 FAX:810-1112

Advised through: Bank of China, NO. CN3099/714 Shanghai Branch, DATE Oct.2,2003 H.K. To:Shanghai Light Industrial Products Import & Export Corp.

128 HUQIU ROAD SHANGHAI, CHINA

Dear Sirs:

We are pleased to advise that for account of Consolidators Limited,H.K.,we hereby open our L/C No. CN3099/714 in your favor for a sum not exceeding about US$ 330000.00(Say US Dollars 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 B/L issued to our order notify the above mentioned buyer and marked “Freight Collect” dated not later than October 31,2003.From Shanghai to Hong Kong, Partial shipment are not permitted and trans- shipment is not permitted.

4.Insurance policy in 2 copies covering C.I.F 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 1st,1981.

5.Certificate of Origin issued by China Council for the Promotion of International Trade.

DESCRIPTION GOODS:

5500 sets Sewing Machine Art. No. JA-115 packed in wooden cases or cartons each at US$ 64.00 CIF H.K

Drafts drawn under this credit must be marked “drawn under HSBC,H.K.,”bearing the number and date of this credit.

We under take to honor 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. 31,2003.

SPECIAL INSTRUCTIONS:

(1)Shipment advice to be sent by telefax 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 negation.

(2)The negotiating bank is kindly requested to forward 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 faithfully

For HONGKONG & SHANGHAI BANKING CORPORATION

标准答案:1、信用证的金额与合同不符。

2、付款期限与合同不符,应为;at 30 days after sight

3、合同上是允许分批和转运的,,而L/C不允许,应改证

4、提单的运费支付不正确,应该是“Freight Prepaid”

5、提单的签发日期不正确,应该是During Oct./Nov. 2003

6、投保金额大于合同要求,应为110%的发票额

7、单价条款错误,应该是US$ 64.00 per set CIFC3% H.K.

8、到期议付地点有误。应该内陆地点

9、议付有效期有误,应该是:until the 15th day after the date of shipment.

10、包装有误,应该是packed in wooden cases

2、请根据所给合同审核信用证

销售合同条款

The seller:China National Cereals, Oils & Foodstuffs Corporation

The buyer:Hong Kong Food Company, Vancouver

Name of Commodity: Great Wall Brand Strawberry Jam

Specification:340 gram each tin

Quantity:50000 tins

Unite Price:CAN$ 2.50 PER TIN CFRC3% VANCOUVER

Total Amount:CAN$ 125,000

Shipment:shipment from china port to Vancouver during Nov.2003,partial shipments are allowed and transshipment is allowed.

Payment:Irrevocable L/C at sight, Documents must be presented within 15 days after date of issuance of the bills of lading but within the validity of the credit.

COMMECIAL BANK OF VANCOUVER

TO: China National Cereals DATE: Oct.5, 2003 Oils & Foodstuffs Corporation

Beijing, China

Advised Through Bank of China, Beijing

NO.BOC 03/10/03 IRREVOCABLE DOCUMENTARY LETTER OF CREDIT

Dear Sirs:

We open this by order of Hong Kong Food Company, Vancouver for a sum not exceeding CAN$120,000(SAY CANADIAN DOLLARS ONE HUNDRED AND TWENTY THOUSAND ONLY) available by drafts drawn on us at sight accompanied by the following documents:

—Full set of clean on board bill of lading made out to order and blank endorsed, marked “Freight Collect” dated not later t han November 30, 2003 and notify applicant.

—Signed commercial invoice in quintuplicate.

—Canadian customs invoice in quintuplicate.

—Insurance policies (or certificates) in duplicate covering marine All Risks and war risks subject to P.I.C.C.date Jan.1st,1981.

Evidencing shipment from China port to Montreal, Canada of the following goods: 5000 tins of 430 grams of Great Wall Strawberry Jam, at CAN$2.50 per tin CFRC3% Vancouver, details as per your S/C No.94/8712

Partial shipments are not allowed.

Transshipment is allowed.

This Credit expires on November 30, 2003 for negotiation in China.

标准答案:1、信用证的金额与合同不符。

3、合同上是允许分批的,而L/C不允许,应改证

4、提单的运费支付不正确,应该是“Freight Prepaid”

5、因为是CFR术语,所以不需要提供保险单。

6、目的港不正确,应该是Vancouver

7、规格描述不正确,应该是340 gram each tin

8、信用证的有效期有误,应该是December 15, 2003

无聊你妹啊

审核信用证题目及答案[优质文档]

TO: BANK OF CHINA TANGSHAN BRANCH,CHINA IRREVOCABLE DOCUMENTARY CREDIT NO.13-385 FOR 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 IMP.AND EXP. CO. 188 WEIGUO ROAD TANGSHAN, CHINA.FOR A SUM OF USD1000000.00 AVAILABLE BY THE BENEFICIARY’S DRAFT(S) AT SIGHT DRAWN ON APPLICANT BEARING THE CLAUSE: “DRAWN UNDER NANYANG COMMERCIAL BANK LTD., HONGKONG. DOCUMENTARY CREDIT NO.13-385 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 ENDORSED.COVERING P.I.C.C OCEAN MARINE CARGO CLAUSES(W.A) AND WAR RISKS DATED 1st JANUARY,1981.INCLUDING 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 SHIPMENT OF THE FOLLOWING MERCHANDISE: AIR CONDITIONER(HUALING BRAND),10000PCS KW-23GW AND 10000 PCS KW-25GW, PACKING:IN CARTON BOX,50 KILOS NET EACH CARTON,3PC/CARTON,@HKD50.00,CIF DUBAI VIA HONGKONG,PARTIAL SHIPMENT AND TRANSSHIPMENT PROHIBITED. LATEST DATE FOR SHIPMENT: 30TH APRIL,2014. EXPIRY DATE:15TH MAY,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。 (2)WEIGUO ROAD改为JIANSHE ROAD。 (3)总金额币别错误,应为HKD而不是USD。 (4)议付地在国外不妥,应改为国内。 (5)转运规定与合同不符,应为ALLOWED,而不是NOT ALLOWED。 (6)CIFDUBAI改为CFRDUBAI 。 (7)3PC/CARTON应改为2PC PER CARTON。 (8)溢短装幅度5%错误,应为10%。 (9)DRAWN ON APPLICANT不对,应改为DRAWN ON US (10))3天的交单时间太短,建议改为15天 (11)CFR术语中应由买方办理保险,因此应删除要求卖方提供保险单的要求

如何审核信用证

如何审核信用证 一、审核信用证的实际作用和意义 1. 信用证的定义: 信用证, 指一项不可撤销的安排,无论其名称或描述如何,该项安排构成开证行对相符交单予以承付的确定承诺。 (Credit means any arrangement, however named or described, that is irrevocable and thereby constitute a definite undertaking of the issuing bank to honour a complying presentation.) 2. 意义和作用: 根据信用证的定义,只要受益人提交了与信用证条款相符的单据,开证行就必须承担付款的义务。因此,在履行合同的实务中,认真细致的审核信用证就成为是否能够安全及时收汇的关键环节。 二、审核信用证的依据 出口商,即信用证的受益人在审核信用证时的主要依据是: 1.买卖双方订立的《销售合同》或《成交确认书》; 2.国际商会的《跟单信用证统一惯例》(国际商会第600号 出版物,2007年修订本) 3.出口国国内的有关贸易政策和规定。 三、审核信用证的基本原则

1. 信用证条款的规定比合同条款更加严格,会影响安全收汇和顺利履行合同,或者卖方即受益人无法做到,或者条款之间互相矛盾,则应该作为信用证中存在的问题向信用证申请人提出修改要求。 2. 当信用证条款的规定比合同条款宽松时,则往往可以不要求申请人修改信用证。 四、审核信用证的基本要点 (一) 信用证本身方面说明的审核: 1. 信用证的类别: (1) 信用证是否为不可撤销的信用证: 《UCP600》规定,信用证只能为不可撤销的(IRREVOCABLE),如果为可撤销(REVOCABLE),则必须修改;有时虽然在信用证的类别栏目里面没有出现可“REVOCABLE”的字样,但是在信用证的附加条款里面出现“This is a revocable documentary credit, it is subject to cancellation or amendment at any time without prior notice.” ( 这是一张可撤销的信用证,它可不必预先通知,随时撤销或修改。)时,应该删去此条款,否则这张信用证就是可撤销的。 (2) 信用证是否为可转让的: 《UCP600》规定,只有特别注明“TRANSFERABLE”的信用证,才是可转让信用证,当受益人在合同要求信用证为可转让信用证,而信用证没有说明时,则必须修改。

审核信用证练习3

SALE CONTRACT SELLER:TIFERT TRADING CO.,LTD NO:SHDS03027 NO.86,ZHUJIANG ROAD,TIANJIN,CHINA DA TE:APR.03,2008 BUYER:NEO GENERAL TRADING CO. #362 JALAN STREET,TORONTO,CANADA SIGNED IN:TIANJIN THIS CONTRACT IS MADE BY AND AGREED BETWEEN THE BUYER AND THE SELLER,IN ACCORDANCE WITH THE TERMS AND CONDITIONS STIPULATED BELOW COMMODITY&SPECIFICATION QUANTITY UNIT PRICE&TRADE TERMS AMOUNT CIF C5 TORONTO CHINESE CERAMIC DINNERW ARE DS1511 30-PIECE DINNERWARE AND TEA SET DS2201 20-DINNERWARE SET DS4504 45-DINNERWARE SET DS5120 95-DINNERWARE SET 542SETS 800SETS 443SETS 254SETS USD 23.50 USD 20.40 USD 23.20 USD 30.10 USD127 37.00 USD16320.00 USD10277.60 USD7645.40 TOTAL 2039SETS USD46980.00 WITH 10% MORE OR LESS OF SHIPMENT ALLOWED AT THE SELLER'S OPTION TOTAL V ALUE:SAY US DOLLARS FORTY SIX THOUSAND NINE HUNDRED AND EIGHTY ONL Y PACKING:DS2201 IN CARTONS OF 2 SETS EACH AND DS1511,DS4504,DS5120 TO BE PACKED IN CARTONS OF 1 SET EACH ONL Y TOTAL:1639 CARTONS AT BUYER'S OPTION SHIPPING MARKS: TIME OF SHIPMENT&MEANS OF TRANSPORTA TION:TO BE EFFECTED BEFORE THE END OF APRIL 2008 WITH PARTIAL SHIPMENT ALLOWED AND TRANSHIPMENT ALLOWED PORT OF LOADING&DESTINATION:FROM TIANJIN TO TORONTO INSURANCE:THE SELLER SHALL COVER INSURANCE AGAINST WPA AND CLASH&BREKAGE&WAR RISK FOR 110% OF THE TOTAL INVOICE V ALUE AS PER THE RELEV ANT OCEAN MARINE CARGO OF PICC DA TED 1/1/1981 TERMS OF PAYMENT:THE BUYER SHALL OPEN AN IRREVOCABLE LETTER OF CREDIT THROUGH A BANK ACCEPTABLE TO THE SELLER TO REACH THE SELLER BEFORE APRIL 10,2008 V ALID FOR NEGOTIATION IN CHINA UNTIL THE 15TH DAY AFTER THE DATE OF SHIPMENT THE BUYER THE SELLER NEO GENERAL TRADING CO. TIFERT TRADING CO.,LTD

信用证审核和制单注意点

信用证审核和制单注意点 如果是直接出口,国外的信用证开到自己公司的名下,那么您的开户银行收到信用证后会直接通知您,并把正本或复印件(一般是复印件,如无必要,正本建议留在银行保存)交给您。如果是通过代理出口,信用证开到代理名下,那么就要及时敦促代理去查询,收到后让代理传真给您。在实务中,因为代理不熟悉你的客户,所以交接上容易出现问题。代理接到信用证却不知道是谁的,导致耽误,所以,一旦得知你的客户开证了,就要把名称、金额告诉出口代理,盯紧进度。一般说来,从客户开证,到咱们这边收到信用证,快则1周,慢则10天。跟随信用证一起交给你的,通常还有一页《信用证通知书》,这是你的银行出具的,主要列明了此份信用证的基本情况如信用证编号、开证行、金额、有效期等等,同时盖章。除了银行公章外,还会有个“印鉴相符”章或“印鉴不符,出货前请洽我行”一类的章。什么意思呢?因为目前信用证一般是通过电报传递的(通行的是SWIFT电传,一个银行专业的电讯服务机构,有特定的编码格式),理论上有伪造的风险,冒充银行名义开信用证。因此银行间会预留密码和印鉴,以兹核对。不过现实生活中这种现象很少见,因为信用证能通过SWIFT开立,基本就是真实的,印鉴不符的原因恐怕多为交接操作问题。所以,碰到“印鉴不符”的情况,也不必紧张,必要时咨询一下银行即可。 一,巧妙看懂信用证 接下来就是信用证本身的审核了。条款密密麻麻,但有个简便窍门。如前所述,信用证是通过SWIFT开立的,而SWIFT对信用证有专门格式,这个格式按照信用证条款的内容性质分门别类,给予固定的编号。也就是说,每个条款在顶头位置都有一个编号,根据此编号就可以知道这个条款是说什么的了。固定格式为:编号,条款属性:条款内容。例如:31DDATEANDPLACEOFEXPIRY:25/11/2005CHINA。“31D”就是编号,属性是“信用证有效期和有效地点”,知道这一点,我们就很容易理解“25/11/2005CHINA”相应的意思就是这份信用证的有效期是2005年11月25日,以中国为有效期地点,即在中国范围内,这份信用证在11月25日

030203审核信用证

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国际商务单证员考试重点考题及答案

国际商务单证员考试重点考题及答案 考生在备考时,必须熟悉考试的试题特点,明确备考方向和重点。下面是为考生的国际商务单证员考试重点考题及答案,供大家参考学习,预祝考生备考成功。 判断题(答案为“是”的,请在答题卡上涂A,答案为“否”的,请在答题卡上涂B) 1.一份报关单可以填报多个许可证号。 ( ) 2.所有出口货物都需要经过法定检验后,才能报关出运。( ) 3.在FOB条件下,卖方可以接受买方委托,代办租船订舱手续。( ) 4.不清洁提单的不良批注是从大副收据上转注过来的( )。 5.对开信用证多用于易货贸易、补偿贸易和来料加工、来件装 配等业务。 ( ) 6.班轮运输的特点之一是由船方负责装卸。( ) 7.进口企业申请开立信用证时,须填写开证申请书,并向银行 递交进口合同副本、有关附件,向银行交纳一定的押金和手续费。 ( ) 8.在审核信用证时,对信用证中的附加条款一般可以不审核。( ) 9.《》规定,标明“正本”(original)字样的单据为正本单据,须经出单人签署方为有效。标明“副本”(Copy)或不标明“正本”字样的单据为副本单据,无须签署。 ( )

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信用证的审核 许多不符点单据的产生以及提交后被银行退回,大多是对收到的信用证事先检查不够造成的,往往使一些本来可以纠正的错误由于审核不及时没能加以及时地修改。因此,一般应在收到信用证的当天对照有关的合同认真地按下列各条仔细检查,这样可以及早发现错误采取相应的补救措施。 收到信用证后检查和审核的要点: (一).检查信用证的付款保证是否有效。 应注意有下列情况之一的,不是一项有效的付款保证或该项付款保证是存在缺陷问题的: 1.信用证明确表明是可以撤消的; 此信用证由于毋须通知受益人或未经受益人同意可以随时撤消或变更,应该说对受益人是没有付款保证的,对于此类信用证,一般不予接受;

信用证中如没有表明该信用证是否可以撤消,按UCP500的规定,应理解是不可以撤消的; 2.应该保兑的信用证未按要求由有关银行进行保兑; 3.信用证未生效; 4.有条件的生效的信用证;如:“待获得进口许可证后才能生效”。 5.信用证密押不符; 6.信用证简电或预先通知; 7.由开证人直接寄送的信用证; 8.由开证人提供的开立信用证申请书; (二).检查信用证的付款时间是否与有关合同规定相一致。 应特别注意下列情况:

1.信用证中规定有关款项须在向银行交单后若干天内或见票后若干天内付款等情况。对此,应检查此类付款时间是否符合合同规定或贵司的要求。 2.信用证在国外到期。 规定信用证国外到期, 有关单据必须寄送国外,由于我们无法掌握单据到达国外银行所需的时间且容易延误或丢失,有一定的风险.通常我们要求在国内交单\付款.在来不及修改的情况下,必须应提前一个邮程(邮程的长短应根据地区远近而定)以最快方式寄送。 3.如信用证中的装期和效期是同一天即通常所称的“双到期”,在实际业务操作中,应将装期提前一定的时间(一般在效期前10天),以便有合理的时间来制单结汇。 (三).检查信用证受益人和开证人的名称和地址是否完整和准确。 受益人应特别注意信用证上的受益人名称和地址应与其印就好的文件上的名称和地址内容相一致.买方的公司名称和地址写法是不是也完全正确?在填写发货票时照抄信用证上写错了的买方公司名号和地址是有可能的,如果受益人的名称不正确,将会给今后的收汇

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