文档库 最新最全的文档下载
当前位置:文档库 › 信用证中英文对照

信用证中英文对照

信用证中英文对照
信用证中英文对照

信用证样本(中英文对照)

信用证样本:

以下信用证内容源自华利陶瓷厂与一塞浦路斯客户所开立并顺利支付的信用证TO:BANK OF CYPRUS LTD

LETTERS OF CREDIT DEPARTMENT

NTCOSIA COMMERCIAL OPERATIONS CENTER

INTERNATIONAL DIVISION

******

******

TEL:******

FAX:******

TELEX:2451 & 4933 KYPRIA CY

SWIFT:BCYPCY2N

DATE:23 MARCH 2005

APPLICA TION FOR THE ISSUANCE OF A LETTER OF CREDIT

SWIFT MT700 SENT TO:MT700转送至

STANDARD CHARTERD BANK

UNIT 1-8 52/F SHUN NIND SQUARE

O1 WANG COMMERCIAL CENTRE,SHEN NAN

ROAD EAST,SHENZHEN 518008 - CHINA

渣打银行深圳分行

深南东路5002号

信兴广场地王商业大厦52楼1-8单元

电话:82461688

:27: SEQUENCE OF TOTAL序列号

1/1 指只有一张电文

:40A: FORM OF DOCUMENTARY CREDIT跟单信用证形式IRREVOCABLE 不可撤消的信用证

:20OCUMENTARY CREDIT NUMBER信用证号码

00143-01-0053557

:31C: DA TE OF ISSUE开证日

如果这项没有填,则开证日期为电文的发送日期。

:31DA TE AND PLACE OF EXPIRY信用证有效期

050622 IN CHINA 050622在中国到期

:50: APPLICANT 信用证开证审请人

******* NICOSIA 较对应同发票上是一致的

:59: BENEFICIARY 受益人

CHAOZHOU HUALI CERAMICS FACTORY

FENGYI INDUSTRIAL DISTRICT, GUXIANG TOWN, CHAOZHOU CITY,GUANGDONG PROVINCE,CHINA.潮州华利陶瓷洁具厂

:32B: CURRENCY CODE,AMOUNT 信用证项下的金额

USD***7841,89

:41D:A V AILABLE WITH....BY.... 议付适用银行

STANDARD CHARTERED BANK

CHINA AND/OR AS BELOW 渣打银行或以下的

BY NEGOTIATION 任何议付行

:42CRAFTS A T 开汇票

SIGHT 即期

:42A:DRAWEE 付款人

BCYPCY2NO10

BANK OF CYPRUS LTD 塞浦路斯的银行名

:43 PARTIAL SHIPMENTS 是否允许分批装运

NOT ALLOWED 不可以

:43T:TRANSHIPMENT转运

ALLOWED允许

:44AOADING ON BOARD/DISPA TCH/TAKING IN CHARGE AT/FROM...装船港口

SHENZHEN PORT深圳

:44B:FOR TRANSPORTATION TO 目的港

LIMASSOL PORT发票中无提及

:44C: LATEST DATE OF SHIPMENT最后装船期

050601

:045A:DESCRIPTION OF GOODS AND/OR SERVICES 货物/服务描述

SANITARY WARE 陶瓷洁具

F O B SHENZHEN PORT,INCOTERMS 2000 fob深圳港,INCOMTERMS 2000

:046A:DOCUMENTS REQUIRED 须提供的单据文件

*FULL SET (A T LEAST THREE) ORIGINAL CLEAN SHIPPED ON BOARD BILLS

OF LADING ISSUED TO THE ORDER OF BANK OF CYPRUS PUBLIC COMPANY

LTD,CYPRUS,NOTIFY PARTIES APPLICANT AND OURSELVES,SHOWING

全套清洁已装船提单原件(至少三份),作成以“塞浦路斯股份有限公司”为抬头,

通知开证人和我们自己,注明

*FREIGHT PAYABLE A T DESTINATION AND BEARING THE NUMBER OF THIS

CREDIT.

运费在目的港付注明该信用证号码

*PACKING LIST IN 3 COPIES.

装箱单一式三份

*CERTIFICATE ISSUED BY THE SHIPPING COMPANY/CARRIER OR THEIR

AGENT STATING THE B/L NO(S) AND THE VESSEL(S) NAME CERTIFYING

THA T THE CARRYING VESSEL(S) IS/ARE: A) HOLDING A V ALID SAFETY

MANAGEMENT SYSTEM CERTIFICATE AS PER TERMS OF INTERNATIONAL

SAFETY MANAGEMENT CODE AND

B) CLASSIFIED AS PER INSTITUTE CLASSIFICATION CLAUSE 01/01/2001

BY AN APPROPRIA TE CLASSIFICA TION SOCIETY

由船公司或代理出有注明B/L号和船名的证明书证明他们的船是:

A)持有根据国际安全管理条款编码的有效安全管理系统证书; 和

B)由相关分级协会根据2001年1月1日颁布的ICC条款分类的.

*COMMERCIAL INVOICE FOR USD11,202,70 IN 4 COPIES DULY SIGNED BY

THE BENEFICIARY/IES, STA TING THA T THE GOODS SHIPPED:

A)ARE OF CHINESE ORIGIN.

B)ARE IN ACCORDANCE WITH BENEFICIARIES PROFORMA INVOICE NO.

HL050307 DA TED 07/03/05.

由受益人签署的商业发票总额USD11,202,70一式四份,声明货物运输:

A)原产地为中国

B)同号码为HL050307 开立日为07/03/05的商业发票内容一致

:047A: ADDITIONAL CONDITIONS附加条件

* THE NUMBER AND DATE OF THE CREDIT AND THE NAME OF OUR BANK MUST

BE QUOTED ON ALL DRAFTS (IF REQUIRED).

信用证号码及日期和我们的银行名必须体现在所有单据上(如果有要求)

*TRANSPORT DOCUMENTS TO BE CLAUSED: ’VESSEL IS NOT SCHEDULED TO

CALL ON ITS CURPENT VOY AGE A T FAMAGUSTA,KYRENTA OR KARA VOSTASSI, CYPRUS.

运输单据注明" 船在其航行途中不得到塞***的Famagusta, Kyrenta or Karavostassi这些地方

*INSURANCE WILL BE COVERED BY THE APPLICANTS.保险由申请人支付

*ALL DOCUMENTS TO BE ISSUED IN ENGLISH LANGUAGE.所有单据由英文缮制

*NEGOTIATION/PAYMENT:UNDER RESERVE/GUARANTEE STRICTLY 保结押汇或是银行保函PROHIBITED. 禁止

*DISCREPANCY FEES USD80, FOR EACH SET OF DISCREPANT DOCUMENTS PRESENTED UNDER THIS CREDIT,WHETHER ACCEPTED OR NOT,PLUS OUR

CHARGES FOR EACH MESSAGE CONCERNING REJECTION AND/OR ACCEPTANCE

MUST BE BORNE BY BENEFICIARIES THEMSELVES AND DEDUCTED FROM THE AMOUNT PAYABLE TO THEM.

修改每个单据不符点费用将扣除80美元(最多40)

*IN THE EVENT OF DISCREPANT DOCUMENTS ARE PRESENTED TO US AND REJECTED,WE MAY RELEASE THE DOCUMENTS AND EFFECT SETTLEMENT UPON APPLICANT’S WAIVER OF SUCH DISCREPANCIES,NOTWITHSTANDING ANY COMMUNICATION WITH THE PRESENTER THA T WE ARE HOLDING DOCUMENTS AT

ITS DISPOSAL,UNLESS ANY PRIOR INSTRUCTIONS TO THE CONTRARY ARE RECEIVED.

如果不符点是由我方提出并被拒绝,我们将视为受益人放弃修改这个不符点的权利。

是说你如果提交了有不符点的单据并且被银行拒付的话,如果客人接受这些不符点,

银行在没有收到你们的指示之前有权把单据REALSE给客人

*TRANSPORT DOCUMENTS BEARING A DATE PRIOR TO THE L/C DATE ARE NOT ACCEPTABLE.早于开证前的运输文件不接受

*DIFFERENCE OF USD3363.81(T.E.30 PERCENT OF INVOICE V ALUE)

BETWEEN L/C AMOUNT AND INVOICES AMOUNT REPRESENTS AMOUNT PAID BY

APPLICANTS DIRECT TO BENEFICIARIES OUTSIDE THE L/C TERMS WITHOUT

ANY RESPONSIBILITY ON OURSELVES AND TO BE SHOWN ON INVOICES AS

SUCH. L/C跟发票上USD3363.81的差额(30%发票额)由申请人直接用L/C以外

的方式直接给予受益人

:71B: CHARGES

BANK CHARGES OUTSIDE CYPRUS

INCLUDING THOSE OF THE REIMBURSING

BANK ARE FOR BEN. A/C. 在塞浦路斯以外银行产生的费用包括支付行的费用由信用证收益人负担,

:48: PERIOD FOR PRESENTA TION 单据提交期限

DOCUMENTS MUST BE PRESENTED WITHIN

21 DAYS AFTER B/LADING DATE,BUT

WITHIN THE V ALIDITY OF THE CREDIT.在信用证有效期内,最迟装运期后21天内,向银行提交单据

:49:CONFIRMA TION INSTRUCTIONS保兑指示

WITHOUT 不保兑

:53A: REIMBURSING BANK偿付行

BCYPGB2L

BANK OF CYPRUS UK

INTERNATIONAL DEPARTMENT,

87/93 CHASE SIDE,SOUTHGATE N14 5BU

LONDON - UNITED KINGDOM.

:78: INSTRUCTIONS TO THE PAY/ACCEP/NEG BANK 议付行

NEGO OF DOCS THRU BANK OF CHINA LIMITED CHINA IS ALLOWED.PLEASE

可通过中国银行议付,请

DEDUCT RROM YOUR PAYMENT TO BENEFICIARIES THE AMOUNT OF USD15,00 (是15还是1500,请指明)

于受益人的帐户中扣去USD15,00

REPRESENTING RECORDING FEES. NEGOTIATION BANK TO OBTAIN

作为记录费。

REIMBURSEMENT FROM OUR ACCOUNT WITH REIMBURSING BANK 3 BUSINESS

DAYS FOLLOWING THEIR AUTHENTICA TED TELEX/SWIFT ADVICE TO US,

STATING A) OUR CREDIT NUMBER, B)AMOUNT CLAIMED, C) V ALUE OF

DOCUMENTS D)SHIPMENT/DISPA TCH DATE AND E)THAT DOCS ARE IN STRICT

COMPLIANCE WITH CREDIT TERMS. ON EXECUTION FORWARD TO US,BANK OF

CYPRUS PUBLIC COMAPNY LTD,NICOSIA COMMERCIAL OPER. CENTER

INTERN. DIV., 10 KYRIACOS MA TSI A V. 1082 AY. OMOLOYITES,NIGOSIA,

CYPRUS,ALL DOCS IN ONE LOT BY COURIER SERVICE A T BENEFICIARIES

EXPENSE.所有单据应由偿付行于三个工作日内通过快件形式发给我们,费用由受益人承担。

:72: SENDER TO RECEIVER INFORMA TION 附言

CREDIT IS SUBJECT TO U.C.P. 1993 本信用证根据跟单信用证统一惯例UCP500(1993 年版)开出

I.C.C PUBL. NO.500. SUBJECT TO URR

ICC 525.COLLECT YOUR CHARGES FROM

BENE.PLEASE ACKN.RECEIPT.

CUMSTOMER’S APPROV AL.

1.跟单信用证开证(MT700)

必选 20 DOCUMENTARY CREDIT NUMBER(信用证号码)

可选 23 REFERENCE TO PRE-ADVICE(预先通知号码)

如果信用证是采取预先通知的方式,该项目内应该填入"PREADV/",再加上预先通知的编号或日期。

必选 27 SEQUENCE OF TOTAL(电文页次)

可选 31C DATE OF ISSUE(开证日期)

如果这项没有填,则开证日期为电文的发送日期。

必选 31D DATE AND PLACE OF EXPIRY(信用证有效期和有效地点)

该日期为最后交单的日期。

必选 32B CURRENCY CODE, AMOUNT(信用证结算的货币和金额)

可选 39A PERCENTAGE CREDIT AMOUNT TOLERANCE(信用证金额上下浮动允许的最大范围)

该项目的表示方法较为特殊,数值表示百分比的数值,如:5/5,表示上下浮动最大为5%。39B与39A不能同时出现。

可选 39B MAXIMUM CREDIT AMOUNT(信用证最大限制金额)

39B与39A不能同时出现。

可选 39C ADDITIONAL AMOUNTS COVERED(额外金额)

表示信用证所涉及的保险费、利息、运费等金额。

必选 40A FORM OF DOCUMENTARY CREDIT(跟单信用证形式)

跟单信用证有六种形式:

(1) IRREVOCABLE(不可撤销跟单信用证)

(2) REVOCABLE(可撤销跟单信用证)

(3) IRREVOCABLE TRANSFERABLE(不可撤销可转让跟单信用证)

(4) REVOCABLE TRANSFERABLE(可撤销可转让跟单信用证)

(5) IRREVOCABLE STANDBY(不可撤销备用信用证)

(6) REVOCABLE STANDBY(可撤销备用信用证)

必选 41a AVAILABLE WITH...BY...(指定的有关银行及信用证兑付的方式)(1)指定银行作为付款、承兑、议付。

(2)兑付的方式有5种:BY PAYMENT(即期付款);BY ACCEPTANCE (远期承兑);BY NEGOTIATION(议付);BY DEF PAYMENT(迟期付款);BY MIXED PAYMENT(混合付款)。

(3)如果是自由议付信用证,对该信用证的议付地点不做限制,该项目代号为:41D,内容为:ANY BANK IN...

可选 42a DRAWEE(汇票付款人)

必须与42C同时出现。

可选 42C DRAFTS AT...(汇票付款日期)

必须与42a同时出现。

可选 42M MIXED PAYMENT DETAILS(混合付款条款)

可选 42P DEFERRED PAYMENT DETAILS(迟期付款条款)

可选 43P PARTIAL SHIPMENTS(分装条款)

表示该信用证的货物是否可以分批装运。

可选 43T TRANSSHIPMENT(转运条款)

表示该信用证是直接到达,还是通过转运到达。

可选 44A LOADING ON BOARD/DISPATCH/TAKING IN CHARGE

AT/FORM(装船、发运和接收监管的地点)

可选 44B FOR TRANSPORTATION TO...(货物发运的最终地)

可选 44C LATEST DATE OF SHIPMENT(最后装船期)

装船的最迟的日期。44C与44D不能同时出现。

可选 44D SHIPMENT PERIOD(船期)

44C与44D不能同时出现。

可选 45A DESCRIPTION OF GOODS AND/OR SERVICES(货物描述)货物的情况、价格条款。

可选 46A DOCUMENTS REQUIRED(单据要求)

各种单据的要求

可选 47A ADDITIONAL CONDITIONS(特别条款)

可选 48 PERIOD FOR PRESENTATION(交单期限)

表明开立运输单据后多少天内交单。

必选 49 CONFIRMATION INSTRUCTIONS(保兑指示)

其中, CONFIRM :要求保兑行保兑该信用证

MAY ADD :收报行可以对该信用证加具保兑。

WITHOUT :不要求收报行保兑该信用证。

必选 50 APPLICANT(信用证开证申请人)

一般为进口商。

可选 51a APPLICANT BANK(信用证开证的银行)

可选 53A REIMBURSEMENT BANK(偿付行)

可选 57a "ADVISE THROUGH" BANK(通知行)

必选 59 BENEFICIARY(信用证的受益人)

一般为出口商。

可选 71B CHARGES(费用情况)

表明费用是否有受益人(出口商)出,如果没有这一条,表示除了议付费、转让费以外,其他各种费用由开出信用证的申请人(进口商)出。

可选 72 SENDER TO RECEIVER INFORMATION(附言)

可选 78 INSTRUCTION TO THE PAYING/ACCEPTING/NEGOTIATING BANK

(给付款行、承兑行、议付行的指示)

2.信用证修改(MT707)

必选20 SENDER’S REFERENCE(信用证号码)

必选21 RECEIVER’S REFERENCE(收报行编号)

发电文的银行不知道收报行的编号,填写"NONREF"。

可选23 ISSUING BANK’S REFERENCE(开证行的号码)

可选 26E NUMBER OF AMENDMENT(修改次数)

该信用证修改的次数,要求按顺序排列。

可选 30 DATE OF AMENDMENT(修改日期)

如果信用证修改没填这项,修改日期就是发报日期。

可选 31C DATE OF ISSUE(开证日期)

如果这项没有填,则开证日期为电文的发送日期。

可选 31E NEW DATE OF EXPIRY(信用证新的有效期)

信用证修改的有效期。

可选 32B INCREASE OF DOCUMENTARY CREDIT AMOUNT(信用证金额的增加)

可选 33B DECREASE OF DOCUMENTARY CREDIT AMOUNT(信用证金额的减少)

可选 34B NEW DOCUMENTARY CREDIT AMOUNT AFTER AMENDMENT (信用证修改后的金额)

可选 39A PERCENTAGE CREDIT AMOUNT TOLERANCE(信用证金额上下浮动允许的最大范围的修改)

该项目的表示方法较为特殊,数值表示百分比的数值,如:5/5,表示上下浮动最大

为5%。39B与39A不能同时出现。

可选 39B MAXIMUM CREDIT AMOUNT(信用证最大限制金额的修改)

39B与39A不能同时出现。

可选 39C ADDITIONAL AMOUNTS COVERED(额外金额的修改)

表示信用证所涉及的保险费、利息、运费等金额的修改。

可选 44A LOADING ON BOARD/DISPATCH/TAKING IN CHARGE

AT/FORM(装船、发运和接收监管的地点的修改)

可选 44B FOR TRANSPORTATION TO...(货物发运的最终地的修改)

可选 44C LATEST DATE OF SHIPMENT(最后装船期的修改)

修改装船的最迟的日期。44C与44D不能同时出现。

可选 44D SHIPMENT PERIOD(装船期的修改)

44C与44D不能同时出现。

可选 52a APPLICANT BANK(信用证开证的银行)

必选 59 BENEFICIARY(BEFORE THIS AMENDMENT)(信用证的受益人)该项目为原信用证的受益人,如果要修改信用证的受益人,则需要在79 NARRATIVE修改详述)中写明。

可选 72 SENDER TO RECEIVER INFORMATION(附言)

/BENCON/ :要求收报行通知发报行受益人是否接受该信用证的修改。

/PHONBEN/ :请电话通知受益人(列出受益人的电话号码)。

/TELEBEN/ :用快捷有效的电讯方式通知受益人。可选 78 NARRATIVE(修改详述)详细的修改内容。

信用证翻译完整版(精编文档).doc

【最新整理,下载后即可编辑】 信用证类型 1. This revocable credit may be cancelled by the Issuing Bank at any moment without prior notice 这个可撤销的信用证可以被开证行在没有提前通知的任何时候撤销。 2. This credit is subject to cancellation or amendment at any time without prior notice to he beneficiary. 这个信用证以没有提前通知收益人的任何时候的取消或修改为准。 3. This advice, revocable at any time without notice, is for your guidance only in preparing drafts and documents and conveys no engagement or obligation on our part of our above mentioned correspondent. 这个通知在任何时候都可能在没被通知的情况下被撤销,只是为了方便你准备票据和单据提供了一个指南,本通知书不构成我行对相关信用证之保兑和其他任何责任。 4.We undertake to honour your drafts drawn and negotiated in conformity with the terms of this credit provided that such negotiation has been made prior to receipt by the notice of cancellation. 我们承担承兑和议付你方根据信用证开出的的相一致的汇票,该信用证在收到取消通知书之前都将被议付。 5.We hereby issue this irrevocable documentary credit in your favour, which is available by payment against presentation of the following documents. 我方在此开具了以你方为收益人的不可撤销的跟单信用证,该信用证将根据以下单据的出示时议付。 6.In accordance with instruction received from accreditors, we open irrevocable credit number 5678 by negotiation on the advising bank with T/T reimbursement clauses. 根据收到的开征申请人指令,我们开立了相一致的编号为

国际贸易信用证样本中英文对照

信用证样本中英文对照 Issue of a Documentary Credit、BKCHCNBJA08ESESSION:000ISN:000000 BANK OF CHINA LIAONING NO.5ZHONGSHANSQUARE ZHONGSHANDISTRICT DALIAN CHINA-------开证行 Destination Bank通知行 : KOEXKRSEXXXMESSAGETYPE:700 KOREAEXCHANGEBANK SEOUL 178.2KA,ULCHIRO,CHUNG-KO--------通知行 Type of Documentary Credit 40A IRREVOCABLE--------信用证性质为不可撤消 Letter of Credit Number 20 LC84E0081/99------信用证号码,一般做单时都要求注此号 Date of Issue开证日期 31G 990916------开证日期 Date and Place of Expiry(失效日期和地点) 31D 991015KOREA-------失效时间地点 Applicant Bank开证行 51D BANK OF CHINA LIAONING BRANCH----开证行 Applicant开证申请人 50 DALIANWEIDATRADINGCO.,LTD.------开证申请人 Beneficiary受益人 59 SANGYONG CORPORATION CPOBOX110 SEOUL KOREA-------受益人 Currency Code,Amount信用证总额 32B USD1,146,725.04-------信用证总额 Availablewith...by... 41

信用证中有关提单条款举例中英文对照

1、FULL SET CLEAN ON BOARD OCEAN BILL OF LADING ISSUED TO ORDER,BLANK ENDORSED MARKED FREIGHT PAYABLE AT DESTINATION NOTIFY AS ABC COMPANY AND SHOWING INVOICE VALUE,UNIT PRICE,TRADE TERMS,CONTRACT NUMBER AND L/C NUMBER UNACCEPTABLE。 整套清洁已装船提单,空白抬头,并注明 ABC 公司作为通知人,运费到付。不能将发票、单价、价格术语、合同号码和信用证号打在提单上。 2、FULL SET OF CLEAN ON BOARD B/L ISSUED TO OUR ORDER,MARKED NOTIFYING APPLICANT AND FREIGHT PREPAID AND SHOWING FULL NAME AND ADDRESS OF THE RELATIVE SHIPPING AGENT IN EGYPT. 全套清洁已装船提单,做成以开证行指示为抬头,注明通知开证人和“运费预付”,并显示相关在埃及船代的全称和详细地址。 3、FULL SET CLEAN ON BOARD PORT TO PORT BILL OF LADING,MADE TO THE ORDER AND BLANK ENDORSED TO OUR ORDER ,MARKED FREIGHT PREPAID DATED NOT LATER THAN THE LATEST DATE OF SHIPMENT NOR PRIOR TO THE DATE OF THIS CREDIT. PLUS

信用证样本及翻译

信用证样本(1) Name of Issuing Bank The French Issuing Bank 38 rue Francois ler 75008 Paris, France To: The American Exporter Co. Inc. 17 Main Street Tampa, Florida Place and date of issue Paris, 1 January 2006 This Credit is advised through The American Advising Bank, 486 Commerce Avenue, Tampa, Florida Dear Sirs, By request of account of The French Importer Co. 89 rue du Comnerce Paris, France we hereby issue an Irrevocable Documentary Credit No. 12345 for USD 100,000 (say US Dollars one hundred thousand only) to expire on March 29, 2006 in American available with the American Advising Bank, Tampa by negotiation at sight against beneficiary's draft(s) drawn on The French Issuing Bank and the documents detailed herein: (1)Commercial Invoice, one original and three copies. (2)Multimodal Transport Document issued to the order of the French Importer Co. marked freight prepaid and notify XYZ Custom House Broker Inc. (3)Insurance Certificate covering the Institute Cargo Clauses and the Institute War and Strike Clauses for 110% of the invoice value blank endorsed. (4)Certificate of Origin evidence goods to be of U.S.A. Origin. (5)Packing List Evidencing transportation of Machines and spare parts as per pro-forma invoice number 657 dated January 3, 2006 from Tampa, Florida to Paris, France not late than March 15,2006- CIP INCOTERMS 1990. Partial shipment is allowed. Transshipment is allowed. Documents to be presented within 10 days after the date of the transport documents but within the validity of the credit. We hereby engage with drawers and/or bona fide holders that drafts drawn and negotiated in conformity with the terms of Credit will be fully honored on presentation. The number and the date of the Credit and the name of our bank must be quoted on all drafts required. Bank to bank instructions :… Yours faithfully The French Issuing Bank, Paris (signature)

信用证样本中英文对照1

跟单信用证:目前采用SWIFT格式,依据《UCP600》规定,例样如下: FROM:CITIBANK INTERNATIONAL,LOS ANGELES, U.S.A. 开证行:花旗银行美国洛杉矶 TO:BANK OF CHINA QINGDAO BRANCH,QINGDAO,CHINA 通知行:中国银行青岛分行中国青岛 :27: SEQUENCE OF TOTAL 1/1 :27: 电文序列、报文页次1/1 :40A: FORM OF DOCUMENTARY CREDIT IRREVOCABLE :40A: 跟单信用证格式不可撤销 :20: DOCUMENTARY CREDIT NUMBER CRED1523349 :20: 跟单信用证号CRED1523349 :3lC: DATE OF ISSUE 070906 :31C: 开证日期070906 :40E:APPLICABLE RULES UCP LATEST VERSION :40E: 适用规则《UCP》最新版本 :31D: DATE AND PLACE OF EXPIRY 071102 U.S.A. :31D: 有效期和有效地点071102 美国 :50: APPLICANT UNITED OVERSEAS TEXTILE CORP. 220E 8TH STREET A682 LOS ANGELES U.S.A. :50: 开证申请人美国大华纺织公司 220栋,8号街,682室 洛杉矶 美国 :59: BENEFICIARY QINGDAO QINGHAI CO.,LTD.

186 CHONGQIN ROAD QINGDAO 266002 CHINA :59: 受益人青岛青海有限公司 重庆路186号 中国青岛266002(邮编) :32B: CURRENCY CODE, AMOUNT: USD58575,00 :32B: 货币代码和金额58575.00美元 :39A:PRECENTAGE CREDIT AMOUNT TOLERANCE 10/10 :39A: 信用证金额上下浮动百分比10/10(10%) :41A: A V AILABLE WITH.. BY.. CITIUS33LAX BY DEFERRED PAYMENT :41A: 兑付方式花旗银行洛杉矶分行以延期付款方式兑付 :42P: DEFERRED PAYMENT DETAILS AT 90 DAYS AFTER B/L DATE :42P: 延期付款细节提单签发日后90天 :43P: PARTIAL SHIPMENTS NOT ALLOWED :43P: 分批装运不允许 :43T: TRANSSHIPMENT NOT ALLOWED :43T: 转运不允许 :44E: PORT OF LOADING/AIRPORT OF DEPARTURE QINGDAO PORT,CHINA :44E: 装运港/始发航空站中国青岛港 :44F: PORT OF DISCHARGE/AIRPORT OF DESTINATION LOS ANGELES PORT,U.S.A. :44F: 卸货港/目的航空站美国洛杉矶港 :44C: LATEST DATE OF SHIPMENT 071017 :44C: 最晚装运期071017 :45A: DESCRIPTION OF GOODS AND/OR SERVICES +TRADE TERMS: CIF LOS ANGELES PORT,U.S.A. ORIGIN:CHINA + 71000M OF 100% POLYESTER WOVEN DYED FABRIC

信用证中英文对照

信用证样本(中英文对照) 信用证样本: 以下信用证内容源自华利陶瓷厂与一塞浦路斯客户所开立并顺利支付的信用证TO:BANK OF CYPRUS LTD LETTERS OF CREDIT DEPARTMENT NTCOSIA COMMERCIAL OPERATIONS CENTER INTERNATIONAL DIVISION ****** ****** TEL:****** FAX:****** TELEX:2451 & 4933 KYPRIA CY SWIFT:BCYPCY2N DATE:23 MARCH 2005 APPLICA TION FOR THE ISSUANCE OF A LETTER OF CREDIT SWIFT MT700 SENT TO:MT700转送至 STANDARD CHARTERD BANK UNIT 1-8 52/F SHUN NIND SQUARE O1 WANG COMMERCIAL CENTRE,SHEN NAN ROAD EAST,SHENZHEN 518008 - CHINA 渣打银行深圳分行 深南东路5002号 信兴广场地王商业大厦52楼1-8单元 电话:82461688 :27: SEQUENCE OF TOTAL序列号 1/1 指只有一张电文 :40A: FORM OF DOCUMENTARY CREDIT跟单信用证形式IRREVOCABLE 不可撤消的信用证 :20OCUMENTARY CREDIT NUMBER信用证号码 00143-01-0053557 :31C: DA TE OF ISSUE开证日 如果这项没有填,则开证日期为电文的发送日期。 :31DA TE AND PLACE OF EXPIRY信用证有效期 050622 IN CHINA 050622在中国到期 :50: APPLICANT 信用证开证审请人 ******* NICOSIA 较对应同发票上是一致的 :59: BENEFICIARY 受益人 CHAOZHOU HUALI CERAMICS FACTORY

常见信用证条款英汉对照翻译(DOC)

常见信用证条款英汉对照翻译 Business Documents国际商务单证 EDI (Electronic Date Interchange)电子数据交换 2000 INCOTERMS2000年国际贸易术语解释通则 UCP500Uniform Customs and Practice for Documentary Credit, ICC Publication No.500 跟单信用证统一惯例 CISGUnited Nations Convention on Contracts for the International Sale of Goods 联合国国际货物销售合同公约 Inquiry询价 Offer发盘 Counter Offer 还价 Acceptance接受 S/C Sales Confirmation 销售确认书(即合同) Physical Delivery实际交货 Symbolic Delivery象征性交货 FOBFree on Board装运港船上交货 CFRCost and Freight成本加运费 CIFCost Insurance and Freight成本加保险费和运费 FCAFree Carrier货交承运人 CPTCarriage Paid to运费付至 CIPCarriage and Insurance Paid to 运费、保险费付至 EXW工厂交货

FAS装运港船边交货 DAF边境交货 DES目的港船上交货 DEQ目的港码头交货 DDU未完税交货 DDP完税后交货 Commission佣金 Discount折扣 Remittance汇付 Remitter汇款人 Payee收款人 M/T Mail Transfer 信汇 T/T Telegraphic Transfer电汇 D/D Demand Draft票汇 Payment in Advance预付货款 Cash with Order随订单付款 Collection 跟单托收 Principal 委托人 Drawee 付款人 D/P Documents against Payment 付款交单 D/A Documents against Acceptance承兑交单D/P at sight 即期付款交单 D/P after sight远期付款交单 T/R Trust Receipt信托收据

信用证条款中英文对照

信用证条款中英文对照——基础 27: sequence of total 序列号 1/1 指只有一张电文 40a: form of documentary credit 跟单信用证形式 irrevocable 不可撤消的信用证 20: data of issue 12345678 信用证号码 31c: date of issue 开证日期 2002xxxx 31d: date and place of expiry 信用证有效期 2002xxxx Beneficiary’s country 有效地 50: applicant 信用证开证审请人(你们的客户名) abc co., ltd. address 59: beneficiary 受益人(你们公司名) efg co., ltd. china 32b: currency code amount 信用证项下的金额 usd xxxxxxx, 41d: available with 议付适用银行 any bank by negotiation 任何议付行 42c: draft at 开汇票 xxx days after sight for full invoice value 见票xxx天付款(发票全额) 42a: drawee 付款人 aboccnbjxxx agricultural bank of china, xxx branch 某农业银行某支行43p: partial shipment 是否允许分批装运 allowed 可以 43t: transshipment allowed 允许转运 44a: taking charge 装船港口 xxxxxx port 44b: for transportation to 目的港 chinese port 44c: latest date of shipment 最后装船期 2002xxxx 45a: description goods and/or services 货物/服务描述 general merchandise 日用品

中英文对照版合同翻译样本

1.Sales Agreement The agreement, (is) made in Beijing this eighth day of August 1993 by ABC Trading Co., Ltd., a Chinese Corporation having its registered office at Beijing, the People’ Repubic of China (hereinafter called “Seller”) and International Tradi ng Co., Ltd., a New York Corporation having its registered office at New York, N.Y., U.S.A. (hereinafter called “Buyer”). 2.WITNESSETH WHEREAS, Seller is engaged in dealing of (product) and desires to sell (product)to Buyer, and WHEREAS, Buyer desires to purchase(product) from Sellers, Now, THEREFORE, it is agreed as follows: 3.Export Contract This Contract is entered into this 5th day of August 1993 between ABC and Trading Co., Ltd. (hereinafter called “Seller”) who agrees to sell, and XYZ Trading Co., Ltd. (hereinafter called “Buyer”) who agrees to buy the following goods on the following terms and condition. 4.Non-Governmental Trading Agreement No. __This Agreement was made on the_day of_19_, BETWEEN _ (hereinafter referred to as the Seller) as the one Side and _ (hereinafter referred to as the Buyer) as the one other Side. WHEREAS, the Seller has agreed to sell and the buyer has agreed to buy _ (hereinafter referred to as the Goods ) the quantity, specification, and price of which are provided in Schedule A. IT IS HEREBY AGREED AS FOLLOWS: 5.Contract For Joint-Operation Enterprise __ COMPANY LTD., a company duly organized under the Law of __ and having its registered office at (hereinafter called “Party A”) AND __ COMPANY LTD., a company duly organized under the Law of __ and having its registere d office at (hereinafter called “Party B”) Party A and Party B (hereinafter referred to as the “Parties”) agree to jointly form a Co-operation Venture Company (hereinafter referred to as the “CVC”) in accordance with “the Laws of the People’s Republic of C hina on Joint Ventures Using Chinese and Foreign Investment” and the “Regulations for the Implementation of the Laws of the People’s Republic of China on Joint Ventures Using Chinese and Foreign Investment” and other applicable laws and regulations. 6.MODEL CONTRACT Contract No. Date: Seller: Signed at: Address: Cable Address: Buyer: Address: Cable Address: The Seller and the Buyer have agreed to conclude the following transactions according to the terms and conditions stipulated below: https://www.wendangku.net/doc/0b15001669.html, of Commodity: 2.Specifications: 3.Quantity: 4.Unit Price: 5.Total Price: U.S.$: 6.Packing: 7.Time of Shipment: days after receipt of L/C. 8.Loading Port & Destination Port: From via to . 9.Insurance:

信用证中英文对照翻译

信用证条款中英文对照——基础 27: Sequence of total 序列号 1/1 指只有一张电文 40A: Form of documentary credit 跟单信用证形式IRREVOCABLE 不可撤消的信用证 20: Data of issue 12345678 信用证号码 31C: Date of issue 开证日精 2002XXXX 31D: Date and place of expiry 信用证有效期 2002XXXX BENEFICIARY 'S COUNTRY 有效地 50: Applicant 信用证开证审请人(你们的客户名)ABC CO., LTD. CHINA 59: Beneficiary 受益人(你们公司名) EFG CO., LTD. ADDRESS 32B: Currency code amount 信用证项下的金额 USD XXXXXXX, 41D: Available with 议付适用银行 ANY BANK BY NEGOTIATION 任何议付行 42C: Draft at 开汇票 XXX DAYS AFTER SIGHT FOR FULL INVOICE V ALUE 见票XXX 天付款(发票全额) 42A: Drawee 付款人 ABOCCNBJXXX AGRICULTURAL BANK OF CHINA, XXX BRANCH 某农业银行某支行 43P: Partial shipment 是否允许分批装运 ALLOWED 可以 43T: Transshipment ALLOWED 允许转运 44A: Taking charge 装船港口 XXXXXX PORT 44B: For transportation to 目的港 CHINESE PORT 44C: Latest date of shipment 最后装船期 2002XXXX 45A: Description goods and/or services 货物/ 服务描述 GENERAL MERCHANDISE 日用品 46A: Documents required 须提供的单据文件 1. COMMERCIAL INVOICE IN TRIPLICATE 一式三份商业发票 2. FULL SET OF CLEAN ON BOARD B/L MARKED FREIGHT PREPAID MADE OUT TO ORDER OF SHIPPER AND NOTIFYING APPLICANT

信用证常用条款中英文对照

信用证常见条款中英文对照表述词语 阿里巴巴贸易2008-03-18 来源:考试大专题:外贸考试打印 从形式上来看,信用证只是一封普通的商业信函。它的格式和内容多种多样,不同的国家、不同的银行开立的信用证各有不同。但是其中的内容基本相同,一般可分为十大部分。 (一)、各方当事人在信用证中的表述文句(THE PARTIES CONCERNING TO THE CREDIT) ⑴开证人(The Applicant for the credit) 在国际贸易中,信用证的开立是由进口商向银行申请办理的。所以开证人指的就是进口商。信用证中用的词汇和词组常常是这样的: Applicant/Principal/Accountee/ Accreditor / Opener At the request of………应。。。。。的请求 By order of…………按。。。。。的指示 For account of………由。。。。。付款 At the request of and for……. 应。。。。。的请求 Account of …….. 并由。。。。付款 By order of and for account of ………. 按。。。的指示并由。。。付款 ⑵受益人(The beneficiary) 在国际贸易中,受益人一般就是出口商。信用证中常见的词汇或词组有: Beneficiary 受益人 In favour of ……. 以。。。为受益人 In your favour…….. 以你方为受益人 Transferor………转让人(可转让信用证的第一受益人) Transferee………. 受让人(可转让信用证的第二受益人) ⑶开证行(The Opening Bank) 应开证人要求开立信用证的银行叫开证行。在信用证中常见的词汇和词组有: Opening Bank Issuing Bank Establishing Bank ①通知行(Advising Bank) 开证行将信用证寄送的一家受益人所在地的银行,并通过该银行通知受益人信用证开出,这家银行就是通知行。在信用证中常见的词汇和词组有: Advising Bank Notifying Bank Advised through ②议付行(The Negotiation bank) 议付行就是购买出口商的汇票及审核信用证项下规定单据的银行。信用证中常见的词汇或词组有:Negotiation Bank Honouring Bank ③付款行(Paying Bank) 付款行就是经开证行授权按信用证规定的条件向受益人付款的银行. Paying Bank Drawee Bank ④保兑行(confirming Bank) 保兑行就是对开证行开立的信用证进行保兑的银行,通常以通知行作为保兑行,或者是第三家银行。保兑

国际贸易单证术语英汉对照(DOC)

国际贸易单证术语英汉对照 ?分析证书certificate of analysis ?一致性证书cettificate of conformity ?质量证书certificate of quality ?测试报告test report ?产品性能报告product performance report ?产品规格型号报告product specification report ?工艺数据报告process data report ?首样测试报告first sample test report ?价格/销售目录price /sales catalogue ?参与方信息party information ?农产品加工厂证书mill certificate ?邮政收据post receipt ?重量证书weight certificate ?重量单weight list ?证书cerificate ?价值与原产地综合证书combined certificate of value adn origin ?移动声明A.TR.1 movement certificate A.TR.1 ?数量证书certificate of quantity ?质量数据报文quality data message ?查询query ?查询回复response to query

?制造说明manufacturing instructions ?领料单stores requisition ?产品售价单invoicing data sheet ?包装说明packing instruction ?内部运输单internal transport order ?统计及其他管理用内部单证statistical and oter administrative internal docu-ments ?直接支付估价申请direct payment valuation request ?直接支付估价单direct payment valuation ?临时支付估价单rpovisional payment valuation ?支付估价单payment valuation ?数量估价单quantity valuation request ?数量估价申请quantity valuation request ?合同数量单contract bill of quantities-BOQ ?不祭价投标数量单unpriced tender BOQ ?标价投标数量单priced tender BOQ ?询价单enquiry ?临时支付申请interim application for payment ?支付协议agreement to pay ?意向书letter of intent ?订单order ?总订单blanket order

信用证样本new(中英文对照)

以下信用证内容源自华利陶瓷厂与一塞浦路斯客户所开立并顺利支付的信用证TO:BANK OF CYPRUS LTD LETTERS OF CREDIT DEPARTMENT NTCOSIA COMMERCIAL OPERATIONS CENTER INTERNATIONAL DIVISION ****** ****** TEL:****** FAX:****** TELEX:2451 & 4933 KYPRIA CY SWIFT:BCYPCY2N DATE:23 MARCH 2005 APPLICATION FOR THE ISSUANCE OF A LETTER OF CREDIT SWIFT MT700 SENT TO:MT700转送至 STANDARD CHARTERD BANK UNIT 1-8 52/F SHUN NIND SQUARE O1 WANG COMMERCIAL CENTRE,SHEN NAN ROAD EAST,SHENZHEN 518008 - CHINA 渣打银行深圳分行 深南东路5002号 信兴广场地王商业大厦52楼1-8单元 电话: 27: SEQUENCE OF TOTAL序列号 1/1 指只有一张电文 :40A: FORM OF DOCUMENTARY CREDIT跟单信用证形式 IRREVOCABLE 不可撤消的信用证

:20OCUMENTARY CREDIT NUMBER信用证号码 007 :31C: DATE OF ISSUE开证日 如果这项没有填,则开证日期为电文的发送日期。 :31DATE AND PLACE OF EXPIRY信用证有效期 050622 IN CHINA 050622在中国到期 :50: APPLICANT 信用证开证审请人 ******* NICOSIA 较对应同发票上是一致的 :59: BENEFICIARY 受益人 CHAOZHOU HUALI CERAMICS FACTORY FENGYI INDUSTRIAL DISTRICT, GUXIANG TOWN, CHAOZHOU CITY,GUANGDONG PROVINCE,CHINA.潮州华利陶瓷洁具厂 :32B: CURRENCY CODE,AMOUNT 信用证项下的金额 USD***7841,89 :41D:AVAILABLE WITH....BY.... 议付适用银行 STANDARD CHARTERED BANK CHINA AND/OR AS BELOW 渣打银行或以下的 BY NEGOTIATION 任何议付行 42CRAFTS AT 开汇票 SIGHT 即期 :42A:DRAWEE 付款人 BCYPCY2NO10 BANK OF CYPRUS LTD 塞浦路斯的银行名 :43PARTIAL SHIPMENTS 是否允许分批装运 NOT ALLOWED 不可以 :43T:TRANSHIPMENT转运 ALLOWED允许

信用证条款中英文对照

信用证条款 一.信用证开证行(Issuing Bank)的资信 二.信用证开证日期(Issuing Date) 三.信用证有效期限(Expiry Date)和有效地点(Expiry Place) 四.信用证申请人(Applicant) 五.信用证受益人(Beneficiary) 六.信用证号码(Documentary Credit Number) 七.信用证币别和金额(Currency Code Amount) 八.信用证货物描述(Description of goods and/or services) 九.信用证单据条款(Documents Requied Clause) 十.信用证价格条款(Price Terms) 十一.信用证装运期限(Shipment Date) 十二.信用证交单期限(Period for Presentation of Documents) 十三.信用证偿付行(Reimbursing Bank) 十四.信用证偿付条款(Reimbursement Clause) 十五.信用证银行费用条款(Banking Charges Clause) 十六.信用证生效性条款(Valid Conditions Clause) 十七.信用证特别条款(Special Conditions) 一.信用证开证行(Issuing Bank)的资信 信用证的开证行,是应开证申请人(进口商)的要求开立信用证的银行。 信用证是开证行的有条件的付款保证。信用证开立后,开证行负有第一性的付款责任。因

此,开证行的资信和付款能力等成为关键性的问题。所以,要了解开证行的资信。 二.信用证开证日期(Issuing Date) 开证日期是开证行开立信用证的日期。开证日期一般表述为“Date of Issue”。 信用证中必须明确表明开证日期。 如果信用证中没有开证日期(Date of Issue)字样,则视开证行的发电日期(电开信用证)或抬头日期(信开信用证)为开证日期。 信用证的开证日期应当明确、清楚、完整。 确定信用证的开证日期非常重要,特别是需要使用开证日期计算其他时间或根据开证日期判断所提示单日期是否在开证日期之后等情况时更为重要。 同时,开证日期还表明进口商是否是根据商务合同规定的开证期限开立的信用证。 三.信用证有效期限(Expiry Date)和有效地点(Expiry Place) 信用证的有效期限是受益人向银行提交单据的最后日期。受益人应在有效期限日期之前或当天向银行提交信用证单据。 有效地点是受益人在有效期限内向银行提交单据的地点。国外开来的信用证一般规定有效地点在我国国内,如果有效地点在国外,受益人(出口商)要特别注意,一定要在有效期限之前提前交单(港、澳、新、马等近洋国家或地区提前7天左右;远洋国家或地区提前10-15天),以便银行在有效期限之内将单据寄到有效地点的银行。 如果有效地点在国外,最好建议将其修改在国内。 如果信用证未列明有效地点,则应立即要求开证行进行确认。如果开证行始终不予答复,则应视同有效地点在我国国内。 四.信用证申请人(Applicant) 信用证的申请人,是根据商务合同的规定向银行(开证行)申请开立信用证的人,即是进口商。

信用证翻译

TO EMAIL ADDRESS: FROM: EMAIL ADDRESS: 10 OCTOBER 2014 MECHENG INDUSTRIAL SOLUTIONS (PTY) LTD, 1 SAXON ROAD HYDE PARK JOHANNESBURG ZA 2196 DEAR SIR / MADAM IRREVOCABLE LETTER OF CREDIT - ISSUANCE 不可撤销信用证开立 ___________________________________________________________________________ OUR REFERENCE 我方证明 : I AMOUNT 金额: USD 15, IN FAVOUR OF 受益人 : ESTABLISHED THROUGH 开立行 : HONGKONG AND SHANGHAI BANKING CORP EXPIRY DATE 有效期至 : 26/12/2014 LATEST SHIPMENT DATE 最晚装船日期 : 11/12/2014 ___________________________________________________________________________

WE ARE PLEASED TO INFORM YOU THAT WE HAVE ESTABLISHED THE ABOVE LETTER OF CREDIT ON YOUR BEHALF. 非常高兴地通知您,我方已经代表你方开立了如上信用证 IT IS IN YOUR INTEREST TO CHECK THE ATTACHED LETTER OF CREDIT CAREFULLY, AND ADVISE US IF ANY CHANGES ARE REQUIRED. 请仔细检查附件里的信用证,如需任何修改请告知我们。 WE ADVISE THAT WE HAVE DEBITED YOUR ACCOUNT NUMBER 624074 , FOR THE CHARGES, VALUE 10 OCTOBER 2014, AS PER THE FOLLOWING STATEMENT : 我们已将2014年10月10号的银行费用记入你方账号624074,按如下列表所述:DESCRIPTION CCY CHARGE VAT TOTAL _____________________ ___ ______________ ______________ _______________ L/C OPENING COMMISSION ZAR 1, 2, V 信用证开立费 TRANSMISSION CHARGE ZAR V 交易费 THE ABOVE L/C OPENING COMMISSION FEE WAS CALCULATED AS FOLLOWS: USD ,00 AT A RATE OF 11. X % X 1 PERIOD ( 77 DAYS, CHARGED PER 90 DAYS OR PART THEREOF), MINIMUM AMOUNT ZAR 482,46 PER PERIOD. 如上信用证开立佣金按如下方式计算:USD15, ,11. X % X 1周期(77天,每90天为一个周期,不满90天按一个周期算),最小金额为一个周期ZAR 482,46。 FIRSTRAND BANK LIMITED VAT NUMBER :- 51 FIRSTRAND BANK LIMITED增值税号 VAT NUMBER 00000000

相关文档
相关文档 最新文档