文档库 最新最全的文档下载
当前位置:文档库 › 信用证范本及详解

信用证范本及详解

信用证范本及详解
信用证范本及详解

最全的信用证范本及祥解

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:只有信用证上注明可转上字样,该信用证才能被转让,无标识则不可转让。

(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)

CIF+LC信用证样本

2001JAN31 15:23:46 LOGICAL TERMINAL E102 MT S700 ISSUE OF A DOCUMENTARY CREDIT PAGE 00001 FUNC MSG700 UMR 06607642 MSGACK DWS765I AUTH OK, KEY B110106173BAOC53B, BKCHCNBJ BNPA**** RECORO BASIC HEADER F 01 BKCHCNBJA940 0542 725524 APPLICATION HEADER 0 7001122 010129 BNPACAMMAXXX 4968 839712 010130 0028 N *BNP PARIBAS (CANADA) *MONTREAL USER HEADER SERVICE CODE 103: BANK. PRIORITY 113: MSG USER REF. 108: (银行盖信用证通知专用章) INFO. FROM CI 115: SEQUENCE OF TOTAL * 27 :1 / 1 FORM OF DOC. CREDIT * 40 A:IRREVOCABLE DOC. CREDIT NUMBER * 20 :63211020049 DA TE OF ISSUE 31 C:120129 EXPIRY * 31 D:DA TE 100410 PLACE IN BENEFICIARY'S COUNTRY APPLICANT * 50 :FASHION FORCE CO., LTD P.O.BOX 8935 NEW TERMINAL, ALTA, VISTA OTTAW A, CANADA BENEFICIARY * 59 :NANJING TANG TEXTILE GARMENT CO., LTD. HUARONG MANSION RM2901 NO.85 GUANJIAQIAO, NANJING 210005, CHINA AMOUNT * 32 B:CURRENCY USD AMOUNT 28764 A V AILABLE WITH/BY * 41 D:ANY BANK BY NEGOTIATION DRAFTS AT ... 42 C:SIGHT DRAWEE 42 A:BNPACAMMXXX *BNP PARIBAS (CANADA) *MONTREAL

备用信用证格式

备用信用证格式 STANDBY LETTER OF CREDIT 备用信用证 To : Financing Bank 提供资金的银行 This is an irrevocable Standby Letter of Credit No. 此份为不可撤消备用信用证: issued on_____________ by China Minsheng Banking Corp. Ltd. ,xxx Branch(hereunder referred to as the “Issuing Bank”) 月____日开立。由中国民生银行xxx分行(以下简称为开证行)于____年____ Beneficiary : ___Financing Bank__________________________________ 受益人:___提供资金的银行___ Applicant : _______________________________________ 开证申请人:______ Amount : __(in words)__________________ ( __in figure____________________) 金额:(大写)______(数字______) Expiry Date :_________________at Issuing Bank’s Counter 到期日:______(以开证行柜台日期为准) . At the request and for account of (hereunder referred to as the “Applicant”)

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

备用信用证格式

STANDBY LETTER OF CREDIT To : Financing Bank This is an Irrevocable Standby Letter of Credit No. issued on_____________ by China Minsheng Banking Corp. Ltd. ,xxx Branch Beneficiary : ___Financing Bank__________________________________ Applicant : _______________________________________ Amount : __(in words)__________________ ( __in figure____________________) Expiry Date :_________________a t Credit Issuing Bank’s Counter . At the request and for account of (hereunder referred to as the “Applicant”) we, China Minsheng Banking Corp. Ltd. ,xxx Branch, hereby establish our unconditional Irrevocable Standby Letter Of Credit No._______________ in favour of you (Financing Bank), for the maximum amount of ( __in figure__ USD xxx.xx_)_(in words Say United States Dollars xxx only) covering the principal sum with accrued interest, accrued default interest and other banking chargers which (hereinafter referred to as the “Borrower” ) owes to you as its indebtedness pursuant to the Loan Agreements/ Banking Facilities reference No. between the Borrower and you. This Standby Letter Of Credit is available with L/C Issuing Bank By Payment against presentation of: --Your demand claiming for payment by authenticated swift stating that the amount drawn hereunder represents and covers the unpaid indebtedness due to Financing Bank by _____(the name of borrower)____________________ arising out of the Loan Agreements/ Banking Facilities reference No. granted to them, showing the number and the date of this Irrevocable Standby Letter of Credit. . Other Terms And Conditions: - Partial and multiple drawings are permitted - All demands made hereunder must be presented to Credit Issuing Bank on or before the Expiry date __________ after which this standby letter of credit automatically becomes null and void. - Notwithstanding Article 36 of UCP 600, if this Irrevocable Standby Letter of Credit expires during an interruption of business as described in Article 36,we hereby specifically authorize and agree to effect payment if the claims drawn in respect of this Irrevocable Standby Letter of Credit is presented within 30days after the resumption of business. . Reimbursement Instruction: - On receipt of complied documents, we shall effect payment to you not exceeding the above maximum amount as per your payment instructions. . This Standby Letter of Credit is subject to the Uniform Customs and Practice for Documentary Credits (2007 revision, International Chamber of Commerce, Paris, France, Publication no. 600). We hereby engage with you that authenticated swift demand drawn under and in compliance with the terms of this Standby Letter of Credit will be duly honored upon presentation to us.

信用证范本

第三节信用证付款 ?一、信用证的含义 ?二、信用证的当事人 ?三、信用证的内容 ?四、信用证的收付程序 ?五、信用证的性质和特点 ?六、信用证的种类 一、信用证的含义 UCP600 ?Credit means any arrangement, however named or described, that is irrevocable and thereby constitutes a definite undertaking of the issuing bank to honour a complying presentation. ?信用证是一种银行开立的有条件的承诺付款的书面文件。 Honour means: ?a. to pay at sight if the credit is available by sight payment. ?b. to incur a deferred payment undertaking and pay at maturity if the credit is available by deferred payment. ?c. to a ccept a bill of exchange (“draft”) drawn by the beneficiary and pay at maturity if the credit is available by acceptance. ?在国际贸易中,信用证通常是开证银行根据进口人的请求和指示,授权出口人凭所提交的符合信用证规定的单据,和开立以该行或其指定的银行为付款人的不超过规定金额的汇票(有的信用证可以不用汇票),向其或其指定的银行收款,并保证向出口人或其指定人进行付款,或承兑并支付出口人开立的汇票。 二、信用证的当事人 开证申请人(applicant) ?Applicant means the party on whose request the credit is issued. 开证行(opening bank; issuing bank) ?Issuing bank means the bank that issues a credit at the request of an applicant or on its own behalf.

信用证情况说明模板

信用证情况说明模板 1. 信用证的格式与说明有哪些 信用证编号:作者:标题:发往:报文类型:优先级:传送监控::27 :报文页次:40A :跟单信用证类型:20 :跟单信用证号码:31C :开证日期:31D :到期日到期地点:51A :开证申请人银行--银行代码:5 0 :开证申请人:59 :受益人:32B :货币与金额:41D :指定银行与兑付方式:42C :汇票:42A :汇票付款人--银行代码:43P :分批装运:43T :转船:44A :装船/发运/接受监管地点:44B :货物运往:44C :最迟装运期:45A :货物/或服务名称:46A :单据要求:47A :附加条件:71B :费用:48 :交单期限:49 :保兑指示:78 :给付款行/承兑行/议付行的指示:72 :附言。 2. 急求信用证的样本和相关知识介绍 国内信用证样本 **银行 信用证(正本)2 编号: 开证日期年月日 开户行申请人全称受益人全称 地址、邮编地址、邮编 帐号帐号 开户行开户行 开证金额人民币(大写)¥ 有效日期及有效地点 通知行名称及行号 运输方式:交单期: 分批装运:允许□ 不允许□ 付款方式:即期付款□ 延期付款□ 转运:允许□ 不允许□ 议付□ 货物运输起止地:自___至___ 议付行名称及行号: 最迟装运日期年___月___日___ 付款期限:即期□ 运输单据日后___天 货物描述: 受益人应提交的单据: 其他条款: 本信用证依据中国人民银行《国内信用证结算办法》和申请人的开正申请书开立。本信用证为不可撤销、不可转让信用证,受益人开户行应将每次提交单据情况背书记开证行地址及邮编: 电传: 电话: 传真:编押:开证行签章 注:1.信开信用证一式四联,第一联副本;第二联正本;第三联副本;第四联开证通知。用途及联次应分别印在“信用证”右端括弧内和括弧与编号之间。 2.电开信用证一式两联,第一联副本;第二联开证通知。用途及联次应按第1点的要求印在各联上。 3.货物描述、提交的单据等按开证申请书记载。

备用信用证格式

Form of standby letter of credit 备用信用证 At the request of _______(Hereunder referred to as the applicant )we________(address ________________) hereby issue our irrevocable standby letter of credit no.:__________on__________in favor of china everybright bank. for the amount of USD_____________only(united states dollats ___million thousand_____under the loan agreement NO.___________ between china everybright bank and the applicant. The standby letter of credit is available upon china everybright bank's presentation of swift message or tested telex certifying that the amount claimet under this standby letter of credit NO.__________represents and covers the unpaid indebtedness, interests and other charges thereon due to china everybright bank arising out of its ranting loan facility to the applicant(chich is equivalent to the principal amount of___plus accrued interests, and other bank charges payable by the applicant) we will effect payment to you within seven banking days upon receiving the swift or tested telex in compliance with the above terms. The standby letter of credit shall exprire on___ This stand by letter of credit is subject to the uniform customs and practice for documentary credit(1993 revision),and internatonal chamber of commerce publication NO.500. 在要求_______(以下统称为申请人 )we________ (地址 ________________) 在此问题,我们不可撤销的备用信用证,信用证号码.:__________ on__________(填写银行)中国everybright银行。 对于数额usd(金额)_____________only (美国dollats ___million thousand_____under了贷款协议。信用证号码.___________ 中美之间everybright银行和申请人。 备用信用证是可根据中国everybright银行的介绍迅速讯息或电传检验证明金额claimet根据本备用信用证no.__________represents等领域,涵盖未付债务,利益和其他收费 就此,由于中国everybright银行所产生的,其ranting贷款给申请人(chich相当于本金的利息of___plus累算利益,和其他银行的收费,由申请人) 我们将有关款项,你在7天内,银行收到后,迅速或测试电传遵守上述条款。

信用证模板

IRREVOCABLE DOCUMENTARY CREDIT APPLICANT TO: DATE: Documents required: (marked with ×) 1.(×)Manually Signed Commercial Invoice indicating L/C No. and Contract No. (Photo copy and carbon copy not acceptable as original). 2.(×)Full set (included original and non-negotiable copies) of Clean On Board “Freight prepaid ” Ocean Bills of Lading made out to order and blank endorsed, marked “Notified to applicant 3.()Air Waybills show “Freight prepaid ” and consigned to applicant 4.(×)Full set (included 1 original and 2 copies) of Insurance Policy/Certificate for 110% of the invoice value, showing claims payable in China , in currency of the draft, blank endorsed , covering ([× ]ocean marine transportation \[ ]air transportation\[ ]over, land transportation) All Risks 5.(×)Weight Memo/Packing List in 2 originals and 2 copies issued by the manufacturer indicating quantity/gross and net weights of each package and packing conditions as called for by the L/C. 6.()Certificate of Quantity/Weight in 2 copies issued by the manufacturer indicating the actual surveyed quantity/weight of shipped goods as well as the packing condition. 7.()Certificate of Quality in 2 copies issued by the manufacturer . 8.(×)Beneficiary’s certified copy of cable/telex dispatched to the applicant within 72 hours after shipment advising [×]name of vessel/[] flight No./[ ]wagon No. date, quantity, weight and value of shipment. 9.()Beneficiary’s Certificate certifying that extr a copies of documents have been dispatched according to the contract terms. 10.(×)Certificate of Origin in one original and two copies issued by the manufacturer Covering: export standard packing Goods description: Additional instructions: 1.(×)All b anking charges outside the opening bank are for beneficiary’ account. 2.(×)Documents must be presented within 21 days after the date of issuance of the transport documents but within the validity of this credit. 3.()Third party as shipper is not acceptable. Short Form/Blank Back B/L is not acceptable. 4.()Both quantity and amount % more or less are allowed. 5..(×)All documents to be forwarded in one cover, unless otherwise stated above. SHIPPING MARK: ZPEB APPLICANT: (FOR STAMP) PREPARED BY:

版本巴克莱银行备用证

AUTHENTICATED MT760 SBLC SPECIMEN VERBIAGE 认证的MT760备用信用证样本 ISSUING BANK: (NAME OF ISSUING BANK)开证行 ADDRESS:地址 PHONE:电话 FAX:传真 SWIFT CODE分行号 BANK OFFICER:银行人员 SBLC APPLICANT:备用信用证申请人 RECEIVING BANK:收证行 ADDRESS:地址 PHONE:电话 FAX:传真 SWIFT CODE分行号 BANK OFFICER:银行人员 STANDBY LETTER OF CREDIT NUMBER:信用证号 DATE OF ISSUE:开证日期 DATE OF EXPIRATION:到期日 BENEFICIARY:受益人 ADDRESS:地址 WE, HEREBY OPEN OUR IRREVOCABLE,UNCONDITIONAL,TRANSFERABLE,DIVISIBLE,NEGOTIABLE, CASH BACKED STANDBY LETTER OF CREDIT IN YOUR FAVOR:XXXXXXXXXXXXXXXXXXXXXXX IN THE AMOUNT OF $500,000,000.00 (FIVE HUNDRED MILLION U.S DOLLARS) FOR THE ACCOUNT OF THE (LESSEE) COVERING: PERFORMANCE UNDER CONTRACT (REF NO:) 兹开具不可撤销的,无条件的,可转让的,可分割,可承兑,现金支持的备用信用证以贵公司为受益人的:XXXXXXXXXXXXXXXXXXXXXXX 总金额在$500,000,000.00为(承租人)账户的金额(五亿美元):合同下的(合同编号:) PAYMENT IS AVAILABLE UPON THE PRESENTATION OF BENEFICIARY'S FIRST WRITTEN DEMAND MARKED DRAWN UNDER STANDBY LETTER OF CREDIT ON XXXXXXXXXXX DATED ACCOMPANIED BY: 由受益人第一书面要求标记的备用信用证在****日可支付 附件 BENEFICIARY'S STATEMENT THAT A PAYMENT DUE UNDER THE CONTRACT HAS NOT BEEN EFFECTED,THEREFORE THE AMOUNT DRAWN HEREUNDER IS DUE AND OWING. 受益人陈述支付日期在合同未生效前,付款到期合同项下尚未实行,因此金额为本到期应付。

兴业银行备用信用证格式

附件四: FORM OF STANDBY LETTER OF CREDIT/GUARANTEE AT THE REQUEST OF (1) (HEREUNDER REFERED TO AS `THE APPLICANT'),WE HEREBY ISSUE OUR IRREVOCABLE STANDBY LETTER OF CREDIT/GUARANTEE NO. (2) IN YOUR FAVOUR FOR CREDIT FACILITIES GRANTED TO (3) (“BORROWER”)INCLUSIVE OF ALL ACCRUED INTERESTS AND CHARGES UP TO THE MAXIMUM AGGREGATE AMOUNT OF (4) WHICH ARE OR MAY BECOME PAYABLE TO YOU BY THE BORROWER UNDER THE LOAN AGREEMENT NO.___(5)_____BETWEEN YOU AND THE BORROWER. THIS STANDBY LETTER OF CREDIT/GUARANTEE IS AVAILABLE AGAINST PRESENTATION OF YOUR TESTED TELEX OR SWIFT TO US STATING THAT THE AMOUNT OF SUCH CLAIM(S) REPRESENTS AND COVERS THE UNPAID BALANCE OF INDEBTEDNESS IN CONNECTION WITH YOUR GRANTING LOAN FACILITY TO THE BORROWER. WE HEREBY UNDERTAKE THAT ALL CLAIM REQUEST PRESENTED UNDER AND IN COMPLIANCE WITH TERMS AND CONDITIONS OF THIS STANDBY LETTER OF CREDIT/GUARANTEE SHALL BE DULY HONOURED, AND WE SHALL WITHIN FIVE BANKING DAYS,REMIT THE PROCEEDS TO YOU IN ACCORDANCE WITH YOUR INSTRUCTION. THE BUYING RATE OF (6) TO RENMINBI QUOTED BY INDUSTRIAL BANK CO., LTD. ON THE DATE OF YOUR DRAWING SHALL BE USED FOR THE CALCULATION OF YOUR DRAWING AMOUNT.** PARTIAL DRAWINGS ARE ACCEPTABLE. OUR LIABILITY UNDER THIS STANDBY LETTER OF CREDIT/GUARANTEE SHALL BE REDUCED AUTOMATICALLY AND PROPORTIONALLY TO THE SUM PLUS INTEREST ALREADY PAID BY THE BORROWER AND/OR BY US. THIS STANDBY LETTER OF CREDIT/GUARANTEE WILL BE EFFECTIVE FROM (7) AND EXPIRE ON (8) AT THE COUNTER OF INDUSTRIAL BANK CO., LTD.____(9)_____BRANCH. THIS UNDERTAKING IS NOT SUBJECT TO ANY CONTRACT, AGREEMENT, CONDITION OR QUALIFICATION. OUR OBLIGATIONS AND LIABILITIES UNDER THIS STANDBY

国内信用证议付的对象及条件

国内信用证议付的对象及条件 对象 如果您的企业具有独立的法人资格,且以议付信用证作为贸易结算的方式,即可凭信用证项下的单据向我行申请叙做国内信用证议付。 条件 您的企业如需向我行申请叙作国内信用证议付,必须满足以下条件: (1) 经工商行政管理部门核准登记,具备企业法人资格,取得经年检的企业法人营业执照和生产经营许可证。 (2) 在我行开有人民币结算帐户,信用记录良好。 (3) 您的企业应具有健全的财务会计制度,能按时向我行报送财务报表,接受我行对您的企业生产经营及财务状况的实时审核。议付款项应用于合理的资金周转需要。 国内信用证议付的申请 您的企业如向我行申请叙作国内信用证议付,须向我行分支机构提交以下资料: (1) 经年检的企业法人营业执照复印件。 (2) 有权签字人授权书及签字样本。 (3) 公司近期财务报表。 (4) 我行需要的其他文件资料。 您的企业应填制《信用证议付申请书》,盖章并经有权签字人签字,连同单据和正本信用证一并交我行。 我行在收到您提交的《信用证议付申请书》和相关单据后,如符合条件,经审核无误后叙做议付。 议付利率及费率 议付利率比照票据贴现利率;议付手续费按照议付单据金额的0.1%收取。

一、基本概念和规定 (一)国内信用证是指开证行依照申请人的申请开出的,凭符合信用证条款的单据支付的会款承诺。国内信用证为不可撤销、不可转让的跟单信用证。 本章所称“信用证”均指国内信用证。 (二)开证申请人是指提出开立信用证申请,并承担支付信用证款项义务的法人或其他经济组织。 受益人是指有权收取信用证款项的法人或其他组织,一般为买卖合同的卖方。 信用证的开证行是指接受开证申请人的申请,开立国内信用证并承担审单付款义务的营业机构。 信用证的通知行是指受信用证开证行季托向受益人发出信用证通知书的营业机构。 议付行是指接受议付申请人早请,向受益人办理信用证议付的营业机构。 委托收款行是指按照信用证受益人委托,向信用证开证行办理委托收款的营业机构。 (三)国内信用证只限于转账结算,不得支取现金。 (四)国内信用证必须以人民币计价。 (五)国内信用证适用于企业之间国内商品交易的信用证结算,开立国内信用证必须具有真实、合法的商品交易背景。 (六)国内信用证与作为其依据的买卖合同相互独立,银行在处理国内信用证业务时,不受买卖合同的约束。 (七)银行作出的付款、议付或履行国内信用证项下其他义务的承诺不受申请人与开证行、申请人与受益人之间关系的制约。 (八)受益人在任何情况下,不得利用银行之间或申请人与开证行之间的契约关系。 (九)在国内信用证结算中,各有关当事人处理的只是单据,而不是与单据有关的货物。 二、国内信用证的开立 (一)开证申请人应具备下列条件: 1.在我行开立人民币基本存款账户或一般存款账户并依法从事经营活动的法人或其他经济组织; 2.资信良好,具有支付信用证票款的可靠资金来源和能力; 3.近两年在我行无不良贷款、欠息及其他不良信用记录。 (二)开证申请人申请开立信用证时,开证行应要求申请人提供以下资料: 1.开证申请书; 2.开证申请人承诺书; 3.有关商品买卖合同,合同中应规定使用国内信用证办理货款结算; 4.上年度和当期的资产负债表、损益表和现金流量表; 5.按规定需要提供担保的,提交保证人有关资料(包括营业执照或法人执照复印件,当期资产负债表、损益表和现金流量表)或抵(质)押物的有关资料(包括权属证明、评估报告等); 6.开证行需要的其他资料。 (三)开证行应对开证申请书、开证申请人承诺书、申请人的资信状况、担保情况和企业授信额度进行审查。 (四)开证申请书、开证申请人承诺书审查要点: 1.开证申请书和承诺书记载的事项应当完整、明确;应当详细列明全部信用证条款及开证申请人承担的履约付款责任。

备用信用证合作融资协议

Contract No.: 合同編號: 備用信用證合作融資協議 A.甲方(開證方代表公司) https://www.wendangku.net/doc/d717389310.html,pany Name:CHINA GEN-MAO STONE MATERIALS MINING & CONSTRUCTION CO., LTD 公司名稱:中国根茂石材矿业建筑工程有限公司 2.Address: 地址: 3.Tel./E–mail : 電話/電郵: 4.Represented By: 簽約法定代表人: B.乙方(接證方代表公司) https://www.wendangku.net/doc/d717389310.html,pany Name: 公司名稱: 2.Address: 地址: 4.Tel./E–mail : 電話/電郵: 4.Represented By: 簽約法定代表人: 協議雙方對本協議的使用條款以及條款中的貿易專業術語是依照2010版最新修訂的國際貿易專業術語解釋通則(簡稱INCOTERMS EDITION 2010)為依據,雙方完全理解同意並接受此專業術語的詮釋及條款規則。並在該規則下達成如下協議: 署名雙方願在雙方平等互利基礎上達成操作協議,該協議包括合夥人、子公司、股東、分公司、合作冒險事業、商業夥伴和其他的協作機構(以下統稱夥伴)。

甲乙雙方通過認真磋商,由甲方負責從银行 (Bank)開出的總額為贰仟万美元以乙方指定的 有限公司為受益人的備用信用證(SBLC,見附件一)。由乙方負責用該SBLC 進行質押向银行支行(Bank of ,Branch)進行貸款,在互相信任的原則下,達成本合作合同,具體條件和條款如下: CLAUSE 1 融資貸款方式: 以備用信用證(SBLC) 作抵押貸款。單據符合國際商會1998跟單信用證國際統一慣例ICC500條的規定及见索即付保函统一规则URDG458的规定。SBLC是不可撤銷的、可轉讓的及保兌的,有效期為一年零一天。第二年、第三年、……还可重开,金额另定。 CLAUSE 2簽約地點:中國深圳市。 CLAUSE 3 雙方責任:雙方誠信履行各自承諾,並提供公司營業執照、有限公司註冊證書和個人護照彩色掃描件或身份證彩印件。互換檔後三日內經互相確認(超過三日視為確認)後簽署本協議。本協議簽字後立即生效。 CLAUSE 4 甲方承諾並保證該SBLC為真實、可靠及保兌,如有虛假、偽造等行為引發的全部法律責任和經濟損失,均由甲方單方承擔。 CLAUSE 5 銀行座標 A甲方(開證方) Bank Name : Bank Address : Telephone No.: BANK Secured Fax: Bank Officer: Account Name: Account Number : SWIFT Code :

相关文档