文档库 最新最全的文档下载
当前位置:文档库 › 国际商务单证期末试题

国际商务单证期末试题

11秋商务物流国际商务单证期末补考试题班级姓名学号评分

一中英文术语、短语互译(每题1分,共10分)

(1)不可撤销信用证(2)佣金

(3)Applicant (4)Port of Discharge

(5)保险单(6)Freight Prepaid

(7)商业发票(8)Description of Goods

(9)Shipped from. . .to. . . (10)Drawn on.。。。

1. 以CIF术语达成的交易,如信用证没有特别规定,保险单的被保险人一栏应填写()。A.开证申请人的名称 B.受益人的名称

C.TO ORDER

D.TO WHOM IT MAY CONCERN

2.根据(UCP600)的规定,若信用证没有注明()字样,则认为该信用证为不保兑信用证。

A.Confirmed

B.Revocable

C.Revolving

D.Transferable

3.“Transshipment permitted, part shipments allowed, but part shipment of each item not allowed.”的中文意思是()。

A.转运允许,分运允许,但每个品种的货物不得分运。

B.转运不允许,分运允许,但每个品种的货物必须分运。

C.转运允许,分运允许,但每个品种的货物必须分运。

D.转运允许,分运不允许,但每个品种的货物不得分运。

4. 如信用证没有特别规定,按国际保险市场惯例,保险金额一般在发票金额的基础上( )填写

A.加一成

B.加两成

C.加三成D,加四成

5.如来证没有申请人(或付款人)一栏,而是直接指明汇票付款人时,如“WE OPEN CERDIT NO.PS8803 A V AILABLE BY DRAFTS DRAWN ON EEC CO.,LTD.”,那么发票的抬头人应做成()

A.不填B。开证行

C.DRAWN ON EEC CO.,LTD D. EEC CO.,LTD

6一张汇票的收款人抬头注明:“PYA TO THE PRDER OF x x x CO.”即表示()。

A.该汇票只能由x x x公司收取货款

B.该汇票不能转让

C.该汇票可以转让,但只能转让一次

D.该汇票可以转让,而且可一直转让下去

7信用证上关于汇票的条款规定:A V AILABLE BY YOUR DRAFT AT 30 DAYS SIGHT DRAWN ON APPLICANT,那么汇票应填写为()。

A.付款期限为A T30 DAYS SIGHT,付款人为开证申请人的名称

B.付款期限为AT 30 DAYS SIGHT,付款人为开证行的名称

C.付款期限为AT x x x SIGHT,付款人为开证行的名称

D.付款期限为AT 30 DAYS SICHT,付款人为“APPLICANT”

8根据我国的规定,企业最迟于货物报关出运前()向签证机构申请办理原产地证。

A.7天

B.3天

C.10天

D.5天

9.信用证条款:

DOCUMENTS REQUIRED:FULL SET OF CLEAN ON BOARD OCEAN B/L MADE OUT TO THE ORDER OF SHIPPER ,MARKED FREIGHT PREPAID,NOTIFY APPLICANT.

假定:货物的承运人俄日COSCO,船长为MARK TOE ,承运人的代理人为ABC SHIP-PING CO.,提单由承运人的代理签发,签发人为张三,如果提单表面未表明承运人的身份,则提单的签发应为()

A.ABC SHIP-PING CO.

MARK TOE AS THE CARRIER

B.ABC SHIP-PING CO

张三AS AGENT FOR THE CARRIER:COSCO

C.COSCO

张三AS CARRIER

D.COSCO

MARK TOE AS MARKER

10..某公司出口货物,从黄埔港发运,运往汉堡,在香港转船,在装箱单“TRANSPORT DETAILS”一栏填写错误的是()。

A.FROM HUANGPU TO HAMBURG W/T HONGKONG

B.FROM HUANGPU TO HAMBURG VIA HONGKONG

C.FROM HUANGPU TO HONGKONG AND THENCE TO HAMBURG

D.FROM HUANGPU TO HAMBURG WITH TRANSSHIPMENT AT HONGKONG

三.案例分析(每题4分,共16分)

1.某公司从国外某商行进口一批钢材,货物分两批装运,支付方式为不可撤销即期信用证。每批分别由中国银行开立一份信用证。第一批货物装运后,卖方在有效期内向银行交单议付,议付行审单后,即向该商行议付货款,随后中国银行对议付作了偿付。我方在收到第一批货物后,发现货物品质与合同不符,因而要求开证行对第二份信用证项下的单据拒绝付款。问:开证行这样做是否合理?为什么?

2. 我某外贸公司已CFR条件出口货物一批,应买方要求,我方在装船前代为投保了一切险,保单的被保险人为买方。货物用驳船从广州乌冲码头运往盐田港装船时,由于触礁而全部灭失,卖方认为保险公司的保险责任范围为“仓至仓”,而该损失又在一切险的承保范围以内,因此持相关保险单向保险公司索赔。问保险公司对该损失应不应该赔偿?为什么?

3. 2001年3月1日,广州甲公司以广州乙公司为收款人,签发商业汇票一张,汇票金额为50万人民币,汇票到期日为2002年7月31日。乙公司在接到该商业汇票后将该汇票背书转让给江门丙公司。江门丙公司在接到该商业汇票后将该汇票背书转让给佛山丁公司,同ian8月1日,佛山丁公司持该商业汇票向银行提示付款。银行在接到该商业汇票后经查实,确认广州甲公司在银行的存款不足以支付票据款而将商业汇票退回给佛山丁公司。之后,佛山丁公司依法向其前手江门丙公司进行票据追索,江门丙公司在支付款项后又向其前手广州乙公司追偿,单广州乙公司拒绝偿付票据款项。

为此,江门丙公司向人民法院提起诉讼,诉称:被告广州乙公司背书转让给原告(丙公司)商业承兑汇票,被告广州乙公司系汇票出票人和付款人。在丙公司将汇票背书转让给后手后,当最后持票人在汇票到期日提示付款时,因广州甲公司银行存款不足被退票。要求判令广州乙公司支付票据款项及利息,并由广州甲公司承担连带清偿责任。广州乙公司辩称广州甲公司系商业汇票的出票人,应当由广州甲公司独立承担汇票款项的偿付责任。广州甲公司未答辩。请讨论该案例谁将会胜诉。

4国外开来不可撤销信用证,证中规定最迟装运期为2000年12月31日,议付有效期为2001年1月15日。我方按证中规定的装运期完成装运,并取得签发日为2000年12月10日的提单,当我方备齐议付单据于2112年1月4日向银行议付交单时,银行以我方单据已过期为由拒付货款。问:银行的拒付是否有利?为什么?

四.阅读理解(每题1分,共16分)

*KRUNG T HAL BANK PUBLIC COMPANY

*LIMITED

*BANGKOK

User Header Service Code 103:

Bank.Priority 113:

Msg User Ref. 108:

Info.from CI 115:

Sequence of Total *27 :1 / 1

Form of Doc.Credit *40 A :ORREVOCABLE

Doc.Credit Number *20 :BL 120197

Date of lssue 31 C :0 10 123

Expiry *31 D :Date 0 10422 Place CHINA

Applicant 51 D :KRUNG THAI BANK PCL. SUANMAL I IBC. Applicant *50 :METCH THAI CHEMICAL COMPANY LIMITED

45—7 MAITRICHITR RD.

BANGKOK,THAILAND.

Beneflciary *59 :SINOCHEM GUANGDONG IMPORT AND

EXPORT CORPORATION

58 ZHANQIAN ROAD.GUANGZHOU.CHINA AMOUNT *32 B :Currency USD Amount 16.264

Available with/by *41 D :ANY BANK

BY NEGOTIATION

Drafts at …42 C :SIGHT

DRAWEE 42 D :KRUNG THAI BANK PCL.,SUANMALI IBC.

Part lal Shipments 43 P :PRIHIBITED

Transsh l pinent 43 T :ALLOWED

Loading in charge 44 A :

GUANGZHOU,CHINA

For transport to …44 B :

BANGKOK,THAILAND

Latest Date of Ship. 44 C :0 10412

Desoript. Of Goods 45 A :

42.80MT LITHOPONE 30PCT ARROW BRAND USD380.—PER MT

DETAILS AS PER PROFORMA INVOICF NO.01 TH44GD 176A3-032

DATED JAN.22,2001.

C.I.F. BANGKOK. THAILAND

Documents required 46 A :

SIGNED COMMERCIAL NNVOICE IN 10 COPIES SHCWING

SEPARA TEL Y F.O.B.V ALUE. FREIGHT CHARGE. INSURANCE PREMIUM.

C.I.F.V ALUE AND COUNIRY OF ORIGIN

FULL SET OF CLEAN ON BOARD OCEAN BILLS OF LADING TO ORDER OF

KRUNG THAT BANK PUBLIC COMPANY LIMITED MARKED FREIGHT PREPAID

PLUS TWO NON-NEGOTIABLE COPIES NOTIFYY:A[[;OCAMT

MARINE INSURANCE POLICY OR CERTIFICATE IN DUPLICATE,ENDORSED

IN BLANK. FOR RULL INVOICE V ALUE PLUS 10 PERCENT STATING CLAIM PAYABLE IN THAILAND COVERING INSTITUTE CARGO CLAUSES (A) AND

WAR RISKS.

PACKING LIST IN 5 COPIES.

CERTIFLCATE OF ANAL YSIS IN 5 COPIES.

ONE FULL SET OF NON-NEGOTIABLE SHIPPONG DOCUMENTS MUST BE

SENT TO THE APPLICANT BY AIR COURIER WITHIN 3 DAYS AFTER

SHUPMENT AND BENEFICIARY’SCERTICATE TOTHIS EFFECT IS

REQUIRED

BENEFICIARY’S CERTIFICA TE CERTIFYING THAT ONE COPY EACH OF

INVOICE.N/N B/L HA VE BEEN.FAXED.TO BUYER TO FAX NO.662-225

WITHIN 3 DAYS AF TER SHIPMENT.

IAN31 07:19:37 Logical terminal GDPF

S700 Issue of a Documentary Credit Page 00002

Func JSRVPR1

Litional Cond. 47 :

+ ALL DOCUMENTS MENTIONING THIS L/C NO.

+ BOTH AMOUNT AND QUANTITY PLUS OR MINUS 5PCT ACCEPTABLE.

+ IF ANY DISCREPANCY.WE SHALL DEDUCT USD50. –BEING OUR FEE

FROM THE PROCESS.

+ THE NAME, ADDRESS. TELEPHONE NUMBER OF SHIPPING AGENT IN

BANGKOK MUST BE MENTIONED ON B/L

Ails of Charges 71 :ALL BANK CHARGES OUTSIDE

THAILAND INCLUDING COST OF WIRE

BENEFICIARY’S ACCOUNT.

Confirmation *49 :WITHOUT

tructions 78 :

+ UPON RECEIPT OF SHIPPING DOCUMENTS

IN STRICT CONFORMITY WITH L/C TERMS,WE WILL COVER YOUR ACCOUNT

AND LESS OUR COST OF WIRE IF ANY ACCORDING TO YOUR INSTRUCTLON.

+ DRAFT(S) AND DOCUMENTS TO BE SENT TO US BY COURIER SFRVICE

MAILING ADDRESS SUANMALI IBC.,20 YUKHON 2 RD., POMPRAB,BANGKOK 10100. THAILAND.

+THIS ADVICE IS OPERATIVE WITH NO CONF IRMATION TO FOLLOW AND SUBJECT TO ICC 1993 REVISION PUB 500.

Nd,to Rec. Info. 72 :KINDL Y ACKONOWL EDGE RECEIPT THIS

CREDIT BY RETURN SWIFT WILL BE

MUCH APPECIATED.

Ailer Order is

MAC:642A77D3

CHK:4111579499C7

请从该信用证中找出下面的内容:

(1)开证人:

(2)受益人:

(3)信用证号码:

(4)开证日期:

(5)信用证有效期及到期地点:

(6)装运港:

(7)目的港:

(8)装运期限:

(9)分批和转船的要求:

(10)商品数量及名称:

(11)要求单据:

(12)交单期限:

(13)信用证金额:

(14)信用证特殊条款::

(15)形式发票号码及日期:

(16)贸易术语:

五单据填制(每题16分,共48分)

(一)根据有关信用证条款和参考资料缮制发票。(空白发票见本书第248页)

A.信用证有关条款。

Issuing bank:THE SAKURA BANK,LIMITED

56,NANIWA –CHO, CHUO-KU,KOBE,JAPAN

20/documentary redit number:KUW25847

31c/date of issue:May15,2004

31d/date and place of expiry:June 30,2004 beneficiaries’country

50/applicant:MOMO CO.,LTD.

NO.215 NADA-KU,LOBE,JAPAN

59/beneficiary:HUNAN TEA IMPORT&EXPORT CORPORATION

WUYI ROAD,CHANGSHA,HUNANM,CHINA

32/currency code amount:USD26,640.00

39a/percent credit amt tolerance:05 / 05

41d/available with…by…:Any bank in china by negotiation

45a/descript. Of goods and/ or services:

As per S/C No. HNT (04) 021

Applicant’s Ref No.3-1190

12,000 kgs Pu-erh tea at USD2.22 PER KG.CIF Kobe

Packed:in 50 kgs per cartons

46a/documents required:

+commercial invoice in one original plus 6 copies,showing that goods exported are of Chinese Rrigin,all of which must be manually signed.

47a/additional conditions:

+all documents required under this crdit must mention this L/C number and the issuing bank name.

B参考资料。

2004年6月12日装“FENGQING B.25”从广州出运。

唛头自行设计。

发票号码:HT-04-28931

湖南茶叶进出口公司

HUNAN TEA IMPORT & EXPORT CORPORATION

WUYI ROAD, CHANGSHA, HUNAN, CHINA

商业发票

COMMERCIAL INVOICE ORIGINAL

Messrs.: INVOICE NO. :

INVOICE DATE:

L/C NO. :

L/C DA TE :

Exporter: S/C NO. :

Transport details: Terms of payment:

Marks & Number Description of Goods Quantity Unit Price Amount

(二)根据以下内容,填写一份汇票

WE HEREBY ISSUE OUR IRREVOCABLE DOCUMENTARY LETIER OF CREDIT NO.45BC123 DATED JAN.02,2003 A V AILABLE WITH US BY PAYMENT A T 30 DAYS AFTER RECEIPT OF FULL SET OF DOCUMENTS AT YOUR COUNTERS FOR ACCOUNT

OF STG99,012.52.

INVOICE NO.:NL0321

ISSUING BANK : THE CHARTERED BANK LONDON,ENGLAND

BENEFICIARY : CHINA NATIONAL LIGHT INDUSTRIAL PRODUCTS IMP. & EXP. CORP.

GUANGDONG BRANCH,NO.87 THE BUND,GUANGZHOU,CHINA APPLICANT : LONDON EXPORT CO.,LTD.

P.O. BOX 56387 LONDON,BENGLAND

NEGOTIATING BANK : BANK OF CHINA

DA TE OF NEGOTIATION : FEB. 23,2003

Drawn under

信用证第号

L/C NO.

日期年月日

dated

按息付款

Payable with interest @% per annum

号码汇票金额中国广州年月日No. Exchange for Guangzhou,China19

见票日后(本汇票之副本未付)付

At sight of this FIRST of Exchange (second of exchange being unpaid) Pay to the order of 或其指定人金额

the sum of

此致

To:

三根据给出的信用证条款和其他资料缮制提单。

A.信用证条款

Issuing Bank:METITA BANK LTD FIN – 00020 METITA ,FINLAND

Term of Doc.Credit :IRREVOCABLE

Credit Number:KHL02-22457

Date of Issue:020505

Expiry:Date 020716 Place CHINA

Applicant:ABC CORP.AKEKSANTERINK AUTO

P.O.BOX 9,FINLAND

Beneficiary:GUANGDONG RONGHUA TRADE CO.,LTD

168 DEZHENG ROAD SOUTH ,GUANGZHOU,CHINA

Amount:Currency USD Amount 38,400.00

Pos./Neg.Tol.(%) :5/5

Available with /by :ANY BANK IN ADVISING COUNTRY BY NEGOTIATION Partial Shipments:Not Allowed

Transshipment :Allowed

Loading in Charge :GUANGZHOU

For Transport to:HELSINKI

Shipment Period :AT THE LATEST JUL Y 16,2002

Descript .of Goods:9,600PCS OF WOMEN’S SWEATERS

UNIT PRIGE :USD4.00/PC

OTHER DETALLS AS PER S/C NO.98SGQ468001

PACKING:12PCS/CTN (INCOTERMS 2000)

Documents Required :FULL SET OF CLEAN ON BOARD MARINE BILLS OF

LADING .MADE OUT TO THE ORDER OF ISSUING BANK,

MARKED FREIGHT PREPAID AND DDC COLLECT, SHOWING

INSURANCE PREMIUM, SURCHARGE AND TRADE TERMS

NOTIFY APPLICANTN

Additional Cond:: 1.T.T. REIMBURSEMENT IS PROHIBITED.

2.ALL DOCUMENTS MUST BE MARKED THE S/C NO.AND

L/C NO..,

B. 其他资料。

提单号码:KTT0245678 货物总毛重:6,500KGS

货物总尺码:25CBMS 唛头:ABC/HELSINKI/ NO. 1-800

转运港:香港船名:第一程DONGFANG 第二程MAKIS V. 002 集装箱号码:SIHU365487-2(20’) SEAL NO. 123456

保险费:USD100.00 附加费:USD300.00

提单签发地点:广州提单签发日期:2002年7月10日

承运人:ABC SHIPPING CO. 承运人代理人: XYZ SHIPPING CO.

提单签发人:李四提单装船批准日期:2002年7月11日

货物由托运人负责装箱、计数和封箱,整箱装,由集装箱堆场至集装箱堆场。

BILL OF LADING

No.&Marks&Nos.

age & Description of Goods

Gross Weight Kgs asurement m ⒊

Date

By ………………………………

(TERMS CONTINUED ON BANK HER

相关文档
相关文档 最新文档