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The beneficiary must instruct the issuing/nominated bank to pay the reserve part of the credit proce
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A.A. the beneficiary must pay the proceeds in order to get documents from the bank
B.B. the applicant must pay the proceeds in order to get documents from the bank
C.C. the bendiciary must tender the document to the bank in order to get the goods
D.D. the applicant must tender the document to the bank in order to get the goods
The requirements of presentations are as follows:
(1)Electronic records presented, the records must state a ______ for presentation of the electronic records.
(2)Both electronic records and paper documents presented, the documents must also state a ______ for presentation of the paper documents.
(3)If an eUCP Credit allows for presentation of one or more electronic records. the beneficiary is responsible for providing a ______ to the Bank to which presentation is made signifying when the presentation is ______.
(4)Each presentation under an eUCP Credit must ______ the eUCP Credit under which it is presented.
(5) An electronic record must be ______.
Which of the following statements is correct when an assignment (款项让渡) of proceeds has been effected under a documentary credit issued in accordance with UCP 600?
(1)( )The assignee must present complying documents to receive payment.
(2)( )The assignee will receive payment of the proceeds directly from the applicant.
(3)( )The value of the documentary credit is reduced by the amount of the assignment.
(4)( )The beneficiary has assigned its rights to the stated amount of proceeds to the assignee.
根据所给信用证回答问题
FROM: INDUSTRIAL BANK OF JAPAN, LIMITED, TOKYO
TO: BANK OF CHINA, SHANGHAI
SQUENCE OF TOTAL: 27:1/1
FORM OF DOC. CREDIT: 40A: IRREVOCABLE
DOCU. CREDIT NO.: 20:ILC136107800
DATE OF ISSUE: 31C: 20111015
DATE & PLACE OF EXP.: 31D: 20111215 INTHE COUNTRY OF BENEFICIARY
APPLICANT: 50: ABC COMPANY, 1-3 MACH1 KU STREET, OSAKA, JAPAN
BENEFICIARY: 59: SHANGHAI DA SHENG CO., LTD. UNIT C 2/F JINGMAO TOWER,
SHANGHAI ,CHINA
CURRENCY CODE, AMOUNT:32B: USD21 240.00
AVAILABLE WITH/.BY ... 41D: BANK OF CHINA BY NEGOTIATION
DRAFTS AT...: 42C: SIGHT FOR 100PCT INVOICE VALUE
DRAWEE: 42D: THE INDUSTRIAL BANK OF JAPAN,HEAD OFFICE
PARTIAL SHIPMENT: 43P: ALLOWED
TRANSSHIPMENT: 43T: NOT ALLOWED
LOAD/DISPATCH/TAKING :44A: SHANGHAI
TRANSPORTATION TO...: 44B: OSAKA/TOKYO
LATEST DATE OF SHIPMET: 44C: 20111130
DESCRIP GOODS/SERVICE: 45A: 4000 PCS “DIAMOND” BRAND CLOCK ART NO. 791 AT
USD5.31 PER PIECE CIF OSAKA/TOKYO PACKED IN NEW CARTONS
DOCUMENTS REQUIRED: 46A:
IN 3 FOLD UNLESS OTHERWISE STIPULATED:
1. SIGNED COMMERCIAL INVOICE.
2. SIGNED PACKING LIST.
3. CERTIFICATE OF CHINESE ORIGIN.
4. BENEFICIARY'S CERTIFICATE STATING THAT ONE SET OF ORIGINAL SHIPPINGDOCUMENTS INCLUDING ORIGINAL "FORM A" HAS BEEN SENT DIRECTLY TO THEAPPLICANT.
5. *COPY OF TELEX FROM APPLICANT TO SUPPLIERS APPROVING THE SHIPPINGSAMPLE.
6. INSURANCE POLICY OR CERTIFICATE ENDORSED IN BLANK FOR 110 PCT OF CIFVALUE, COVERING W.RA RISKS AND WAR RISKS.
7. 2/3 PLUS ONE COPY OF CLEAN "ON BOARD" OCEAN BILLS OF LADING, MADE OUT TOORDER AND BLANK ENDORSED MARKED "FREIGHT PREPAID" AND NOTIFY APPLICANT.
ADDITIONAL CONDITION:47A:
ALL DRAFTS DRAWN HERE UNDER MUST BE MARKED “DRAWN UNDER INDUSTRIALBANK OF JAPAN, LTD., HEAD OFFICE, CREDIT NO. ILC 136107800 DATED OCT. 15,2011”ANDTHE AMOUNT OF SUCH DRAFTS MUST BE ENDORSED ON THE REVERSE OF THIS CREDIT.T/T REIMBURSEMENT IS NOT ACCEPTABLE.
DETAILS OF CHARGES 71 B: ALL BANKING CHARGES OUTSIDE JANPAN ARE FORBENEFICIARY'S ACCOUNT.
PRESENTATION PERIOD 48: DOCUMENTS MUST BE PRESENTED WITHIN 15 DAYS AFTERTHE DATE OF ISSUANCE OF THE SHIPPING DOCUMENTS BUT WITHIN THE VALIDITY OFTHE CREDIT.
CONFIRMATION 49: WITHOUT.
SPECIAL INSTRUCTION TO THE ADVISING BANK: ALL DOCUMENTS INCLUDINGBENEFICIARY'S DRAFTS MUST BE SENT BY COURIER SERVICE DIRECTLY TO OUR HEADOFFICE. MARUNOUCHI, CH1YODA-U, TOKYO, JAPAN 100, ATTN. INTERNATIOANL BUSINESSDEPT. IMPORT SECTION, IN ONE LOT. UPON OUR RECEIPT OF THE DRAFTS ANDDOCUMENTS, WE SHALL MAKE PAYMENT AS INSTRUCTED BY YOU.
SEND. TO REC, INFO. 72: ACKNOWLEDGE RECEIPT.
TRAILER ORDER IS
IT IS SUBJECT TO THE UNIFORM CUSTOMS AND PRACTICE FOR DOCUMENTARYCREDITS (2007 REVISION),INTERNATIONAL CHAMBER OF COMMERCE PUBLICATIONNO.600.
根据上述信用证内容,回答下列问题:
(1)本信用证的种类为(至少四种)______。
(2)该信用证的有效期、交单期分别为______。
(3)如果已装船提单的签发日为11月15日,则受益人最迟应在几月几日向银行交单?
(4)该信用证项下,汇票的种类是什么?汇票的付款人是______。
(5)受益人应提交的单据种类及其份数为______。
(6)根据UCP600的有关规定,对标有“*”符号的部分内容进行分析,并指出这种条款对受益人的影响。
Expiry date Beneficiary Discrepancy Letter of credit Implement
(1)( ) the Reimbursing Bank (2)( ) the Confirming Bank
(3)( ) the Issuing Bank (4)( ) the beneficiary
(1)( ) Was partial shipment allowed in the credit?
(2)( ) Did the advising bank notify the issuing bank?
(3)( ) Both.
(4)( ) None.
(1)( ) Transferable
(2)( ) Back-to-Back
(3)( ) Standby
(4)( ) Revolving
A.A. buyer
B.B. issuing bank
C.C. confirming bank
D.D. advising bank