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在转口贸易下,出口交单往往受制于前端采购的到单时间,因此,当前后端均采用信用证结算时,交单时间的合理安排就格外重要。案例分析受益人:W公司开证行:韩国D银行开证金额:USD1616409.99交单行:M银行XX分行信用证到期日及地点:150226AT THE COUNTER 0F NEGO BANK(于2015年2月26日议付行柜台到期)最迟装期:2015年2月5日交单期:装运日后21天2015年2月26日,客户W公司前来办理出口交单,单据资料包括信用证原件、出口交单面函、发票、受益人证明,金额分别为USD582900.92和USD1033509.07。该笔业务为先收后
Under the re-export trade, export bills are often subject to the front-end procurement to a single time, therefore, the current back-end are settled by letter of credit, the reasonable arrangements to pay the single time is particularly important. Case Study Beneficiary: W Company Issuing Bank: Korea D Bank Issuing Amount: USD1616409.99 Paying Bank: M Bank XX Branch Credit L / C and Location: 150226AT THE COUNTER 0F NEGO BANK (as of February 26, 2015 Negotiable Bank counter expired) The latest installment: February 5, 2015 Billing period: 21 days after shipment February 26, 2015, the customer W company to export for export orders, documentary information including the original letter of credit, Export pay one-sided letter, invoice, proof of beneficiary, the amount was USD582900.92 and USD1033509.07. The business for the first post-harvest