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汇票操作习题

实务操作题
1. 国际出口公司(International Exporting Co.)出口机器设备和零部件给环球进口公司(Globe Importing Co.)达成协议,出售价值100,000 美元的商品。

国际出口公司在2007年4月20日开出汇票,要求环球进口公司在见票后30天付款给XYZ银行。

环球进口公司于2007年4月30日承兑了该汇票。

2. 2000年5月6日天津M贸易公司(Tianjin.M
E.&I.Co.,No.1023,Nanjing Road(East),Tianjin,China)出口装运5000打,价值50,000美元的纯棉男式(Pure Cotton Men’s Shirts, Art.No.9-71323,Size Assortment:S/3 M/6 and L/3 per doz.)到香港N贸易有限公司(Hongkong N Trading Co.Ltd,21Locky Road, Hongkong),委托中国银行天津分行办理托收,交单条件为D/P即期,并指定要求中国银行香港分行作为代收行,做指示性抬头。

(1) 请根据条件完成跟单汇票的填写:(14分)Exchange for()()
()this Exchange pay to the order of ()The sum of ()
Drawn against shipment 5000 doz.Pure Cotton Men’s shirts,Art.No.9-71323,from Tianjin to Hongkong for collection
To( ) For ( )
3、根据下列内容填制汇票一份
ISSUING BANK: DEUTSCHE BANK (ASIA) HONGKONG
L/C NO. AND DATE: 756/05/1495988, NOV. 20, 2007 AMOUNT: USD19,745.00
APPLICANT: MELCHERS (H.K) LTD., RM.1210, SHUNTAK CENTRE, 200 CONNAUGHT ROAD, CENTRAL, HONGKONG BENEFICIARY: CHINA NATIONAL ARTS AND CRAFTS IMP. & EXP. CORP. GUANG DONG (HOLDINGS) BRANCH.
WE OPENED IRREVOCABLE DOCUMENTS CREDIT AVAILABLE BY NEGOTIATION AGAINST PRESENTATION OF THE DOCUMENTS DETAILED HEREIN AND OF BENEFICIARY’S DRAFTS IN DUPLICATE AT SIGHT DRAWN ON OUR BANK. INV. NO.: ITBE001121
DATE OF NEGOTIATION: DEC. 20, 2007

Drawn
under (1)
信用证第号
L/C No (2)
日期
Dated (3)
按息付款
Payable with interest @....…………....%
per annum
号码汇票金额
中国,广年月日
No: ………….Exchange for
(6)
见票
日后(本汇票之副本未付)At……..…………………(7) Sight of this FIRST
of Exchange (Second of exchange being unpaid)
pay to the order of BANK OF CHINA, TIANJIN BRANCH
或其指定人
付金额
The sum of(8) To (9)
………………………………………..
(10)。

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