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2016单证员考试缮制与操作真题及答案.doc

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二、根据已知资料指出下列进口单据中错误的地方并改正,请在答题纸上作答。
1.提单(每错 1 分,共 10 分)
亚洲保险
海 洋 货 物 运 输 保 险 单
一、根据已知资料回答以下单选题,请在答题纸上作答(每题 2 分,共 40 分)
1-5:BACBA6-10:CBDAB11-15:ABCDA16-20:DABCD
2. 保险单中错误的地方有:
三、根据第一大题的合同和已知资料缮制单据。(共 40 分)
1 汇票:(共 14 分)
2.受益人证明:(共 10 分)
3.商业发票(每空 1 分,共 16 分)
2016单证员考试缮制与操作真题及答案 一、根据已知资料回答以下单选题,请在答题纸上作答(每题 2 分,共 40 分) SALES CONFIRMATION SUNSHINE TRADING CORP. Contract The Seller: No. STE0518 108 Nanjing Road Tianjin,China Date: July 15,2015 The Buyer: JOYFAIR TRADING CORP. Rm9008 Tower Building NY,USA Description of Goods Quantity Unit Price Amount 100% Cotton Shirt Style No. KSN948 As per the Order No.2015110E CIFC5 NEW YORK Colour: Black Pink Blue White TOTAL 1000PCS 1000PCS 1000PCS 1000PCS 4000PCS USD19.99/PC USD79960.00 USD79960.00 Total Amount: SAY U.S.DOLLARS SEVENTY NINE THOUSAND NINE HUNDRED SIXTY ONLY Packing: 20pcs are packed in one export standard carton Time of Shipment: Before the end of Sept.2015 Loading Port and Destination: From Tianjin, China to New York, USA Partial Shipment: Not Allowed Transshipment: Allowed Insurance: To be effected by the seller for 110% invoice value covering All Risks and War Risk Terms of Payment: By L/C at 30 days after sight, reaching the seller before Aug. 15,2015, and remaining valid for negotiation in China for further 15 days after the effected shipment. L/C must mention this contract number. L/C advised by BANK OF CHINA. All banking Charges outside China (the mainland of China) are for account of the Drawee. Documents: + Signed commercial invoice in triplicate. + Full set (3/3) of clean on board ocean Bill of Lading marked “Freight Prepaid” made out to order blank endorsed notifying the applicant. + Insurance Policy in duplicate endorsed in blank.
+ Packing List in triplicate. + Certificate of Origin issued by China Chamber of Commerce Signed by: THE SELLER: THE BUYER: SUNSHINE TRADING CORP. JOYFAIR TRADING CORP. Young Lee 1.根据合同,合理的信用证开证日期应为 A. Aug.15, 2015 15,2015 D. Before the end of Sept. B. the beginning of Aug.C. July 2. 如果提单日期为Sept.15, 2015,信用证的有效期应为 A. Sept.30, 2015 B. Sept.15, 2015 C. July 15,2015 D. Aug.15, 2015 3. 根据合同,信用证的到期地点应为 A.开证申请人所在地 目的港 4. 根据合同,信用证的开证申请人应为 B.货物所在地 C.受益人所在地 D. A. SUNSHINE TRADING CORP. B. JOYFAIR TRADING CORP. C. BANK OF CHINA D. BANK OF AMERICA 5. 根据合同,信用证的受益人应为 A. SUNSHINE TRADING CORP. B. JOYFAIR TRADING CORP. C. BANK OF CHINA D. BANK OF AMERICA 6. 根据合同,信用证金额应为 A. USD19.99 B. USD19.90 C. USD79960 D. USD79690 7. 根据合同,信用证的币别应为 A. 欧元 B.美元 C.英镑 D.人民币 8. 根据合同,信用证的付款期限应为 A.即期 B.出票后 30 天 C.提单日期后 30 天 D. 见票后 30 天 9. 根据合同,信用证项下汇票的付款人应为 A.开证行 B.开证申请人 C.受益人 D.通知行 10. 根据合同,信用证关于分批装运和转船的规定应为 A.允许分批不允许转船 B.不允许分批允许转船 C.允许分批允许转船 D.不允许分批不允许转船 11. 根据合同,信用证的装运港应为 A.天津 B. 纽约 C. 洛杉矶 D. 南京
12. 根据合同,信用证的目的港应为 A.天津 B. 纽约 C. 洛杉矶 D. 南京 13. 根据合同,信用证的装运日期规定正确的是 A. before Sept.15, 2015 B. before Sept.1, 2015 C. before Sept.30, 2015 D. Sept.30, 2015 14. 根据合同,信用证项下保险单的险别应为 A.平安险 B.平安险加战争险 C.一切险 D.一切险加战争险 15. 根据合同,信用证的贸易术语应为 A.CIF B.FOB C.CFR D.CIP 16. 根据合同,信用证项下保险单的保险加成应为 A.发票金额 B.合同金额 C.合同金额的 110% D.发票金额的 110% 17. 根据合同,信用证项下海运提单的抬头应为 A.空白指示 B.记名指示 CORP. C.TO BEARER D. SUNSHINE TRADING 18. 根据合同,信用证项下原产地证明的出单人应为 A.受益人 B.出口地商会 C.商检机构 D.出口地海关 19. 根据合同,信用证项下商业发票的签署人应为 A. 出口地商会 B.商检机构 C.受益人 D.开证申请人 20. 根据合同,承担信用证开证费用的人应为 A.议付行 B.受益人 C.开证行 D.开证申请人 二、根据已知资料指出下列进口单据中错误的地方并改正,请在答题纸上作答。 (每错 1 分,共 20 分) 已知资料: 卖方:NICHIMEN CORPORATION 2-2 NAKANOSHIMA 3-CHOME, KITA-KU OSAKA, JAPAN 买方:TIANJIN FUTAI INTERNATIONAL IMP. & EXP.CO 8TH FLOOR FOREIGN TRADE BUILDING 200 NANJING ROAD, TIANJIN, CHINA 买方名称缩写:TJFT 货物描述:100 PCT COTTON GREIGE PRINT CLOTH 数量:ABOUT 200,000 YDS 包装:IN SEAWORTHY BALES, 200 YDS/BALE G.W: 140KGS/BALE N.W: 138KGS/BALE MEAS.:30× 40×
50CM/BALE 汇 票金额: USD84,000.00 合同号:JQ515 发票号:NT01FF004 贸易术语:CIF TIANJIN 装运港:NAGOYA 保险单及提单日期:APR. 30, 2015 船名和航次:SARA, V.6A 提单 号: DMDF2 390 船长: DAVID 合同规定投保险别为 ICC(A)和 WAR RISK 信用证要求提交两份正本清洁已装船海运提单,做成凭指示,并通知信用证申请 人。 1. 提单(每错 1 分,共 10 分) SHIPPER NICHIMEN CORPORATION 2-2 NAKANOSHIMA 3-CHOME, KITA-KU OSAKA, JAPAN BILL OF LADING B/L NO.: DMDF3290 CONSIGNEE COSCO TIANJIN FUTAI INTERNATIONAL IMP. & EXP.CO NOTIFY PARTY TIANJIN FUTAI INTERNATIONAL IMP. & EXP.CO 8TH FLOOR FOREIGN TRADE BUILDING 200 NANJING ROAD, TIANJIN, CHINA Pre-carriage by Place of receipt Ocean Vessel Voy. No. Port of Loading NAGOYA SARA, V.6A Port of Discharge Final Destination TIANJIN 中国远洋运输公司 CHINA OCEAN SHIPPING COMPANY ORIGINAL Freight payable at TIANJIN Number original TWO Marks & Nos. Container Seal No. Number and kind of packages Gross Weight Measurement (KGS) (M3) Description of goods
TJFT JQ515 TIANJIN BALE NO. 1-UP 20 BALES 140 120 GREIGE PRINT SHIRT TOTAL NUMBER OF CONTAINERS OR PACKAGES (IN WORDS) TWO HUNDRED FREIGHT & CHARGES FREIGHT COLLECTED Date and Place of issue MAY. 1, 2015, NAGOYA Signed for the Carrier DAVID 2. 保险单(每错 1 分,共 10 分) 发票号码 保险单号次 亚洲保险 Asia Insurance (Invoice No.) No.) NT01FF004 DMB2865 (Policy 海 洋 货 物 运 输 保 险 单 MARINE CARGO TRANSPORTATION INSURANCE POLICY 被保险人: (Insured) TIANJIN FUTAI INTERNATIONAL IMP. & EXP.CO 保险货物项目 包装 单位 数量 保险金额 Descriptions of Packing Unit Quanti Goods ty Amount Insured
GREIGE PRINT SHIRT IN BALE BALE 200,000 USD 84000.00 承保险别 (Conditions) 货物标记 (Marks of Goods) ICC(C) AND WAR RISK AS PER ICC(1983) TJFT JQ515 NAGOYA NO. 1-200 总保险金额: (Total Amount Insured) SAY U.S.DOLLARS EIGHTY FOUR THOUSAND ONLY 保费 载运输工具 开航日期 Premium AS ARRANGED Per conveyance S.S SASA, V.6A Slg. on or abt AS PER B/L DATE 起运港 Form 赔款偿付地点 NAGOYA (Claim payable at) NAGOYA 日期 Date 地址: Address: MAY.5, 2015 目的港 To 在 at TIANJIN NAGOYA 三、根据第一大题的合同和已知资料缮制单据,请在答题纸上作答(共 40 分) 制单资料: 发票号:EXP2015001 发票日期: 2015 年 9 月 20 日贸易方 式:一般贸易 装船日期:2015 年 9 月 20 日 船名、航次号:"HAIHE" V. 333 提单 号: TA501 9E HS 编码: 6203. 3200
授权签署人:Young 原产地国: 中华人民共 和国信用证 号: DBS963/FR 开证行:BANK OF AMERICA 开证日期: 2015 年 8 月 5 日运输标 志: JOYFAIR 2015110E NEW YORK C/No.1-200 信用证要求: +BENEFICIARY ’ S CERTIFICATE CERTIFYING THAT ONE COPY OF EACH DOCUMENT HAS BEEN SENT TO APPLICANT BY FAX/EMAIL WITHIN 10 DAYS FROM THE DATE OF TRANSPORT DOCUMENT. +DOCUMENTS UNDER THIS CREDIT, INCLUDING DRAFT IF ANY, MUST BE MADE OUT IN ENGLISH LANGUAGE AND SHOW THIS LC NO. 参考答案 一、根据已知资料回答以下单选题,请在答题纸上作答(每题 2 分,共 40 分) 1-5:BACBA 6-10:CBDAB 11-15:ABCDA 16-20:DABCD 二、根据已知资料指出下列进口单据中错误的地方并改正。(每错 1 分,共 20 分) 1. 提单中错误的地方有: 1. 提单号不对,应为:DMDF2390 2. 收货人不对,应为:TO ORDER 4. Marks 中的关于件号的描述不对,应为:BALE NO. 1-200 6. 货描不对,应为:100 PCT COTTON GREIGE PRINT CLOTH 7. 毛重总重量不对,应为:140000 8. 总体积不是 120,应为:60 9. 运费支付不应为 FREIGHT COLLECTED,应为:FREIGHT PREPAID 10. 提单日期不对,应为:APR. 30, 2015 11. 提单上数量大写错误,应为 SAY ONE THOUSAND BALES ONLY 2. 保险单中错误的地方有: 1. 被保险人名称不对,应为:NICHIMEN CORPORATION 2. 保险货物项目不对,应为:100 PCT COTTON GREIGE PRINT CLOTH 3. 单位(Unit)不对,应为:YD 保单上的包装及数量信息应该填最大包装件数,和提单一致,因此单位为BALE 没 错。
数量(Quantity)错,应为 1000 4. 保险金额不对,应为:USD 92,400.00 5. 承保险别不应是 ICC(C),应为:ICC(A) 6. 货物标记中的目的港不是 NAGOYA,应为:TIANJIN 货物标记中的包装件数也错了,应为 NO. 1-1000 7. 总保险金额不对,应为:SAY U.S.DOLLARS NINTY TWO THOUSAND FOUR HUNDRED ONLY 8. 载运工具船名不对,应为:SARA 9. 赔款偿付地点不对,应为:TIANJIN 10. 保险单日期不对,应为:APR.30, 2015 三、根据第一大题的合同和已知资料缮制单据。(共 40 分) 1 汇票:(共 14 分) BILL OF EXCHANGE Drawn under BANK OF AMERICA L/C N0. DBS963/FR Dated AUG. 05, 2015 No. EXP2015001 Exchange for USD79,960.00 Tianjin,China Date SEPT. 20,2015 At 30 Days after sight of this FIRST of Exchange(Second of Exchange being unpaid) pay to the order of BANK OF CHINA,TIANJIN BRANCH the sum of SAY U.S.DOLLARS SEVENTY NINE THOUSAND NINE HUNDRED SIXTY ONLY To: BANK OF AMERICA SUNSHINE TRADING CORP. YOUNG 2. 受益人证明:(共 10 分) SUNSHINE TRADING CORP. 108 Nanjing Road Tianjin,China BENEFICIARY’S CERTIFICATE(1 分) TO: JOYFAIR TRADING CORP. (1 分) LC NO.: DBS963/FR (1 分 ) CONTRACT NO. STE0518 (1 分) WE HEREBY TO CERTIFY (1 分 )THAT ONE COPY OF EACH DOCUMENT
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