BENEFICIARY 59:SHANGHAI ANDY TRADING CO>.,LTD>.
NO>.126 WENHUAROAD,SHANGHAI,CHINA>.
AMOUNT 32B
AVAILABLE WITH/BY 41D
BY NEGOTIATION
DRAFTS AT… 42C
DRAWEE 42A
PARTIAL SHIPMTS 44P
TRANSSHIPMENT 44T
PORT OF LOADING 44E
PORT OF DISCHARGE 44F
LATEST SHIPMENT 44C
:CURRENCY EUR AMOUNT 27,000>.00 :ANY BANK IN CHINA, :30 DAYS AFTER SIGHT :HAZZE AB HOLDING :NOT ALLOWED :NOT ALLOWED :TIANJIN, CHINA :STOCKHOLM,SWEDEN :130615 DESCRIPTION OF GOODS 45A:1000 PCS OF GAS DETECTORS AS PER S/C NO>.AD13007
CIF STOCKHOLM
PACKED IN CARTONS
DOCUMENTS REQUIRED 46A:+COMMERCIAL INVOICE SIGNED MANUALLY IN
TRIPLICATE>.
+PACKING LIST IN TRIPLICATE>.
+CERTIFICATE OF CHINESE ORIGIN CERTIFIED BY
CHAMBER OF COMMERCE>.
+INSURANCE POLICY/CERTIFICATE IN DUPLICATE
ENDORSED IN BLANK FOR 110% INVOICE VALUE,
COVERING ALL RISKS AND WAR RISK OF CIC OF PICC
(1/1/1981)
+FULL SET OF CLEAN ‘ON BOARD’ OCEAN BILLS OF
LADING MADE OUT TO ORDER MARKED FREIGHT
PREPAID AND NOTIFY APPLICANT>.
ADDITIONAL CONDITION 47A:+ALL PRESENTATIONS CONTAINING DISCREPANCIES
WILL ATTRACT A DISCREPANCY FEE OF USD50>.00>. THIS
CHARGE WILL BE DEDUCTED FROM THE BILL AMOUNT
WHETHER OR NOT WE ELECT TO CONSULT THE
APPLICANT FOR A WAIVER>.
CHARGES 71B:ALL CHARGES AND COMMISSIONS ARE FOR ACCOUNT OF
BENEFICIARY>.
CONFIRMATION INSTRUCTION 49:WITHOUT
【答案与解析】
本题主要考察受益人根据合同和《UCP 600》对信用证的审核。经审核,信用证存在如下问题:
1>.信用证开立日期(DATE OF ISSUE)有误,应将“130612”改为“130531”。
解析:合同规定信用证需在2013年5月31日之前开立,信用证中的开立日期为2013年6月12日,不符合合同的规定,应予修改,可改为2013年5月31日。
2>.信用证有效期(DATE OF EXPIRY)有误,应将“130630”改为“130815”。 解析:合同规定信用证议付有效期为装运期后15天,而合同中规定的装运期为7月份,但是信用证中的有效期却为2013年6月30日,与合同不符,应将信用证的有效期延期至2013年8月15日。
3>.信用证的到期地点(PLACE OF EXPIRY)有误,应将“SWDDEN”改为“CHINA”。 解析:信用证中规定的到期地点为“SWEDEN”,即开证行所在地,对受益人来说较为不利,容易造成交单失效,建议改成“CHINA”。
4>.开证申请人(APPLICANT)名称填写错误,应将“HAZZE ABC HOLDING,BOX 1237,S-111 21 HUDDINGE,SWEDEN”改为“HAZZE AB HOLDING,BOX 1237,S-111 21 HUDDINGE,SWEDEN”。
解析:信用证中的开证申请人应填写合同中买方的名称及地址,并保证准确无误。