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Pay issuing bank's attentions to the following:

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更多“Pay issuing bank's attentions to the following:”相关的问题

第1题

What is called "pre-debit notification"? The Issuing Bank requires the Reimbursing Bank to
provide it with notice of when they will be debiting the Issuing Bank's account to pay a reimbursement claim. This notice is defined as ______. This requirement is placed in the Reimbursement Authorisation and in the credit to indicate the requirement for pre-debit notification from the Reimbursing Bank to the Issuing Bank and number of day within which the issuing bank has to be notified.
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第2题

If the goods are in order,but the documents are not correct,the issuing bank has the rights to refus
e to pay the seller.( )
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第3题

The beneficiary must instruct the issuing/nominated bank to pay the reserve part of the credit proce
eds to his own assignee/supplier. This request is worded in the form of an ______ which should be authenticated by another bank.
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第4题

Disposition of discrepant documents by the nominated bank in the following six methods: (1) ()Retu

Disposition of discrepant documents by the nominated bank in the following six methods:

(1) ( )Return just the discrepant documents for correction and resubmission within the

validity of the Credit and within the latest date for presentation of above document.

(2) ( )Upon authorization by the presenter, forward the discrepant documents on "an approval" basis under documentary credit to the Issuing Bank for review and approval or rejection of the documents.

(3) ( )If so authorised by the presenter, cable, telex, or telecommunicate with the issuing bank for authority to pay, accept, or negotiate against such discrepant documents.

(4) ( )Remittance of Documents for Collection.

(5) ( )Call for an indemnity from the beneficiary or from his bank, pay, accept or negotiate on the undertaking that any payment, acceptance or negotiation made, will be refunded by the party giving such indemnity together with interest and related charges, if the issuing bank refuses to provide reimbursement.

(6) ( )With the agreement of the beneficiary, pay, accept or negotiate "under reserve", i. e. the bank retains the right of recourse against the beneficiary if the issuing bank refuses to provide reimbursement against documents that do not meet the credit requirements.

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第5题

If a reimbursing bank issues a Reimbursement Undertaking, the Undertaking must list all of the follo
wing except

(1)( )latest date for presentation of a claim including any usance period.

(2)( )terms and conditions of the Undertaking.

(3)( )the letter of credit expiry date.

(4)( )party to pay the Reimbursement Undertaking fee, if other than the issuing bank.

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第6题

Claim reimbursement by means of a Time draft A Credit available by acceptance 1.Name of Issuing Ba

Claim reimbursement by means of a Time draft

A Credit available by acceptance

1.Name of Issuing Bank Place and date of issue

Dresdner Bank Hamburg, 15 April, 200 x

To: China National Light Indus- This Credit is advised through

trial Products Imp. & Exp. ICBC, Tianjin

Corp., Tianjin Branch,

Tianjin

Dear Sirs,

By order and for account of the applicant, we hereby issue an Irrevocable Documentary Credit No. H169087 for USD25,730.00 to expire on 31 May, 200× at Tianjin available with The Industrial and Commercial Bank of China, Tianjin by acceptance against beneficiary's draft at 90 days sight drawn on ICBC, Tianjin (advising bank) and the documents detailed herewith:

______________________________________________________________________________

Partial shipments not allowed. Transhipment allowed.

All charges outside Issuing Bank's country including acceptance commission are for account of beneficiary.

______________________________________________________________________________

If this Credit shall be duly accepted on presentation to drawee bank and duly honoured at maturity.

______________________________________________________________________________

Bank-to-Bank Instructions:

Accepting bank is to draw their time draft on Bank of America, New York payable at a fixed future time i. e. maturity of accepted beneficiary's drafts.

Reimbursements under this Credit are subject to the Uniform Rules for Bank-to-Bank Reimbursements under Documentary Credit, ICC Publication No. 725.

2.

From: Dresdner Bank, Hamburg

To: Bank of A.merica, New York

Reimbursement Authorisation

We hereby issue a Reimbursement Authorisation to you to accept and pay a time draft drawn on you subject to Uniform Rules for Bank-to-Bank Reimbursements under Documentary Credits, ICC Publication No. 725 upon receipt of such draft presented by the Claiming Bank——The Industrial and Commercial Bank of China, Tianjin in accordance with the following:

(1)Credit number: H169087

(2)Currency and amount: USD25, 730. 00

(3)Additional amounts payable: no

(4)Claiming Bank: ICBC, Tianjin

(5)Parties responsible for charges: beneficiary

(6)Tenor of draft: maturity of accepted beneficiary's draft

(7)Drawer: ICBC, Tianjin

(8)Party responsible for acceptance commission: beneficiary

3.

beneficiary's draft

Due 3 August, 200×

Exchange for USD25, 730. 00 Tianjin, 4 May, 200×

At 90 days sight pay to the order of

Ourselves the sum of

US dollars twenty five thousand seven hundred and thirty only

Drawn under Dresdner Bank, Hamburg L/C No. H169087 dated 15 April, 200×.

To The Industrial and Commercial

Bank of China, Tianjin For China National Light

Industrial Products Imp.

& Exp. Corp., Tianjin

Branch, Tianjin

signature

ACCEPTED

5 May, 200×

to mature

3 Aug., 200×

For

The Industrial and

Commercial Bank of

China, Tianjin

signature

4.Please fill the following particulars in two blank forms to write a Letter of Reimburse Claim and to issue a Time Draft:

(1)Addressee or drawee: Bank of America, New York

(2)Sender or drawer: The Industrial and Commercial Bank of China, Tianjin

(3)Amount: USD25,730.00

(4)Date of Letter of Reimbursement Claim and Draft: 24 July, 200×

(5)Predetermined reimbursement date: 3 Aug., 200×

(6)Payee: ICBC, Tianjin

(7)Accounting procedure: crediting our Head Office account with you under your telex advice to us quoting our Ref. No. BP87654321.

(8)Drawn clause: Drawn under Dresdner Bank, Hamburg L/C No. H169087 dated 15 April, 200×

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第7题

The Confirming Bank receives documents on Friday 02 April and finds them to be in order on 05 April.
Tenor is 30 days after the bill of lading date. The bill of lading is dated 01 April, and the Confirming Bank agrees to pay the beneficiary immediately. On what date would the Confirming Bank expect to receive funds from the Issuing Bank? (There are no bank holidays and Saturdays and Sundays are not banking days.)

(1)( )05 April (2)( )12 April

(3)( )30 April (4)( )03 May

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第8题

A documentary credit advised to a beneficiary payable at sight calls for documents to include an inv
oice made out in the name of the applicant. Documents presented to the egotiating bank by the beneficiary include a customs invoice but not commercial invoice. All other terms and conditions have been met. What action should the negotiating bank take?

(1)( )Reject the documents as non - complying.

(2)( )Refer to the issuing bank for authority to pay.

(3)( )Return the documents for amendment by the beneficiary.

(4)( )Pay the documents as fully complying with the terms of the credit.

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第9题

A reimbursing bank has received a valid claim under its reimbursement undertaking and is instructed
by the issuing bank NOT to honour the claim. In accordance with the URR725, the reimbursing bank should:

(1)( )request the claiming bank to cancel the claim.

(2)( )instruct the claiming bank to contact the beneficiary.

(3)( )honour the claim and debit the issuing bank's account.

(4)( )dishonour the claim as per the issuing bank's instruction.

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第10题

An L/C calls for a "B/L to be issued to order..." and a certificate of origin. The negotia
ting bank pays documents which include a certificate of origin showing "to order" in the consignee field. The issuing bank insists that the applicant should have been shown as the consignee. Do you agree with

(1)( ) the issuing bank's idea.

(2)( ) the negotiating bank's idea.

(3)( ) both ideas are acceptable in accordance with ISBP199.

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第11题

______ is a credit that is added another bank's (usually the advising bank) confirmation to the

______ is a credit that is added another bank's (usually the advising bank) confirmation to the beneficiary. This constitutes a definite responsibility of ______ in addition to the undertaking of the issuing bank.

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