【正文】
eyond our control that interrupts our business(collectively, an “Interruption Event”)and causes the place for presentation of this Letter of Credit to be closed for business on the last day for presentation, the expiry date of this Letter of Credit will be automatically extended without amendment to a date thirty(30)calendar days after the place for presentation reopens for missions, expenses and charges incurred with this Letter of Credit are for the account of the Account Party.{Note: Must note the Expiry Date in the format}[BANK SIGNATURE]備用信用證詳解及樣本什么是備用信用證,備用信用證的融資性質(zhì):備用信用證又稱擔(dān)保信用證,是指不以清償商品交易的價(jià)款為目的,而以貸款融資,或擔(dān)保債務(wù)償還為目的所開(kāi)立的信用證。在備用信用證中,開(kāi)證行保證在開(kāi)證申請(qǐng)人未能履行其應(yīng)履行的義務(wù)時(shí),受益人只要憑備用信用證的規(guī)定向開(kāi)證行開(kāi)具匯票,并隨附開(kāi)證申請(qǐng)人未履行義務(wù)的聲明或證明文件即可得到開(kāi)證行償付。獨(dú)立性。強(qiáng)制性。這種備用信用證通常用于國(guó)際工程承包項(xiàng)目中業(yè)主向承包人支付的合同總價(jià)10%25%的工程預(yù)付款,以及進(jìn)出口貿(mào)易中進(jìn)口商向出口商支付的預(yù)付款。5.投標(biāo)備用信用證(TENDER BOND STANDBY)——它用于擔(dān)保申請(qǐng)人中標(biāo)后執(zhí)行合同義務(wù)和責(zé)任,若投標(biāo)人未能履行合同,開(kāi)證人必須按備用信用證的規(guī)定向收益人履行賠款義務(wù)。7.保險(xiǎn)備用信用證(INSURANCE STANDBY)——支持申請(qǐng)人的保險(xiǎn)或再保險(xiǎn)義務(wù)。備用信用證,以其巨大的靈活性,簡(jiǎn)便的操作性,日益成為外商投資企業(yè)重要的融資工具。s favor for amount of the HONGKONG AABBCC CORPORATION which has its registered office at AS 8 for an amount up to UNITED STATES DOLLARS THREE MILLION ONLY.(USD3,000,000)which covers the principal amount of the agreement plus interest accrued from aforesaid principal amount and other charges all of which the borrower has undertaken to pay the exchange rate will be the buying rate of USD/RMB quoted by Bank of Communications on the date of our the case that the guaranteed amount is not sufficient to satisfy your claim due to the exchange rate fluctuation between USD and RMB we hereby agree to increase the amount of this standby L/C drawing and multiple drawing are allowed under this standby L/ standby letter of credit is available by sight engage with you that upon receipt of your draft(s)and your signed statement or tested telex statement or SWIFT stating that the amount in USD represents the unpaid balance of indebtedness due to you by the borrower, we will pay you within 7 banking days the amount specified in your statement or drafts drawn hereunder must be marked drawn under XYZ Bank standby letter of credit dated 20 DECEMBER standby letter of is credit will e into effect on 20 DECEMBER 2004 and expire on 09 DECEMBER 2005 at the counter of bank of Communications , SHENYANG standby letter of credit is subject to Uniform Customs and Practice for Document Credits(1993 revision)International Chamber of Commerce Publication .第三篇:國(guó)內(nèi)信用證操作規(guī)程附件銀行國(guó)內(nèi)信用證業(yè)務(wù)操作規(guī)程第一章 總 則第一條 為加強(qiáng)我行國(guó)內(nèi)貿(mào)易項(xiàng)下信用證業(yè)務(wù)(以下簡(jiǎn)稱國(guó)內(nèi)信用證業(yè)務(wù))的風(fēng)險(xiǎn)控制和管理,規(guī)范其操作標(biāo)準(zhǔn)和操作流程,從而保障國(guó)內(nèi)信用證業(yè)務(wù)積極、有序、健康地發(fā)展,根據(jù)中國(guó)人民銀行的有關(guān)規(guī)定,結(jié)合我行實(shí)際情況和具體要求,特制定本操作規(guī)程。第四條 國(guó)內(nèi)信用證為不可撤銷、不可轉(zhuǎn)讓的跟單信用證,只限于轉(zhuǎn)賬結(jié)算,不得支取現(xiàn)金。開(kāi)證行的付款責(zé)任是第一性的。(二)風(fēng)險(xiǎn)總量控制原則: 開(kāi)出國(guó)內(nèi)信用證業(yè)務(wù)具有潛在的風(fēng)險(xiǎn),各業(yè)務(wù)機(jī)構(gòu)必須將其風(fēng)險(xiǎn)余額納入嚴(yán)格的資產(chǎn)負(fù)債比例管理體系,充分考慮本機(jī)構(gòu)的存貸比狀況、資本金及流動(dòng)性狀況,同時(shí)考慮開(kāi)出國(guó)內(nèi)信用證業(yè)務(wù)的風(fēng)險(xiǎn)權(quán)重并采用資本充足率管理辦法對(duì)開(kāi)出國(guó)內(nèi)信用證業(yè)務(wù)的風(fēng)險(xiǎn)規(guī)模實(shí)施監(jiān)管。指業(yè)務(wù)機(jī)構(gòu)在對(duì)開(kāi)證申請(qǐng)人的經(jīng)營(yíng)風(fēng)險(xiǎn)、財(cái)務(wù)狀況及其與我行業(yè)務(wù)往來(lái)的歷史記錄進(jìn)行綜合評(píng)估的基礎(chǔ)上,免收或減收其開(kāi)證保證金,給予一定金額、期限一年的授信 — —2 額度用于開(kāi)出國(guó)內(nèi)信用證的方式。(3)業(yè)務(wù)機(jī)構(gòu)應(yīng)建立客戶臺(tái)賬制度,以監(jiān)控綜合授信額度的使用,并嚴(yán)格執(zhí)行經(jīng)核定的授信額度。以經(jīng)確認(rèn)的并為我行所接受的銀行承兌匯票及我行大額存單全額質(zhì)押等零風(fēng)險(xiǎn)方式開(kāi)證的,須經(jīng)信審部門(mén)批準(zhǔn)后方可辦理。:即期3000萬(wàn)元,延期1500萬(wàn)元。第八條 開(kāi)證申請(qǐng)人應(yīng)具備以下條件:(一)持有國(guó)家工商行政管理部門(mén)核發(fā)的《企業(yè)法人營(yíng)業(yè)執(zhí)照》,并經(jīng)工商行政管理部門(mén)辦理年檢手續(xù)。(二)購(gòu)銷合同。(四)信審部門(mén)審查和有權(quán)審批人同意開(kāi)證的相關(guān)批準(zhǔn)文件。(二)開(kāi)證行在選擇通知行時(shí),應(yīng)遵循以下原則: 。如果不知受益人開(kāi)戶銀行,或已知受益人不在開(kāi)證行的往來(lái)銀行開(kāi)戶,則選擇受益人所在地的聯(lián)—5— 行為通知行。修改申請(qǐng)書(shū)要明確注明信用證號(hào)、信用證金額、修改內(nèi)容等要素。(二)開(kāi)證行應(yīng)委托原信用證通知行通知信用證修改書(shū),并在信用證修改書(shū)中注明本次修改的次數(shù)。(五)增加信用證金額或者延長(zhǎng)信用證效期或者減少信用證所要求的貨權(quán)單據(jù),應(yīng)落實(shí)相關(guān)的風(fēng)險(xiǎn)控制措施。開(kāi)證行憑此辦理付款或發(fā)出到期付款確認(rèn)書(shū)。(二)如有正本信用證隨單據(jù)寄到,還應(yīng)在正本信用證背面做同樣的批注,以表明該信用證項(xiàng)下受益人應(yīng)得款項(xiàng)已經(jīng)支付或已經(jīng)確認(rèn)到期支付。,開(kāi)證行必須與我行已經(jīng)建立國(guó)內(nèi)信用證業(yè)務(wù)代理關(guān)系。我行一般不應(yīng)議付或據(jù)以融資。,應(yīng)核驗(yàn)其真實(shí)性。(包括修改后)不超過(guò)自開(kāi)證之日起6個(gè)月或180天?!靶庞米C/修改書(shū)通知登記簿”上登記,注明編號(hào)、通知日期、受益人名稱等。議付時(shí)具體要求是:。,對(duì)受益人具有追索權(quán)。發(fā)現(xiàn)單據(jù)存在不符點(diǎn)的,應(yīng)及時(shí)通知受益人改單;仍存在不符點(diǎn)的,應(yīng)在信用證議付/委托收款申請(qǐng)書(shū)上列明。寄單通知書(shū)上應(yīng)標(biāo)明要求開(kāi)證行付款時(shí)撥付頭寸的路線。開(kāi)證行到期支付款項(xiàng)后,再做入賬處理。(二)各行辦理國(guó)內(nèi)信用證業(yè)務(wù)所涉及的費(fèi)用、業(yè)務(wù)流程、操作規(guī)范應(yīng)按照總行的統(tǒng)一規(guī)定執(zhí)行。(一)開(kāi)出信用證業(yè)務(wù),應(yīng)在信用證留底背面批注開(kāi)證日期、開(kāi)證金額、授信情況等;,應(yīng)在信用證留底背面和信用證正本背面記載付款日期、付款金額、付款編號(hào)及信用證余額等;,應(yīng)在信用證留底背面和信用證正本背面批注確認(rèn)到期付款日、金額等;,應(yīng)在信用證留底背面和信用證正本背面記載注銷日期及原因;(二)受理信用證業(yè)務(wù)、信用證通知書(shū)留底、信用證修改書(shū)通知留底、單據(jù)復(fù)印件以及往來(lái)函電留底等資料;,另卷管理。(二)國(guó)內(nèi)信用證業(yè)務(wù)項(xiàng)下發(fā)生的國(guó)內(nèi)民事/刑事法律訴訟案件,各行應(yīng)通過(guò)其上級(jí)行及時(shí)統(tǒng)一上報(bào)總行國(guó)際業(yè)務(wù)部備案。(二)各業(yè)務(wù)機(jī)構(gòu)應(yīng)準(zhǔn)確、及時(shí)、全面地按照中國(guó)人民銀行、銀監(jiān)會(huì)及總行的各項(xiàng)管理規(guī)定的要求按月或不定期地書(shū)面上報(bào)有關(guān)材料,并對(duì)所報(bào)材料的真實(shí)性負(fù)責(zé)。第二十八條 我行國(guó)內(nèi)信用證業(yè)務(wù)的會(huì)計(jì)核算要嚴(yán)格按照《銀行各項(xiàng)業(yè)務(wù)會(huì)計(jì)核算手續(xù)》辦理,各項(xiàng)業(yè)務(wù)程序必須納入統(tǒng)一的會(huì)計(jì)科目?jī)?nèi)進(jìn)行核算。第五章 附 則第三十條 各業(yè)務(wù)機(jī)構(gòu)可根據(jù)本操作規(guī)程,結(jié)合實(shí)際情況,制定相應(yīng)的實(shí)施細(xì)則,并報(bào)總行國(guó)際業(yè)務(wù)部備案。功能簡(jiǎn)介國(guó)內(nèi)信用證是開(kāi)證行依照申請(qǐng)人的申請(qǐng)人開(kāi)出的,憑符合信用證條款的單據(jù)支付的付款承諾。如客戶第一次辦理國(guó)內(nèi)信用證開(kāi)證業(yè)務(wù),需與我行簽訂《國(guó)內(nèi)信用證開(kāi)證合同》。發(fā)票備注欄注明合同號(hào)、信用證號(hào)。5()郵政收據(jù),收貨人,注明運(yùn)費(fèi)已付。9()裝箱單份注明每一包裝件內(nèi)貨物數(shù)量及每件的毛、凈重。2()增值稅發(fā)票出具日期、發(fā)貨日期早于信用證開(kāi)立日期不接受。影印件、傳真件不接受,即使注明