信用证汇票(Bill Under L/C)
目录
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信用证汇票既是由出口商开立的商业汇票,又是须附货运单据的跟单汇票。其付款人则根据信用证规定,既可是开证申请人,又可以是银行。信用证汇票必须列明出票的根据,即注明该汇票是根据哪家银行于何时开立的哪一号信用证所开立,这条“出票条款”是信用证汇票的要项之一,不得遗漏。它有单页汇票和双页汇票之分。单页汇票凭一张正本付款,双页汇票是为了防止丢失而一式两张。两张具有同等效力,都可以作为正本使用,但付一不付二,即先到先付,后到失效。为此,在第一页汇票中注明“Second of Exchange Being Unpaid”而在第二页汇票中注明“First of Exchange Being Unpaid”。
L/C Issuing Bank:
Burgan Bank Kuwait
L/C Amount:
About USD 73,150.00
Draft Terms:
Credit available with any bank by Negotiation against your draft(s) drawn on us at sight accompanied by the following documents...
Expiry Date:
Dec.15,1997
BILL OF EXCHANGE NO.① PLACE AND DATE:② For ③ At ④ Sight of this SECOND Bill of Exchange(First of the same tenor and date being unpaid)pay to the order of ⑤the sum of SAY ⑥ Drawn under ⑦ L/C No. ⑧ dated ⑨ To ⑩ 分页
①汇票号码:一般可以采用发票号码
②出票地点和日期:
③小写金额:先打货币的代号,紧接以阿拉伯数字表明金额,一般保留两位
④支付方式和付款期限:看信用证42C 来做,即期的话 at ***sight或者远期的话,例如提单日期后90天付款为“at 90 days from date of B/L”,B/L日期应该在汇票上指明,借以确定到期日。操作见ISBP 45 B
⑥大写金额
⑦信用证有出票条款就照打,没有可不做或者做成付款人
⑧按实际填
⑨按实际填
⑩付款人:信用证42A 或者42D
注意事项:
1.信用证支付下的汇票,除了严格按信用证缮制外,还要符合票据的规范;
3.汇票中的大小金额和货币必须相同,并符合信用证和合同的规定
No. 汇票编号 Date: Date of draft
For: Draft Amount
At payment terms sight of this second of exchange (first of the same tenor and date unpaid) pay to the order of Payee the sum of Drawn under
L/C No. Dated
To. drawee