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  • 标准商业发票英文版范文

    求一份精致详细的英文版商业发票模板范文,不甚感激

    (附件:空白发票样板)

    (要有公司抬头)

    发票声明书

    INVOICE STATEMENT

    Consigner:

    Address:

    Postcode Phone/Fax No.

    Consignee:

    Company name

    Address:

    Postcode

    Country

    Contact person

    Phone / Fax No.

    详细的商品名称

    Full Description of Goods

    数量

    No. of Items

    单价

    Item Value

    报关总价

    Total Value for Customs

    出口理由……

    Reason for Export……

    本人认为以上提供的资料属实和正确,货物原产地是……

    I declare that the above information is true and correct to the best of my knowledge and that the

    goods are of………origin

    谨代表上述公司

    For an on behalf of the above named company

    姓名 ( 正楷 ) 签名

    Name (in print)……………………………………Signature……………………………………..

    职务 公章

    Position in Company…………………… ………..Stamp…………………………………………

    公司出口,需要一份invoice 格式,英文版的

    绍兴高而登进出口有限公司

    XXXXX import AND EXPORT CO LTD,

    详细地址

    TEL:

    FAX:

    商业发票

    COMMERCIAL INVOICE

    TO: 收货人的信息

    INVOICE No.: 发票编号

    INVOICE DATE: 发票日期

    S/C No..: 销售确认书编号

    L/C No.:信用证编号

    FROM: 起运港 ON 时间 TO: 目的港 ON 时间

    唛头号码MARKS & No.

    数量与货品名QUANTITES & DEscriptIONS

    毛重GROSS WEIGHT

    净重NET WEIGHT

    单价UNIT PRICE

    总价AMOUNT

    TOTAL AMOUNT:(注明 including x% discount)

    XXXXXimport AND EXPORT CO LTD,

    签名

    一般做商业发票,毛净重(装箱单上会有详细说明),装卸日期什么的都不要写的,报价单有效期?这个就更不用了吧,又不是报盘,商品的单价总价都已经在合同里确定下来了呀。

    要写的是唛头,货描,单价,总价。

    求英文信用证样本

    40E/Applicable rules UCP LATEST VERSION UCP是国际商会跟单信用证统一惯例,现行的版本为UCP600. 这句话的意思是本信用证适用于最新版本的国际商会跟单信用证统一惯例 41D/Available With。

    By。 ANY BANK IN CHINA BY NEGOTIATION 这是自由议付条款,说明本信用证可以在中国任何一家银行进行议付。

    42C/Drafts at。 AT SIGHT Draft就是汇票,有标准格式的。

    如果您是收款方的话,汇票有您填写。 本信用证要求的是即期汇票。

    至于如何填写请咨询银行,上学时我到时学过,不过现在实在想不起来了。原来的汇票都是黄色的,需要打字机的。

    现在银行保留了原来的格式,好像A4纸打印也可以了。主要是写付款人的信息,收款人的信息,具体款项的阿拉伯数字和英文大写,还有信用证号什么的。

    42D/Drawee ISSUING BANK FOR 100PCT INVOICE VALUE 这里指付款人/汇票的受票人为开征行,付款的金额为发票金额的全额 44C/ Latest Date of Shipment 080217 这里是指最晚的装运期,你的提单日期不得晚于2008年2月17日,建议你赶紧订船,那个时候正好赶上过年,到时候货晚了就不好了。 46A/ document Required + INSURANCE COVERED BY BUYER UNDER COVER NOTE: 07C01250 这里是说保险有买方负担。

    至于后面那个数字我也不太懂。 PORT OF DISCHARGE TO: 这个应该是目的港。

    +2/3 CLEAN ON BOARD OCEAN BILLS OF LADING MADE OUT TO THE ODER OF UNITED OVERSEAS BANK LTD NOTIFY APPLICANT AND MARKED FREIGHT COLLECT 2/3正本清洁的海运提单,Consignee为 TO THE ODER OF UNITED OVERSEAS BANK LTD ;Notify 为开证申请人。 且注明运费到付,也就是“Freight Collect” +SHIPPING COMPANYS CERTIFICATE CERTIFYING THAT WARRANTED CLASSED VESSEL AS PER I.A.C.S. AND NOT EXCEEDING 25 YEARS (这个东西管谁要?) 这个东西找船公司要,从以上信息得知,你这单的inconterm是FOB,也就是说是买方指定货代由你订船,你就找买方指定的货代要,他们都知道这个的。

    放心 47A/Additional Conditions + IN CASE OF PRESENTATION OF DISCREPANT documentS AND SUBJECT TO THE ISSUING BANKS ACCEPTANCE, A DISCREPANCY FEE OF USD 50 FOR ACCOUNT OF BENEFICIARY SHALL BE LEVIED. 我简单说,这条就是一旦发生单证不符,要从受益人处扣除50美金。 一般如果你单证不符,银行会给你提出来让你修改的,对于实在改不了的,你一定要客户那边接受不符点,不然就会引起拒付,麻烦大了。

    所以尽量做到单证相符。 +1/3 OF THE ORIGINAL BILLS OF LADING AND ONE COPY OF COMMERCIAL INVOICE TO BE COURIERED TO THE APPLICANT IMMEDIATELY AFTER SHIPMENT. 首先正本提单一般都是3份的,上面用了两份,这里不是还剩一份么? 剩下的这份正本提单,连同一张副本的商业发票在开船后立即寄给申请人。

    估计到时你还要出一个证明,表示你确实寄了。格式同上面那个受益人证明。

    客人这么要求大概是怕单据寄丢把。 BENEFICIARYS CERTIFICATE CERTIFYING TO THIS EFFECT MUST ACCOMPANY WITH THE STIPULATED REQURIRED documentS.(不明白) 作为受益人的你,应该提供受益人证明,简单的说这个证明的内容就是货要对板。

    可以找一个贵司的信头纸,写上“BENEFICIARYS CERTIFICATE”然后“We hereby certify that THIS EFFECT should ACCOMPANY WITH THE STIPULATED REQURIRED documentS.”盖上贵司的章就可以了。 +49/ Confirmation Instructions WITHOUT 保兑条款,这里说明你的信用证是不保兑的,大多数信用证都是这样的。

    至于保兑和不保兑的区别我说不好。 78/ Instructions to the Paying/Accepting/Negotiating Bank 这两条是给银行看的,不用理睬。

    + UPON RECEIPT OF documentS IN COMPLIANCE WITH THE TERMS AND ConDITIONS OF THIS CREDIT, WE WILL REIMBURSE THE NEGOTIATING BANK IN ACCORDANCE WITH THEIR INSTRUCTION+SEND ALL documentS IN ONE LOT BY COURIER SERVICE TO UNITED OVERSEAS BANK LTD, import BILLS 1 TAMPINES CENTRAL 1, HEX 02-01, UOB TAMPINE CTR, SINGAPORE 529536 这是我以前回答的一个问题,套用他的例子给你示范一下,希望可以帮到你。

    需要一份国外商业发票模板

    模板如下:

    (附件:空白发票样板)

    (要有公司抬头)

    发票声明书

    INVOICE STATEMENT

    Consigner:

    Address:

    Postcode Phone/Fax No.

    Consignee:

    Company name

    Address:

    Postcode

    Country

    Contact person

    Phone / Fax No.

    详细的商品名称

    Full Description of Goods

    数量

    No. of Items

    单价

    Item Value

    报关总价

    Total Value for Customs

    出口理由……

    Reason for Export……

    本人认为以上提供的资料属实和正确,货物原产地是……

    I declare that the above information is true and correct to the best of my knowledge and that the

    goods are of………origin

    谨代表上述公司

    For an on behalf of the above named company

    姓名 ( 正楷 ) 签名

    Name (in print)……………………………………Signature……………………………………..

    职务 公章

    Position in Company…………………… ………..Stamp…………………………………………

    求信用证样本,英文

    信用证实操样本中英文对照 以下信用证内容源自华利陶瓷厂与一塞浦路斯客户所开立并顺利支付的信用证 TO:BANK OF CYPRUS LTD LETTERS OF CREDIT DEPARTMENT NTCOSIA COMMERCIAL OPERATIONS CENTER INTERNATIonAL DIVISION ****** ****** TEL:****** FAX:****** TELEX:2451 & 4933 KYPRIA CY SWIFT:BCYPCY2N DATE:23 MARCH 2005 APPLICATION FOR THE ISSUANCE OF A LETTER OF CREDIT SWIFT MT700 SENT TO:MT700转送至 STANDARD CHARTERD BANK UNIT 1-8 52/F SHUN NIND SQUARE O1 WANG COMMERCIAL CENTRE,SHEN NAN ROAD EAST,SHENZHEN 518008 - CHINA 渣打银行深圳分行 深南东路5002号 信兴广场地王商业大厦52楼1-8单元 电 话: 82461688 27: SEQUENCE OF TOTAL序列号 1/1 指只有一张电文 :40A: FORM OF documentARY CREDIT跟单信用证形式 IRREVOCABLE 不可撤消的信用证 :20OCUMENTARY CREDIT NUMBER信用证号码 00143-01-0053557 :31C: DATE OF ISSUE开证日 如果这项没有填,则开证日期为电文的发送日期。

    :31DATE AND PLACE OF EXPIRY信用证有效期 050622 IN CHINA 050622在中国到期 :50: APPLICANT 信用证开证审请人 ******* NICOSIA 较对应同发票上是一致的 :59: BENEFICIARY 受益人 CHAOZHOU HUALI CERAMICS FACTORY FENGYI INDUSTRIAL DISTRICT, GUXIANG TOWN, CHAOZHOU CITY,GUANGDONG PROVINCE,CHINA.潮州华利陶瓷洁具厂 :32B: CURRENCY CODE,AMOUNT 信用证项下的金额 USD***7841,89 :41D:AVAILABLE WITH。.BY。

    . 议付适用银行 STANDARD CHARTERED BANK CHINA AND/OR AS BELOW 渣打银行或以下的 BY NEGOTIATION 任何议付行 42CRAFTS AT 开汇票 SIGHT 即期 :42A:DRAWEE 付款人 BCYPCY2NO10 BANK OF CYPRUS LTD 塞浦路斯的银行名 :43PARTIAL SHIPMENTS 是否允许分批装运 NOT ALLOWED 不可以 :43T:TRANSHIPMENT转运 ALLOWED允许 :44AOADING ON BOARD/DISPATCH/TAKING IN CHARGE AT/FROM。装船港口 SHENZHEN PORT深圳 :44B:FOR TRANSPORTATION TO 目的港 LIMASSOL PORT发票中无提及 44C: LATEST DATE OF SHIPMENT最后装船期 050601 :045A:DEscriptION OF GOODS AND/OR SERVICES 货物/服务描述 SANITARY WARE 陶瓷洁具 F O B SHENZHEN PORT,INCOTERMS 2000 fob深圳港,INCOMTERMS 2000 :046A:documentS REQUIRED 须提供的单据文件 *FULL SET (AT LEAST THREE) ORIGINAL CLEAN SHIPPED ON BOARD BILLS OF LADING ISSUED TO THE ORDER OF BANK OF CYPRUS PUBLIC COMPANY LTD,CYPRUS,NOTIFY PARTIES APPLICANT AND OURSELVES,SHOWING 全套清洁已装船提单原件(至少三份),作成以“塞浦路斯股份有限公司”为抬头, 通知开证人和我们自己,注明 *FREIGHT PAYABLE AT DESTINATION AND BEARING THE NUMBER OF THIS CREDIT. 运费在目的港付注明该信用证号码 *PACKING LIST IN 3 COPIES. 装箱单一式三份 *CERTIFICATE ISSUED BY THE SHIPPING COMPANY/CARRIER OR THEIR AGENT STATING THE B/L NO(S) AND THE VESSEL(S) NAME CERTIFYING THAT THE CARRYING VESSEL(S) IS/ARE: A) HOLDING A VALID SAFETY MANAGEMENT SYSTEM CERTIFICATE AS PER TERMS OF INTERNATIonAL SAFETY MANAGEMENT CODE AND B) CLASSIFIED AS PER INSTITUTE CLASSIFICATION CLAUSE 01/01/2001 BY AN APPROPRIATE CLASSIFICATION SOCIETY 由船公司或代理出有注明B/L号和船名的证明书证明他们的船是: A)持有根据国际安全管理条款编码的有效安全管理系统证书; 和 B)由相关分级协会根据2001年1月1日颁布的ICC条款分类的. *COMMERCIAL INVOICE FOR USD11,202,70 IN 4 COPIES DULY SIGNED BY THE BENEFICIARY/IES, STATING THAT THE GOODS SHIPPED: A)ARE OF CHINESE ORIGIN. B)ARE IN ACCORDANCE WITH BENEFICIARIES PROFORMA INVOICE NO. HL050307 DATED 07/03/05. 由受益人签署的商业发票总额USD11,202,70一式四份,声明货物运输: A)原产地为中国 B)同号码为HL050307 开立日为 07/03/05的商业发票内容一致 :047A: ADDITIonAL CONDITIONS附加条件 * THE NUMBER AND DATE OF THE CREDIT AND THE NAME OF OUR BANK MUST BE QUOTED ON ALL DRAFTS (IF REQUIRED). 信用证号码及日期和我们的银行名必须体现在所有单据上(如果有要求) *TRANSPORT documentS TO BE CLAUSED: VESSEL IS NOT SCHEDULED TO CALL ON ITS CURPENT VOYAGE AT FAMAGUSTA,KYRENTA OR KARAVOSTASSI, CYPRUS. +运输单据注明" 船在其航行途中不得到塞***的Famagusta, Kyrenta or Karavostassi这些地方 *INSURANCE WILL BE COVERED BY 。

    求各类信用证样本(英文)

    信用证样本 (一次支付100%的情况) 日期: 致:(卖方) 本信用证通过(银行名称)转递。

    我方应(买方名称)要求为贵方开具(信用证号码)号不可撤销的信用证,限于(币种、金额)。贵方可凭100%的发票金额开具以(买方名称)为付款人的即期汇票,并附以下单据: 1. 签字的商业发票4份(应注明有关的合同编号)。

    2. 标有“运费已付”的全套已装船清洁海运提单,按顺序理好,空白背书,并通知目的港。 3. 装箱单和/或重量单4份,说明每一包装箱的数量、毛重和净重。

    4. 制造商出具的质量证书4份。 5. 你方出具的一封信函证实额外的单据已按照合同条件发送。

    6. 你方在启运后四十八(48) 小时发送的通知船名、数量、重量、金额和启运日期的电报复印件一份。 7. 你方证实承运船只的国籍已经买方批准的信函。

    8. 按发票金额百分之一百一十(110%)投保的运输一切险和战争险保险单或保险证明。 9. 来源国证书一式5份。

    10.以买方为抬头的致(银行名称)的即期汇票。 证实合同号(合同号)的货物已启运。

    价格条件(CIF/FOB)。? 要求你方自己出具额外的证明,确认本信用证下提交的全部单据的内容符合上述合同条件。

    从(启运港)启运至(目的港)。 不迟于(交货的最后期限)。

    部分装运(是否)允许,转运(是否)允许。 本证书直至(年、月、日、时、分)在(地点)有效,和全部汇票必须标注是在本信用证下出具的。

    我方在此承诺:根据下述特别说明的第1和第2条,按照本信用证下出具的符合本信用证条件的汇票和装运单据予以议付。 特别说明: 1. 本信用证下的汇票议付只限于上述通知行(银行名称)。

    在议付时,议付行须以电报向(银行名称)要求报帐,但前提条件是在此规定的条件和条款要得到满足,同时,议付行还应将一套完整的单据按一类邮件航空邮寄我方。 2. 中华人民共和国境外发生的全部银行手续费和利息均由受益人承担。

    单证样本——信用证(Letter of Credit)Issue of a documentary Credit BKJPYUTYA08E SESSION: 000 ISN: 000000BANK OFOSAKANEWYORKNO. 216,AUMAHU,AKI_GUN,OSAKA,JAPAN Destination Bank : XXXXXXXXBANK OF CHINA,NANTONG BRANCH153,RENMING RD NANTONG CHINATEL;0513-3578321 40A Type of documentary Credit IRREVOCABLE 20 Letter of Credit Number LGU-002156 31G Date of Issue 31G 010302 31D Date and Place of Expiry 0103030 CHINA 51D Applicant Bank NEWYORK BANK ,OSAKA 50 Applicant YOUNGAN TRADING 59 Beneficiary 59 JIAHA INTER TRADING CO.,60,NonGJU RD HAIAN JIANGSU ,CHINA 32B Currency Code, Amount USD 26,520.00 41D Available with。by。

    ANY BANK BY NEGOTIATION 42C Drafts at AT SIGHT 42D Drawee NEWYORK BANK ,OSAKA 43P Partial Shipments NOT ALLOWED 43T Transhipment NOT ALLOWED 44A Shipping on Board/Dispatch/Packing in Charge at/ from SHANGHAI 44B Transportation to OSAKA,JAPAN 44C Latest Date of Shipment 010320 45A Description of Goods or Services: 100PCT RAYON DIASH CLOTH30SX30S/56X54/40x40CM 2PLYCIF OSAKA CHINA ORIGIN 46A documents Required: 1. SIGNED COMMERCIAL INVOICE IN 5 COPIES. 2. FULL SET OF CLEAN ON BOARD OCEAN BILLS OF LADING MADE OUT TO ORDER AND BLANK ENDORSED, MARKED "FREIGHT PREPAID" NOTIFYING ACCOUNT. 3. PACKING LIST/WEIGHT MEMO IN 4 COPIES INDICATING QUANTITY/GROSS AND NET WEIGHTS OF EACH PACKAGE AND PACKING ConDITIONSAS CALLED FOR BY THE L/C. 4. CERTIFICATE OF QUALITY IN 3 COPIES ISSUED BY PUBLIC RECOGNIZED SURVEYOR. 5. BENEFICIARYS CERTIFIED COPY OF FAX DISPATCHED TO THE ACCOUNTEE WITH 3 DAYS AFTER SHIPMENT ADVISING NAME OF VESSEL, DATE, QUANTITY, WEIGHT, value OF SHIPMENT, L/C NUMBER AND ConTRACT NUMBER. 6. CERTIFICATE OF ORIGIN IN 3 COPIES ISSUED BY AUTHORIZED INSTITUTION.7. CERTIFICATE OF HEALTH IN 3 COPIES ISSUED BY AUTHORIZED INSTITUTION. 47A ADDITIonAL INSTRUCTIONS: 1. CHARTER PARTY B/L AND THIRD PARTY documentS ARE ACCEPTABLE. 2. SHIPMENT PRIOR TO L/C ISSUING DATE IS ACCEPTABLE. 3. BOTH QUANTITY AND AMOUNT 10 PERCENT MORE OR LESS ARE ALLOWED. 71B Charges ALL BANKING CHARGES OUTSIDE THE OPENNING BANK ARE FOR BENEFICIARYS ACCOUNT. Period for Presentation 48 documentSMUST BE PRESENTED WITHIN 15 DAYS AFTER THE DATE OF ISSUANCE OF THE TRANSPORT documentS BUT WITHIN THE VALIDITY OF THE CREDIT. 49 Confimation Instructions WITHOUT 78 Instructions to the Paying/Acc。

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