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如何界定风险参与行在此类非融资性风险参与下履行职责的时点,将关系到风险出让行能否及时快捷地收汇。背景开证行:尼日利亚G银行风险参与行:D银行受益人:F公司信用证类型:非保兑的开证行120天延期付款信用证信用证金额:USD4874175.00信用证允许分批装运过程20××年3月20日,F公司在上述信用证项下交单,交单金额为USD3121672.50;同年3月31日,M银行收到开证行电报,确认上述交单到期
How to Define the Timeline for Participation of Risk Participants who perform their duties under the involvement of such non-financing risks will have a bearing on whether the risk transferor can collect foreign exchange promptly and swiftly. Background Issuing Bank: G Bank of Nigeria Risk Participating Bank: D Bank Beneficiary: Company F Type of Credit: Non-Confirmed Issuing Bank 120-Day Deferred Payment Letter of Credit L / C Amount: USD4874175.00 Letter of Credit Allow Partial Shipment Process On March 20, 20 ××, Company F submitted the bill under the aforesaid letter of credit with the sum of USD3121672.50. On March 31 of the same year, Bank M received the telegram from the issuing bank and confirmed the expiration of the abovementioned bill