Irrevocable transferable without our confirmation L/C
开证日期 (Date of issue) 2012-5-8
有效日期和地点(date and place of expiry)2012-11-7
开证行 issuing bank
凭即期汇票付款 available by drafts at sight
即期汇票drafts at sight
分批装运partial shipment
转运Transshipment
装运港Port of loading
卸货港Port of discharge
装运期限latest date of shipment
付款人,[贸易] 受票人drawee
SWIFT MT700及MT707
SWIFT信用证的格式代号为MT700和MT701
MT700 格式
代码(Tag) 栏位名称(Field Name)
27 合计次序(Sequence of Total) M
40A 跟单信用证类别(Form of Documenttary Credit) M
20 信用证编号(Documentary Credit Number) M
23 预先通知号码 REFERENCE TO PRE-ADVICE
31C 开证日期 DATE OF ISSUE
31D 有效日期和地点(date and place of expiry M
50 申请人(Application) M
59 受益人(Beneficiary) M
32B 币别代号、金额(Currency Code,Amount) M
39A 信用证金额加减百分率(Percentage Credit Amount)
39B 最高信用证金额(Maximum Credit Amount)
39C 可附加金额(Additional Amount Covered)
41a 向…银行押汇,押汇方式为…(Available With…By…) M
42C 汇票期限(Drafts at…)
42a 付款人(Drawee)
42M 混合付款指示(Mixed Payment Details)
42P 延期付款指示(Deferred Payment Details)
43P 分批装运(Partial Shipments)
43T 转运(Transhipment)
44A 由…装船/发送/接管(Loading on Board/Dispatch/Taking in Charge at /from…)
44B 装运至…(For Transportation to…)
44C 最后装船日(Latest Date of Shipment)
44D 装运期(Shipment Period)
45A 货物描述与交易条件(Description Goods and/or Services)
46A 应具备单据(Documents Required)
47A 附加条件(Additional Conditions)
71B 费用(Charges)
48 提示期间(Period for Presentation)
49 保兑指示(Confirmation Instructions) M
53A 清算银行(Reimbursement Bank)
78 对付款/承兑/让购银行之指示(Instructions to the Paying/Accepting/Negotiation ban)
57A 收讯银行以外的通知银行(“Advise Through” Bank)
72 银行间的通知(Sender to Receiver Information)
M701 格式
27 合计次序(Sequence of Total)
20 信用证编号(Documentary Credit Number)
45B 货物描述与交易条件(Description Goods and/or Services)
46B 应具备单据(Documents Required)
47B 附加条件(Additional Conditions)
注:M/O 为Mandatoryandatory 与Optional的缩写,前者是指必要项目,后者为任意项目。合计次序是本证的页次,共两个数字,前后各一。例如“1/2”,其中2指本证共2页,“1”指本页为第1页。
对已开出的SWIFT信用证进行修改,则需要采用MT707标准格式
MT707格式:
代号(Tag) 栏位名称(Field Name)
20 送讯银行的编号(Sender’s Reference) M
21 收讯银行的编号(Receiver’s Reference) M
23 开证银行的编号(Issuing Bank’s Reference)
52a 开证银行(Issuing Bank)
31c 开证日期(Date of Issue)
30 改日期(Date of Amendment)
26E 修改序号(Number of Amendment)
59 受益人(修改以前的)(Beneficiary(before this amendment)) M
31E 新的到期日(New Date of Expiry)
32B 信用证金额的增加(Increase of Documentary Credit Amount )
33B 信用证金额的减少(Decrease of Documentary Credit Amount )
34B 修改后新的信用证金额(New Documentary Credit Amount After)
39A 信用证金额加减百分率(Percentage Credit Amount Tolerance)
39B 最高信用证金额(Maximum Credit Amount)
39C 可附加金额(Additional Amount Covered)
44A 由…装船/发送/接管(Loading on Board/Dispatch/Taking in Charge at /from…)
44B 装运至…(For Transportation to…)
44C 最后装船日(Latest Date of Shipment)
44D 装船期间(Shipment Period)
79 叙述(Narrative)
72 银行间备注(Sender to Receiver Information)
MT760是SWIFT业务中的保函与备用信用证业务使用的报文格式
MT799是SWIFT业务中的信用证与保函业务的自由报文格式,一般是银行间关于这方面的业务的往 函电使用。
MT103 SINGLE CUSTOMER CREDIT TRANSFER