Swift电文常用项目
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时间:2025-10-06 22:38:33
Swift电文常用项目
Swift电文常用项目代号英文中文含义20DOC.CREDITNUMBER信用证号码(MT700)20SENDER’SREFERENCE信用证号码(MT707)21RECEIVER’SREFERENCE收报行编号23ISSUINGBANKSREFERENCE开证行的号码26ENUMBEROFAMENDMENT修改次数27SEQUENCEOFTOTAL电文页次30DATEOFAMENDMENT修改日期31CDATEOFISSUE开证日期31DDATEANDPLACEOFEXPIRY信用证有效期3
导读Swift电文常用项目代号英文中文含义20DOC.CREDITNUMBER信用证号码(MT700)20SENDER’SREFERENCE信用证号码(MT707)21RECEIVER’SREFERENCE收报行编号23ISSUINGBANKSREFERENCE开证行的号码26ENUMBEROFAMENDMENT修改次数27SEQUENCEOFTOTAL电文页次30DATEOFAMENDMENT修改日期31CDATEOFISSUE开证日期31DDATEANDPLACEOFEXPIRY信用证有效期3
Swift电文常用项目
| 代号 | 英文 | 中文含义 |
| 20 | DOC.CREDIT NUMBER | 信用证号码(MT700) |
| 20 | SENDER’S REFERENCE | 信用证号码(MT707) |
| 21 | RECEIVER’S REFERENCE | 收报行编号 |
| 23 | ISSUING BANKS REFERENCE | 开证行的号码 |
| 26E | NUMBER OF AMENDMENT | 修改次数 |
| 27 | SEQUENCE OF TOTAL | 电文页次 |
| 30 | DATE OF AMENDMENT | 修改日期 |
| 31C | DATE OF ISSUE | 开证日期 |
| 31D | DATE AND PLACE OF EXPIRY | 信用证有效期 |
| 31E | NEW DATE OF EXPIRY | 信用证新的有效期 |
| 32B | INCREASE OF DOCUMENTARY CREDIT AMOUNT | 信用证金额的增加(MT707) |
| 32B | CURRENCY CODE, AMOUNT | 信用证结算的货币和金额(MT700) |
| 33B | DECREASE OF DOCUMENTARY CREDIT AMOUNT | 信用证金额的减少 |
| 34B | NEW AMOUNT | 信用证修改后新的金额 |
| 39A | Pos./Net. Tol.(%) | 金额增减的百分率 |
| 39B | MAXIMUM CREDIT AMOUNT | 信用证最大金额 |
| 39C | ADDITIONAL AMOUNT COVERED | 额外金额的修改 |
| 40A | FROM OF DOCUMENTARY CREDIT | 跟单信用证的形式 |
| 41A | AVAILABLE WITH/BY | 指定有关银行及信用证的兑付方式 |
| 42A | DRAWEE | 汇票付款人 |
| 42C | DRAFTS AT…. | 汇票付款期限 |
| 42M | MIXED PAYMENT DETAILS | 混合付款条款 |
| 42P | DEFERRED PAYMENT DETAILS | 延期付款条款 |
| 43P | PARTIAL SHIPMENT | 分批装运条款 |
| 43T | TRANSHIPMENT | 转运条款 |
| 44A | LOADING IN CHARGE | 装船、发运和接收监管的地点 |
| 44B | FOR TRANSPORTATION TO….. | 货物的最终地 |
| 44C | LATEST DATE OF SHIPMENT | 最后装船日期 |
| 44D | SHIPMENT PERIOD | 装运期 |
| 45A | DESCRIPTION OF GOODS | 货物描述 |
| 46A | DOCUMENTS REQUIRED | 单据要求 |
| 47A | ADDITIONAL CONDITIONS | 特别条款 |
| 48 | PRESENTATION PERIOD | 交单期限 |
| 49 | CONFIRMATION INSTRUTIONS | 保兑指示 |
| 50 | APPLICANT | 信用证开证申请人 |
| 51A | APPLICANT BANK | 信用证的开证银行 |
| 52A | ISSUING BANK | 开证银行 |
| 53A | REIMBURSEMENT BANK | 偿付行 |
| 57A | ADVISE THROUGH BANK | 通知行 |
| 59A | BENEFICIARY | 信用证受益人 |
| 71B | DETAILS OF CHARGES | 费用情况 |
| 72 | SENDER TO RECEIVER INFORMATION | 附言(银行间备注) |
| 78 | INSTRUCTION | 给付款行、承兑行、议付行的指示 |
| 79 | NARRATIVE | 修改详述 |
Swift电文常用项目
Swift电文常用项目代号英文中文含义20DOC.CREDITNUMBER信用证号码(MT700)20SENDER’SREFERENCE信用证号码(MT707)21RECEIVER’SREFERENCE收报行编号23ISSUINGBANKSREFERENCE开证行的号码26ENUMBEROFAMENDMENT修改次数27SEQUENCEOFTOTAL电文页次30DATEOFAMENDMENT修改日期31CDATEOFISSUE开证日期31DDATEANDPLACEOFEXPIRY信用证有效期3