銀行保函(BG)交易条件和程序-履约保函
銀行保函(BG)交易条件和程序

銀行保函(BG)交易条件和程序我们开证方承担公司法律责任并保证,可以拥有关系和资源开出SBL/C,可以通过关系和资源获得合法的资金,以得到BG银行单据的抵押或买卖,从交易中各自获益。 1、开证银行:西欧25大银行,标准普尔“AA”级 2、单据名称:銀行保函(BG)证先行 3、单据期限:1年零1天 4、交易额度:每单,1000万 - 20億美元 5、交易价格:70--76% 6、支付方式:SWIFT MT 103 二、企业条件: 1、具备操作能力和操作实力企业,外汇许可证、接证银行完整坐标. 2、接证方在接证银行被审信后,具备接证条件; 3、接证银行确认的开证银行(有交易额度的关系)。 三、交易步骤: 1、买方提供本意向书并在底部附上签名,同时提供: a、 护照 b、公司章程 c、不可撤销的顾问费协议 2、方在签署了本意向书(本意向书将作为合同及卖方银行联系人的收据)的72小时内,交易及结算都是在银行对银行的基础上进行。 3、第2步后,买方银行将发SWIFT ICBOP到卖方银行,在24小时内,卖方银行将在EUROCLEAR登记所有银行保函并给买方银行第一笔交易所有的银行保函结算码或
卖方银行将保函的硬拷贝用SWIFT MT 760发来。 4、在第3步的72小时内,买方银行将下载银行保函并通过FED/SWIFT WIRE作全部的结算。 5、以后的每一笔交易将按第2-3步的进行相同操作。

履约保函(Performance Bond / Guarantee)

履约保函是指为了保证交易双方商务合同的切实履行,银行应申请人请求,向其交易对手出具的,承诺如申请人不履行商务合同约定的义务,银行将根据其交易对手的书面索赔要求,赔偿保函规定金额款项的书面保证。


保函(BG)交易流程之一(无需资金备案)
1st KIND OF BG CLOSING PROCEDURES
1Both Parties sign this BG Transaction Agreement and exchange scanned copies of Passport of the authorized signatories, Corporate Resolution and Fee Protection Agreement. Party B also provide the tear sheet and authorization letter to verify the funding bank account to Party A.
1.双方签署这份银行保涵交易协议并且交换授权签字人的护照扫描文本,公司决议,费用保障协议。乙方同样需要提供样张和委托查询授权书,用以核实甲方拨款银行账户。
2After both Parties signed the contract, within Five (5) Banking Days, PARTY A shall cause the BG provider to issue RWA with pre-advice via SWIFT MT799 to PARTY B’s bank and to indicate readiness to issue BG via SWIFT MT760, The RWA shall include BG full text (as per Exhibit “A”). PARTY A at the same time provides a Deed of Assignment on this BG to PARTY B.
2.双方签署该合同后,在5个银行工作日内,甲方应该让银行保函的提供人通过SWIFT MT799出具预开保函的RWA函到乙方所属的银行,同时经由SWIFT MT760bank文件告知准备就绪出
具银行保函,RWA应当包括保函的全本(如同每个Exhibit "A")。甲方同时在这份保函上提供转让契约协议给乙方。
3Upon full verification and authentication of the RWA letter with pre-advice via SWIFT MT799 between the bank, within two (2) days, PARTY B shall issue a conditional payment via SWIFT MT103/23 (ICBPO) to PARTY B’s designated Bank coordinate accounts.
3.在银行间通过银行间SWIFT MT799的方式对预开保函的RWA函件进行完全的核查和验证后,在2日内乙方责令经由SWIFT MT103/23方式将有条件限制的银行付款承诺(ICBPO)开给乙方指定的银行账户坐标。
4Upon receipt (ICBPO) via SWIFT MT103/23 to PARTY A banks, immediately to authentication verification and accept by provider’s bank, within 3 banking days PARTY A’s will instruct provider bank to issue BG with Euroclear access code and send via SWIFT MT760 to PARTY B’s Bank.
4.接到银行付款承诺(ICBPO)通过SWIFT MT103/23给甲方的银行,即刻由供方的银行进行核查,验证和接收,在3个工作日内甲方的银行将会指示供方的银行出具保函连同欧洲结算系统接入码,并且通过SWITF MT760到达乙方的银行。
5Upon receipt of SWIFT MT760 of BG and full authentication and verification, PARTY B will release the payment for an amount of 78%+1% +1%of BG face value and transfer to PARTY A’s receiving bank coordinates, provider account and intermediaries accounts within 8hours without delay.
5.获得SWIFT MT760保函的收讫,并且充分核查和验证后,乙方将会于8小时内按时解缚支付相当于保函面值78%+1%+1%的款项并将该款项汇转给甲方,包括供方账户和中间人账户所属之接收行的银行坐标。
6Upon completion of the payment PARTY A shall cause issuing bank to deliver the original hard copy of BG by bonded bank courier to PARTY B bank within 7 banking days.
6.付款完成后,甲方在7个工作日内,应促使开票银行通过保税银行专递将担保银行保函BG的原印本给乙方银行。
7Simultaneously, an Irrevocable Fee Protection Agreement with the transaction code and date shall be made part of this contract under a separate arrangement between Party B and respective consultants.
7. 同时,在乙方和顾问方的另行安排下,不可撤销的费用保护协议连同交易代码和日期一同应当纳入本合同下。
DESCRIPTION OF INSTRUMENTBG
TYPE OF INSTRUMENT  BANK GUARANTEE (BG)
ISSUING BANK                TOP 25 EUROPEAN WORLD BANK
TERM                                      TWELVE (12) MONTHS & ONE (1) DAY
CURRENCY                      UNITED STATES DOLLAR
INTEREST                              ZERO PERCENT (0%)           
CONTRACT AMOUNT            ----------BILLIONS (US$ ---BILLIONS.).
DENOMINATION              US$ 500M.
FIRST TRANCHE            US$ 500M (FIVE HUNDRED MILLION)
CONFIRMATION/DELIVERY  SWIFT VIA BANK TO BANK FOLLOWED
BY PHYSICAL DELIVERY
MODE OF DELIVERY                    BY BONDED BANK COURIER
VERIFICATION MODE                  BY BANKTO BANK SWIFT TO VERIFY
AND REPLY
PAYMENT MODE                    AS PER CLOSING PROCEDURE SET OUT
HEREUNDER, (81%) TO PROVIDER PLUS
ONE (1%) PERCENTS COMMISSION. EQUAL SHARE 0.5%-0.5% FOR BOTH PARTIES’ INTERMEDIARIES.
BENEFICIARY              ------------- HOLDING  LIMITED         
TYPE OF INSTRUMENT          FRESH CUT
BG SUBJECT      BG IS IRREVOCABLE ASSIGNABLE, TRANSFERABLE, DIVISIBLE, AND SHALL BE PAID UNCONDITIONALLY AT THE ISSUING BANK COUNTERS 15 DAYS BEFORE MATURITY DATE.

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