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英文合同

時(shí)間:2022-03-30 09:33:57 合同范本 我要投稿

英文合同模板集合六篇

  在當(dāng)今社會(huì),人們對(duì)合同愈發(fā)重視,關(guān)于合同的利益糾紛越來(lái)越多,簽訂合同可以明確雙方當(dāng)事人的權(quán)利和義務(wù)。那么制定合同書有什么需要注意的呢?以下是小編收集整理的英文合同6篇,僅供參考,希望能夠幫助到大家。

英文合同模板集合六篇

英文合同 篇1

  Contract No.:XXX

  Sales and Purchase ContractFOR

  Manganese Ore

  This contract is made and entered into onXX, Feb 20xx under terms and conditions as per the international chamber of commerce-600 (ICC UCP-600/20xx revision) by and between:

  The Buyer:

  Address:

  Tel:

  The Seller :

  Address:

  Tel:

  Whereby seller agrees to sell to buyer and Buyer agrees to buy from seller Manganese Ore under following the terms and conditions stipulated below:

  Article 1 Commodity

  Concentrated manganese Ore

  Article 2 Specifications

  Concentrated Manganese Ore

  Size: 0-5mm (90% min)

  % Mn min. 40.0%

  % Fe max. 15.0%

  % Silica ( SiO2 ) max. 1.0%

  % Aluminum ( Al ) max. 4.0%

  % S max. 0.20%

  % P max. 0.10%

  Moisture max. 7%

  Article 3 Quantity:

  500 MT, partial shipment not allowed.

  Article 4 Origin and Port of loading

  4.1 Republic of ABC

  4.2 Loading port:

  Article 5 Packing/Delivery

  5.1 In50 kg sack

  5.2 Incontainer Shipment, more or less 20 tons.

  Article 6 Shipment/Delivery

  6.1 500MT(+/-5%)partial shipment not allowed

  6.2 Shipment will be 90 days after signing of this contract and after the acceptance of the Letter of Credit by seller’s bank. L/C will be openedafter BuyerreceivingProforma Invoice from Sellerwith confirmation of the delivery schedule.

  6.3 The Buyer has the right to appoint the independent surveyor or his representative to conduct the Pre-shipment Inspection and/or conduct the joint-inspection of the material with buyer for his own account.

  Article 7 Contracted Price and Values

  Price:Mn: 48% and above - USD0.00/%/DMTCFRCY Port, China

  40% - 47.9% - USD 0.00 /%/DMTCFRCY Port, China

  The Mn content will be average of the joint-inspection testing result at loading port.

  Article 8 Payment

  8.1 Payment shall be effected in full by an irrevocable Letter of Credit, which will be opened by 1stclass bank in Hong Kong or Singapore, 100% at sight upon presentation of shipping documents.

  A. Seller’s Banking Details:

  Bank Name :

  Bank Address :

  Account Name :

  S.W.I.F.T. CODE SWIFT :

  B. Buyer’s bank issues L/C to the Seller's bank via S.W.I.F.T. wire transfer.

  Buyer’s Banking Details:

  Bank Name : (will be advised)

  Bank Address :

  Account Name:

  S.W.I.F.T. Address SWIFT :

  Article 10 Inspection of Analysis & Weight

  The shipmentinspection and analysis shall be done byCCICappointed by the Seller and one independent surveyor (i.e.: SGS or Geo-Chem, etc) appointed by the buyeras agreed by both parties at site before loading to container. While final weightand qualitydetermination shall be done atloadingportby the above joint-survey.Moisture content shall be deducted from the total weight shipped.

  Article 11 Documents

  Seller shall present the following documents to the buyer:

  A. Signed Commercial Invoice for 100% of the total cargo value indicating, quantity, unit price and the total Amount of Value of the delivered commodity , 1 original and 3 copies.

  B. Certificates of quantity, quality and weight issued byCCICand one independent surveyor appointed by the buyer.

  C. Certificate of Origin issued by ABC Department Of Trade or concerned Government authorities, I original and 2 copies.

  D. Weight List, showing total weight , 1 original and 3 copies.

  E. Bill of Lading, 3 original copies and 3 non-negotiable copies.

  Article 12 Force Majeure

  The Seller shall not be responsible for the delay of shipment or non-delivery of the goods due to Force Majeureunder UCP 600. The seller shall advise the buyer immediately of the occurrence mentioned above and within 3 days thereafter the seller shall send a notice by courier to the buyer of their acceptance of a certificate of the accident issued by the local chamber of commerce under whose jurisdiction the accident occurs as evidence thereof. Under such circumstances the seller , however, are still under obligation to take all necessary measures to hasten the delivery of the goods. In case the accident lasts for more than 60 days the buyer shall have the right to cancel the Contract.

  Article 13 Arbitration

  All disputes arising out of or in connection with this Contract shall be finally resolved by arbitration in accordance with the Rules of Arbitration of the International Chamber of Commerce (UCP-600/20xx or Uniform Customs and Practice for Documentary Credits) by one or more arbitrators appointed in accordance with the said rules. The arbitration shall be conducted in ABCbythe English language.

  Buyer Seller

  關(guān)于購(gòu)貨合同:

  其中購(gòu)貨合同指的是企業(yè)作為需向供貨廠商(供方)采購(gòu)材料,按雙方達(dá)成的協(xié)議,所簽訂的具有法律效力的書面文件,又稱訂購(gòu)合同。

  對(duì)于購(gòu)貨合同是指企業(yè)作為需向供貨廠商(供方)采購(gòu)材料,按雙方達(dá)成的協(xié)議,所簽訂的具有法律效力的書面文件,又稱訂購(gòu)合同。購(gòu)貨合同只有在合同條款不與企業(yè)所在地國(guó)家與地方實(shí)施的現(xiàn)行法律、法規(guī)和條例等相抵觸,經(jīng)合同有關(guān)雙方相互承諾,并且合同各方在簽訂合同前沒有欺騙對(duì)方的行為時(shí)才具有完全的法律效力。

英文合同 篇2

  DATED 20[ ] 20[ ]年[ ]月[ ]日

  JOINT VENTURE CONTRACT 合資經(jīng)營(yíng)合同

  - by and between - 由

  [PARTY A NAME](甲方名稱)

  PARTY A甲方

  - and -- 與 -

  [PARTY B NAME](乙方名稱)

  PARTY B乙方

  IN RESPECT OF簽訂

  TABLE OF CONTENT目錄

  1. DEFINITIONS AND INTERPRETATION 11. 定義和解釋 1

  2. PARTIES TO THE CONTRACT 1 2. 合同雙方 1

  3. ESTABLISHMENT OF THE COMPANY 2 3. 成立合營(yíng)公司 2

  4. PURPOSE, SCOPE AND SCALE OF OPERATION 3 4. 宗旨、經(jīng)營(yíng)范圍及運(yùn)營(yíng)規(guī)模 2

  5. TOTAL INVESTMENT AND REGISTERED CAPITAL 3 5. 投資總額和注冊(cè)資本 3

  6. BUSINESS PLANNING AND APPROVALS 10 6. 業(yè)務(wù)計(jì)劃和批準(zhǔn) 7

  7. RESPONSIBILITIES OF THE PARTIES 12 7. 雙方負(fù)責(zé)的事宜 8

  8. BOARD OF DIRECTORS 13 8. 董事會(huì) 9

  9. OPERATION AND MANAGEMENT 22 9. 經(jīng)營(yíng)管理 15

  10. MARKETING AND SALES 23 10. 市場(chǎng)營(yíng)銷 16

  11. EQUIPMENT AND SERVICE PROCUREMENT 2311. 設(shè)備及服務(wù)的采購(gòu) 16

  12. INTELLECTUAL PROPERTY 2412. 知識(shí)產(chǎn)權(quán) 17

  13. NON-COMPETITION 25 13. 不競(jìng)爭(zhēng) 18

  14. SITE 2614. 經(jīng)營(yíng)場(chǎng)所 19

  15. LABOUR MANAGEMENT 27 15. 勞動(dòng)管理 19

  16. FINANCIAL AFFAIRS AND ACCOUNTING 2716. 財(cái)務(wù)與會(huì)計(jì) 19

  17. TAXATION AND INSURANCE 29 17. 稅收和保險(xiǎn) 21

  18. REPRESENTATIONS AND WARRANTIES 30 18. 陳述及擔(dān)保 21

  19. THE JOINT VENTURE TERM 3119. 合營(yíng)期限 22

  20. TERMINATION, DISSOLUTION,

  BUYOUT AND LIQUIDATION 3220.終止、解散、相互收購(gòu)股份及清算 22

  21. BREACH OF CONTRACT 3721. 違約 26

  22. CONFIDENTIALITY 37 22. 保密義務(wù) 26

  23. FORCE MAJEURE 38 23. 不可抗力 27

  24. SETTLEMENT OF DISPUTES 3924. 爭(zhēng)議的解決 28

  25. MISCELLANEOUS PROVISIONS 4225. 其他規(guī)定 30

  SCHEDULE A - DEFINITIONS AND INTERPRETATION 45 26. 附錄一 32

  SCHEDULE B - ANCILLARY CONTRACTS 51 27. 附錄二 37

  SCHEDULE C - CAPITAL CONTRIBUTION SCHEDULE 52 28. 附錄三 38

  SCHEDULE D - ADDITIONAL PERMITS 54 29. 附錄四 39

  SCHEDULE E - TAX CONCESSIONS 55 30. 附錄五 40

  CAVEATS AND DRAFTING NOTES 5631. 注意事項(xiàng)與說明 42

  THIS CONTRACT ("Contract") is made in [city and province], China on this [●] day of [●],

  200[●] by and between [Party A name], [Party A entity form] established and existing under the

  laws of China, with its [legal address] at [address] (hereinafter referred to as "Party A"), and [Party

  B name], [Party B entity form] organized and existing under the laws of [Party B jurisdiction of

  incorporation] with its [registered address] at [address] (hereinafter referred to as "Party B").

  本合同(“本合同”)于200[·]年[·]月[·]日由以下雙方在[地點(diǎn)]簽訂:[甲方名稱],

  一家根據(jù)中華人民共和國(guó)法律組建并存續(xù)的[甲方組織形式],[法定地址]為[甲方[法定地址]]

  (以下簡(jiǎn)稱“甲方”);和[乙方名稱],一家根據(jù)[乙方所在國(guó)]法律組建及存續(xù)的[乙方組織形

  式],[注冊(cè)地址]為[乙方[注冊(cè)]地址](以下簡(jiǎn)稱“乙方”)

  Party A and Party B shall hereinafter be referred to individually as a "Party" and collectively as

  the "Parties".

  甲方和乙方以下單獨(dú)稱為“一方”,合稱為“雙方”。

  PRELIMINARY STATEMENT 前言

  After friendly consultations conducted in accordance with the principles of equality and

  mutual benefit, the Parties have agreed to establish an equity joint venture in accordance with the

  EJV Law and the EJV Implementing Regulations, other Applicable Laws, and the provisions of

  this Contract.

  雙方本著平等互利的原則,經(jīng)友好協(xié)商,依照《中華人民共和國(guó)中外合資經(jīng)營(yíng)

  企業(yè)法》、《中華人民共和國(guó)中外合資經(jīng)營(yíng)企業(yè)法實(shí)施條例》以及其他相關(guān)法律,同意按照本

  合同的條款,組建合營(yíng)企業(yè)。

  NOW THE PARTIES HEREBY AGREE AS FOLLOWS: 雙方特此協(xié)議如下:

  1. DEFINITIONS AND INTERPRETATION 1. 定義和解釋

  Unless the terms or context of this Contract otherwise provide, this Contract shall

  be interpreted in accordance with, and each of the terms used herein shall have the meaning

  ascribed to it in Schedule

  A. 除非本合同條款或上下文另有所指,本合同應(yīng)按照附錄一進(jìn)行解釋,并且

  本合同中所有相關(guān)術(shù)語(yǔ)的定義見附錄一。

  2. PARTIES TO THE CONTRACT 2. 合同雙方

  2.1 Particulars of Parties 2.1 本合同雙方的具體情況:

  The Parties to this Contract are: 本合同的雙方為:

  (a) Party A, [Party A name] (in Chinese: [(Chinese name)]), [Party A entity form]

  established and existing under the laws of China with its legal address at [Party A legal address]

  (in Chinese: [(Chinese address)]). (a)

  甲方:[甲方名稱](英文書寫:[(英文名稱)],一家根據(jù)中華人民共和國(guó)法律

  組建并存續(xù)的[甲方組織形式],法定地址[甲方法定地址](英文書寫:[(英文住址)]。

  [Legal] [Authorized] Representative of Party A: 甲方[法定][授權(quán)]代表人:

  Name: [Party A rep name] (in Chinese: [(Chinese Name)] 姓名:

  [甲方代表姓名](英文書寫:[(英文姓名)]

  Title: [Party A rep position] 職務(wù): [甲方代表職務(wù)]

  Nationality: Chinese 國(guó)籍: 中國(guó)

  (b) Party B, [Party B name], [Party B entity form] organized and existing under the

  laws of [Party B jurisdiction of incorporation] with its registered address at [Party B registered

  address]. (b)

  乙方:[乙方名稱](英文書寫:[(英文名稱)],一家根據(jù)[乙方所在國(guó)]法律組

  建并存續(xù)的[乙方組織形式],注冊(cè)地址[乙方注冊(cè)地址](英文書寫:[(英文住址)]

  Authorized Representative of Party B: 乙方授權(quán)代表人:

  Name: [Party B rep name] 姓名: [乙方代表姓名](英文書寫:[(英文姓名)]

  Title: [Party B rep position] 職務(wù): [乙方代表職務(wù)]

  Nationality: [Party B rep nationality] 國(guó)籍: [乙方代表國(guó)籍]

  2.2 Parties' Authorised Representatives 2.2 雙方的授權(quán)代表的更換

  Each Party shall have the right to change its legal or authorized representative and

  shall promptly notify the other Party of such change and the name, position and nationality of its

  new legal or authorized representative.

  雙方有權(quán)撤換其各自的法定代表人或授權(quán)代表,并應(yīng)將新法定代表人或授權(quán)代表的

  姓名、職位和國(guó)籍及時(shí)通知另一方。

  3. ESTABLISHMENT OF THE COMPANY 3. 成立合營(yíng)公司

  3.1 Establishment of Company 3.1 合營(yíng)公司的設(shè)立

  The Parties hereby agree to establish the Company promptly after the Effective

  Date in accordance with the EJV Law, the EJV Implementing Regulations, other Applicable Laws,

  and the provisions of this Contract.

  雙方特此同意在本合同生效后依照合資企業(yè)法、合資企業(yè)法實(shí)施條例、其他相關(guān)法律以

  及本合同的條款及時(shí)成立合營(yíng)公司。

  3.2 Name of Company 3.2 合營(yíng)公司的名稱

  The name of the Company shall be “[JV Chinese name]” in Chinese, and

  “[JV name]” in English. 合營(yíng)公司的中文名稱為“[ ]”,英文名稱為“[ ]”。

  3.3 Company Legal Address 3.3 合營(yíng)公司的法定地址

  The legal address of the Company shall be [JV legal address], China (in Chinese:

  [Chinese address]).

  合營(yíng)公司的法定地址為中國(guó)[合營(yíng)公司法定地址],(英文書寫:[英文地址])。

  3.4 Company Branch Offices 3.4 合營(yíng)公司的分支機(jī)構(gòu)

  The Company may establish branch offices inside China and overseas

  with the consent of the Board and approval from the relevant

  governmental authorities. 合營(yíng)公司經(jīng)董事會(huì)決議并經(jīng)有關(guān)政府機(jī)關(guān)批準(zhǔn)可在

  國(guó)內(nèi)外成立分支機(jī)構(gòu)。

  3.5 Limited Liability Company 3.5 有限責(zé)任公司

  The form of organization of the Company shall be a limited liability company.

  [Neither Party shall have any liability to the Company except to the extent of its agreed capital

  contributions. The Company shall be liable to its creditors to the extent of its assets.]

  合營(yíng)公司的組織形式為有限責(zé)任公司。[任何一方僅以其出資額為限對(duì)合營(yíng)公司承擔(dān)責(zé)任。

  合營(yíng)公司應(yīng)以其資產(chǎn)對(duì)其債權(quán)人承擔(dān)責(zé)任。]

  3.6 Chinese Laws Applicable 3.6 適用中國(guó)相關(guān)法律

  The Company shall be a legal person under the laws of China. The Company shall

  be subject to the jurisdiction of and shall be protected by all relevant laws, decrees

  and rules and regulations of China. The activities of the Company shall comply

  with the Applicable Laws of China.

  合營(yíng)公司按照中國(guó)法律為獨(dú)立法人。合營(yíng)公司受中國(guó)相關(guān)法律的管轄和保護(hù)。

  合營(yíng)公司的活動(dòng)應(yīng)該遵守中國(guó)的相關(guān)法律。

  4. PURPOSE, SCOPE AND SCALE OF OPERATION 4. 宗旨、經(jīng)營(yíng)范圍及運(yùn)營(yíng)

  規(guī)模

  4.1 Purpose of Joint Venture 4.1 合營(yíng)公司的宗旨

  The purpose of the joint venture shall be to utilize the combined technological, management,

  operational and marketing strengths of the Parties within the approved scope of business of the

  Company to achieve good economic results and a return on investment satisfactory to the Parties.

  合營(yíng)公司的宗旨是結(jié)合雙方在技術(shù)、管理、運(yùn)營(yíng)以及營(yíng)銷方面的優(yōu)勢(shì),在合營(yíng)

  公司經(jīng)批準(zhǔn)的經(jīng)營(yíng)范圍內(nèi)開展業(yè)務(wù),以取得良好的經(jīng)濟(jì)效益以及令雙方滿意的投資回報(bào)。

  4.2 Scope of Business 4.2 經(jīng)營(yíng)范圍

  The scope of business of the Company shall be to [design, manufacture and market [JV

  products] [to provide [●] services.]

  合營(yíng)公司的經(jīng)營(yíng)范圍是[設(shè)計(jì)、制造以及營(yíng)銷[合營(yíng)產(chǎn)品]并提供[·]合營(yíng)服務(wù)。]

  4.3 Business Plan 4.3 業(yè)務(wù)計(jì)劃

  The Business Plan of the Company shall be established by the Board in view of actual market conditions, expected sales volumes, the employees' ability

  to absorb new technology and any other factors considered important by the Board.

  Such plan may be expanded or reduced by the Board from time to time in light of

  market and other relevant conditions.

  合營(yíng)公司的業(yè)務(wù)計(jì)劃由董事會(huì)在考慮市場(chǎng)實(shí)際情況、預(yù)計(jì)的產(chǎn)品銷售額、雇員

  吸收新技術(shù)的能力以及其他董事會(huì)認(rèn)為重要的因素后確定。該業(yè)務(wù)計(jì)劃可由董事會(huì)不時(shí)根據(jù)

  市場(chǎng)行情以及其他相關(guān)的情況予以擴(kuò)大或縮小。

  4.4 Independent Entity 4.4 獨(dú)立實(shí)體

  The Company shall conduct its business as an independent economic entity and

  will operate autonomously.

  合營(yíng)公司作為獨(dú)立的經(jīng)濟(jì)實(shí)體開展業(yè)務(wù),自主經(jīng)營(yíng)。

  5. TOTAL INVESTMENT AND REGISTERED CAPITAL 5. 投資總額和注冊(cè)資

  本

  5.1 Total Investment Amount 5.1 投資總額

  The total amount of investment required by the Company is presently

  estimated by the Parties to be [total investment amount].

  雙方目前估計(jì)合營(yíng)公司所需的投資總額為[ ]。

  5.2 Registered Capital Amount 5.2 注冊(cè)資本

  The Company's registered capital shall be [registered capital

  amount]. 合營(yíng)公司注冊(cè)資本為[ ]。

  5.3 Contributions to Capital 5.3 出資

  (a) Party A's contribution to the registered capital of the Company

  shall be [Party A registered capital contribution], representing a

  [Party A equity share percentage] share of the registered capital of

  the Company. (a) 甲方對(duì)合營(yíng)公司注冊(cè)資本的出資為[ ],占合營(yíng)公司注冊(cè)資本

  份額的百分之[ ]。

  (b) Party B's contribution to the registered capital of the Company shall be

  [Party B registered capital contribution], representing a [Party B equity share

  percentage] share of the registered capital of the Company. (b) 乙方對(duì)合營(yíng)公司注冊(cè)資本的出資為[ ],占合營(yíng)公司注冊(cè)資本份額的百分之[ ]。

  5.4 Payment of Registered Capital; Conditions Precedent 5.4

  注冊(cè)資本的繳付;先決條件

  (a) Subject to Article 5.4(c) below, each Party shall make its contribution to the registered capital of the Company in accordance with the schedule set forth in Schedule C. (a) 在遵循以下第5.4(c)條規(guī)定的前提下,每一方應(yīng)按照附錄三中規(guī)定的時(shí)間表及條件繳付其認(rèn)繳的注冊(cè)資本。

  (b) Subject to Article 5.4(c) below, in the event that a Party failsto make its capital contribution, in whole or in part, in accordance with the provisions of this Contract, such Party shall be liable to pay simple interest to the Company at a rate equal to

  [default interest rate] per annum on the unpaid amount from the time due until the time the full outstanding amount including penaltyinterest is paid to and received by the Company. (b)

  在遵循以下第5.4(c)條規(guī)定的前提下,如果一方未依照本合同的條款全額或部分出資,則該方應(yīng)就欠繳的出資額按年利率[

  ]的單利向合營(yíng)公司支付罰息,計(jì)息期為該筆出資的應(yīng)繳日期至該筆出資及罰息全額支付,并由合營(yíng)公司收到之日。

  (c) Neither Party shall have any obligation to make its contribution

  to the Company's registered capital until it has received each of

  the following documents: (c) 在一方收到以下各份文件之前,該方?jīng)]有向合營(yíng)公司繳付出資的義務(wù):

  (i) a copy of the Approval Letter and the Approval Certificate

  approving this Contract and the Articles of Association without

  的批復(fù)和批準(zhǔn)證書,且其中沒有對(duì)本合同和公司章程作實(shí)質(zhì)性修改;

  (ii) a copy of the Business License incorporating the business scope

  set out in Article 4.2 without Material Modification. (ii) 載有本合同第4.2 條所述經(jīng)營(yíng)范圍的營(yíng)業(yè)執(zhí)照,且其中對(duì)上述經(jīng)營(yíng)范圍無(wú)實(shí)質(zhì)性修改。 (d) If the Approval Letter, Approval Certificate or the Business

  License (each being an “Approval Document”) is issued with a

  Material Modification, the Parties shall consult together to

  determine whether: (d)

  如果批復(fù)、批準(zhǔn)證書或營(yíng)業(yè)執(zhí)照(合稱“批準(zhǔn)文件”)中某一份含有對(duì)相關(guān)內(nèi)容的實(shí)質(zhì)性修改,則雙方應(yīng)共同協(xié)商并做出以下決定之一:

  (i) to accept such Material Modification and waive the corresponding

  condition precedent in Article 5.4(c), or (i)

  接受這些實(shí)質(zhì)性修改,并且放棄第5.4(c)條所載相應(yīng)的先決條件,或者 (ii) to apply to the relevant government departments to have such

  Approval Document amended and re-issued in a form which remedies the Material Modification to the satisfaction of both Parties. (ii)

  向相關(guān)政府機(jī)關(guān)申請(qǐng),對(duì)該份批準(zhǔn)文件以雙方均可接受的方式進(jìn)行修訂,并且重新頒發(fā)。

  In addition, if the Approval Letter and/or the Approval Certificate

  is issued with a Material Modification, and the Parties do not agree

英文合同 篇3

  合約編號(hào):________

  Contract NO._______

  售貨合約

  SALESCONTRACT

  -------

  買方:_____

  日期:____年__月__日

  Buyers:_____cate:_____

  賣方:____ 中國(guó)___進(jìn)出口公司___省分公司

  Sellers: China National Metals &Minerals Import& Export corporation

  ,____Branch

  雙方同意按下列條款由買方購(gòu)進(jìn)賣方售出下列商品:

  The Buyers agree to buy and the Sellers agree to sell the following

  good ontermsand conditions set for the below:

  ──────────────┬───────┬──────┬──────(1)貨物名稱及規(guī)格,包裝及│(2)數(shù)量 │(3)單價(jià) │(4)總價(jià)裝運(yùn)嘜頭 │ ││

  Name or commodity and Speci- │Quantity│unit price │Total

  Fications Packing and shipp- │ ││AmountIng Marks │ ││

  ──────────────┼───────┼──────┼──────(裝運(yùn)數(shù)量允許有 %的增減)│ ││

  (Shipment Quantity % more │ ││

  Or less allowd │ ││

  ──────────────┴───────┴──────┴──────(5)裝運(yùn)期限

  Time of Shipment:

  (6)裝運(yùn)口岸

  Ports of Loading

  (7)目的口岸

  Port of Destination:

  (8)保險(xiǎn):投保___險(xiǎn),由___按發(fā)票金額___%,投保

  Insurance: Covering Risks for____% of Invoice Value to be effected

  By the

  (9)付款條件:___……

  Terms of Payment :___憑保兌的,不可撤消的,可轉(zhuǎn)讓的,可分割的即期付款信用證,信用證以中

  國(guó)五金礦產(chǎn)進(jìn)出口公司__分公司為受益人并允許分批裝運(yùn)和轉(zhuǎn)船。

  By confirmed irrevocable, transferable and divisible letter of credit

  In favour of China National Metals &Minerals Import& Export Corporation

  ___Branch payable at sight allowing partial shipments and transhipment.

  該信用證必須在___前開到賣方,信用證的有效期應(yīng)為裝船期后15天,在上述裝運(yùn)口岸到期,

  否則賣方有權(quán)取消本售貨合約并保留因此而發(fā)生的一切損失的索賠權(quán)。

  注意:開立信用證時(shí),請(qǐng)?jiān)谧C內(nèi)注明本售貨確認(rèn)書號(hào)碼 China National Texties Import and

  Export Corporation

  IMPORTANT: When establishing L/C, please

  Indicate the number of this Sales c ofrSHANTUNGBRANCH

  Mation in the L/C.

  買方(The Buyers):_____

  賣方(The Sellers):_____

  請(qǐng)?jiān)诒竞贤炞趾蠹幕匾环荽鏅n

  Please sign and return one copy for outfile.

英文合同 篇4

  on this _____ day of _________by and BETWEEN:-

  Mrs. Ghazala Waheed w/o Abdul Waheed, Adult, R/o House No.____-___, DHA, Lahore Cantt, (hereinafter to as the LESSOR of the ONE PART).

  And

  Mr.* ***,R/o China, refereed to as the LESSEE of the OTHER PART.(Expression “LESSOR”

  and “LESSEE” wherever the context so permit shall always mean and include their respective heirs, successors legal representative and assignees).

  WHEREAS the LESSOR is the lawful owner and in lawful possession of House No,***-*,DHA,

  Lahore Cantt, consisting of 4 Bedrooms with bath, D/D,TV; Lounge, Kitchen, Store, Servant, Quarter together with fixtures and fitting (hereinafter collectively called the DEMISED PREMISES).

  AND WHEREAS the LESSOR has agreed the lease and the LESSEE has agreed to take on lease the DEMISED PREMISES on the terms and condition as given below:-

  1. This agreement in only valid if LESSEE is renewed and extended for the lease period.

  2. The LESSOR lets LESSEE takes the DEMISSED PREMISES for a period of 12 months

  Commencing from 15th January 20xx. The Lease is renewable for a further period as may be mutually agreed in writing on expiry of the lease period

  3. The rent of the DEMISED PREMISES shall be USD3,300/-(US dollars Three Thousand and Three hundred Only) per month

  4. The LESSOR hereby acknowledges receipt of the sum of USD.19,800/-(US dollars Nineteen Thousand and eight Hundred Only) per month.

  5. It is hereby agreed between the parties that the LESSEE shall pay the aforesaid monthly rent

  USD. 3,300/-(US dollars Three Thousand and Three hundred Only) as the monthly rental advance by 20th of each calendar month for which if is due after completion of advance rent period ending on 15th July 20xx.

  6. That the LESSOR hereby acknowledges receipt of the sum of Rs.60,000/-(Rupees Sixty Thousand Only) from the LESSEE as FIXED EDPOSIT SECURITY which shall be refunded to the LESSEE on giving back the vacant possession of the DEMISED PREMISES after deduction of damages/shortages outstanding bills for Electricity, Water, Gas and Telephone charges etc, against the DEMISED PREMISES.

  THE LESSEE HERBY CONVENANTS WITH LESSOR AS FOLLOWING:

  1. To pay to the LESSOR the rent hereby reserved in the manner before mentioned.

  2. That the LESSEE shall not at any time during the terms, without

英文合同 篇5

  房地產(chǎn)買賣協(xié)議

  SALES CONTRACT FOR REAL ESTATE

  出售方:(以下簡(jiǎn)稱“甲方” )

  買受方: (以下簡(jiǎn)稱“乙方” )

  中介方:上海臣信房地產(chǎn)經(jīng)紀(jì)有限公司 (以下簡(jiǎn)稱“丙方” )

  Seller: (hereinafter “Party A” )

  Buyer: (hereinafter “Party B”)

  Broker:Shanghai Chenxin Real Estate Co., Ltd. (hereinafter “Party C” )

  經(jīng)丙方中介介紹,甲、乙雙方就上海市__________區(qū)__________路______弄__________號(hào)______室及__________車位(以下簡(jiǎn)稱“該房地產(chǎn)”)的轉(zhuǎn)讓事宜,簽訂本協(xié)議,協(xié)議內(nèi)容如下(有□選擇的,以√為準(zhǔn)):

  With the introduction of Party C, Party A and Party B enter into the agreement concerning the transfer of ____ Suite and its ancillary carport located at ____ of _____ Alley, _____Avenue _____District of Shanghai (hereinafter as “Real Estate”) detailed as follows (“√” shall be filled in the corresponding“□”, if appropriate):

  一、 【該房地產(chǎn)基本情況】

  1. BASIC INFORMATION

  1、 該房地產(chǎn):房地產(chǎn)權(quán)證書號(hào)為:______________;房屋面積:____________平方米;車位面積:___________平方米。

  2、 該房地產(chǎn) □ 已 □ 未設(shè)定抵押。

  3、 該房地產(chǎn) □ 已 □ 未出租。若該房地產(chǎn)已出租,則甲方應(yīng)保證承租人已經(jīng)放棄優(yōu)先購(gòu)買權(quán),若因承租人以優(yōu)先購(gòu)買權(quán)引發(fā)糾紛,則甲方愿意承擔(dān)全部法律責(zé)任。

  4、 有關(guān)該房地產(chǎn)的權(quán)屬情況,若上述填寫資料與實(shí)際情況不符或不詳盡的,以上海市房地產(chǎn)登記簿記載的信息為準(zhǔn)。

  1) Certificate of title to this real estate is numbered as __________ with floor space of ______ ㎡and the related carport are ______ ㎡.

  2) Mortgage is made on this real estate: □ Yes □ No.

  3) This real estate has been leased: □ Yes □ No. If “Yes”, Party A shall guarantee that lessee has waived the right of preemption. Any and all legal liabilities arising out of or in connection with the exercise of such rights by lessee shall be borne by Party A.

  4) If the title of this real estate mentioned above is not clearly indicated or is incorrect, information listed in the register of Shanghai Real Estate Office shall be applied.

  二、 【轉(zhuǎn)讓總價(jià)及定金與款項(xiàng)的選擇適用】

  2. TRANSFER PRICE AND DEPOSIT, OPTION OF PAYMENT

  甲乙雙方明確,該房地產(chǎn)的轉(zhuǎn)讓總價(jià)款:人民幣大寫_______________元(其中含車位轉(zhuǎn)讓款人民幣_(tái)__________元)。乙方于簽署本協(xié)議時(shí),支付誠(chéng)意金人民幣_(tái)_________________ 元至中介方,并委托中介方與甲方洽談;若甲方接受交易條件并簽署本協(xié)議,則乙方委托中介方將誠(chéng)意金轉(zhuǎn)交給甲方作為款項(xiàng)。若至_ ___年_____月____日,甲方仍未簽署本協(xié)議的`,則乙方有權(quán)至中介方處無(wú)息取回誠(chéng)意金;若乙方未按時(shí)取回誠(chéng)意金,則視為繼續(xù)委托中介方與甲方洽談。本協(xié)議簽訂當(dāng)日乙方直接向甲方支付款項(xiàng)人民幣_(tái)____________________元。 甲方同意在本合同簽訂后 日內(nèi),乙方向甲方支付款項(xiàng)人民幣元,該款項(xiàng)由乙方或乙方授權(quán)的其他人以現(xiàn)金方式交付或支付至甲方的指定賬戶,若采用支付至甲方指定賬戶的,下述賬戶已為甲方所確認(rèn):

  戶名:_________________ 賬號(hào):___________________ 開戶行:________________

  Party A and Party B expressly agree that the total transfer price of this real estate is CNY ________ inclusive of transfer price of carport as CNY _______. Party B agree that it shall pay Earnest Money as CNY ________ to Party C at this contract date and entrust Party C to negotiate with Party A. if Party A accept and sign this contract, Party B may authorize Party C to transfer such Earnest Money to Party A as deposit; provided, however, Party B may require the repayment of Earnest Money free of interests by Party C if Party A fail to sign this contract prior to ___________. In such event, it shall constitute that continue entrustment has been granted to Party C if Party B fail to take such Earnest Money in due time. Party B shall pay CNY __________ to Party A directly as deposit at this contract date. Party A agree that Party B may pay CNY __________ to it as deposit within ______ days from this contract date. Such deposit shall be paid in cash by Party B or its designee or made through T/T to the following bank account affirmed by Party A: Account Holder: ________Bank Account: _______ Bank Name: _________

  三、 【買賣交易細(xì)則】

  3. SALES RULES

  1) 轉(zhuǎn)讓總價(jià)款:人民幣大寫_______________ _________元(其中含車位轉(zhuǎn)讓款人民幣大寫______________________ 元)。

  2) 雙方同意按以下方式支付款項(xiàng):

  第一筆房款: 甲、乙雙方同意自《上海市房地產(chǎn)買賣合同》示范文本簽訂后_____日內(nèi),乙方向甲方支付的上述款項(xiàng) 人民幣_(tái)________元作為乙方支付的首筆房款。

  第二筆房款:乙方于______年_____月_____日前,支付甲方房款人民幣_(tái)__________________元。

  第三筆房款:可按以下情況選擇支付方式: □ 乙方通過銀行按揭貸款的方式向甲方支付第三筆房款人民幣_(tái)_________________元,該款項(xiàng)由 銀行在取得抵押人為乙方的他項(xiàng)權(quán)利證明后直接劃入甲方帳戶。 □ 甲乙雙方同意共同至房地產(chǎn)交易中心辦理該房地產(chǎn)過戶手續(xù),并取得房地產(chǎn)登記處的核發(fā)的收件收據(jù)后_____日內(nèi),乙方向甲方支付房款人民幣_(tái)_______________元。

  第四筆房款:□在辦妥房屋交付手續(xù)當(dāng)日,乙方向甲方支付房款人民幣_(tái)__________________元。 □甲乙雙方同意,在簽署買賣合同時(shí)將交房款人民幣_(tái)___________元交丙方監(jiān)管至房屋交付手續(xù)辦妥之日,丙方憑《房屋交接書》向甲方支付上述款項(xiàng)。

  1) The total transfer price of this real estate is CNY ________ inclusive of transfer price of carport as CNY _______.

  2) Such transfer price shall be made in installments as follows:

  The first installment shall be made to Party A by Party B as CNY ________ (inclusive of deposit) within ______ days from commencement date of Sales Contract for the Real Estate Located in Shanghai City (“Sales Contract”).

  The second installment as CNY ______________shall be made to Party A by Party B prior to ___________. The third installment may be made as follows:

  □ CNY _________ as third installment shall be made to Party A by Party B through bank mortgage loans, which shall be directly paid to Party A’s bank account upon the certificate evidencing Party B as mortgagor has been presented to the lending bank, provided, □ Party A and Party B agree to fulfill the transfer formalities for this real estate before Real Estate Trading Center and Party B shall pay Party B CNY _____________ within _____days upon the certificate issued by real estate register has been received.The fourth installment as CNY _____________ shall be paid. □ To Party A by Party B at the date on which the transfer formalities of this real estate has been fulfilled; or □ to Party A by Party C upon the receipt of Deed of Transfer if, as agreed by Party A and Party B, CNY _______ equal to such fourth installment has been delivered to Party C for escrow until the full fulfillment of transfer formalities.

  3) 產(chǎn)權(quán)過戶:待該房地產(chǎn)之抵押登記(若有)已經(jīng)注銷且乙方申請(qǐng)的按揭貸款(若有)經(jīng)銀行審核通過,具備過戶條件具備后,最晚不遲于______年_____月_____日,共同至該房地產(chǎn)所在區(qū)交易中心辦理房地產(chǎn)過戶手續(xù)。

  3)Transfer. Within _____ days upon the revocation of mortgage registration for this real estate (if any) and the loans acquired by Party B therefore (if any) satisfying the applicable requirements after the review of related bank (in no event late than _______), Party A and Party

  B shall fulfill the transfer formalities before the trading center of that district where this real estate is located.

  4) 房屋交付:甲方于收到乙方全部轉(zhuǎn)讓款項(xiàng)當(dāng)日,將該房地產(chǎn)交付乙方,雙方應(yīng)簽署《房屋交接書》。交付前的物業(yè)管理費(fèi)及公用事業(yè)費(fèi)由甲方承擔(dān),交付后的物業(yè)管理費(fèi)及公用事業(yè)費(fèi)由乙方承擔(dān)。固定裝修、附屬設(shè)施設(shè)備以及經(jīng)甲乙雙方確認(rèn)的家電、家具等價(jià)格已經(jīng)包含在該房地產(chǎn)轉(zhuǎn)讓總價(jià)款內(nèi),甲方須保證該房屋內(nèi)附屬設(shè)施、設(shè)備均能正常使用及室內(nèi)裝飾與簽訂買賣合同之日的狀況相符。

  4)Delivery. At the date on which all transfer prices,party A shall deliver this real estate to Party

  B and the Certificate of Transfer and Handover shall be concluded by the Parties therefore. Property Management Fees and Utilities Expenses arising out of or in connection with this real estate shall be borne by Party A prior to such delivery, or shall be borne by Party B upon such delivery.

  Charges or expenses related to the fixtures and ancillary equipments & facilities of this real estate, as well as the prices of home appliances and furniture agreed by the Parties, have been included in the transfer price and Party A guarantee that all such ancillary equipments & facilities may work properly, all interior decorations thereof satisfy the conditions provided herein .

  5)相關(guān)費(fèi)用:Miscellaneous Charge.

  [交易稅費(fèi)]:雙方同意,交易中所涉及的上述買賣雙方的稅費(fèi)由 □各自承擔(dān)并支付;□由甲方承擔(dān)并支付;□由乙方承擔(dān)并支付。

  [公證費(fèi)]:若交易涉及買賣合同公證,費(fèi)用由□雙方分擔(dān)并支付;□由甲方承擔(dān)并支付;□由乙方承擔(dān)并支付。

  [中介報(bào)酬]:對(duì)于中介方提供中介服務(wù)所產(chǎn)生的報(bào)酬事宜,詳見附件“中介服務(wù)確認(rèn)書”。 Trade Tax. The Parties agree that any and all taxes and charges arising out of transaction hereunder shall be borne and paid by □ Party A; or □ Party B.

  Notary Fees. Any notary fees arising out of or in connection with transaction hereunder shall be borne and paid by □ Party A; □ Party B; or □ Party A and Party B. Brokerage

  fees. Brokerage feess paid to broker for any brokerage service provided shall be detailed in attached Schedule “Acknowledgement of Brokerage fees”.

  四、【法律責(zé)任的選擇適用】

  4. APPLICATION OF LEGAL LIABILITIES

  甲方保證該房地產(chǎn)產(chǎn)權(quán)清晰、權(quán)屬明確,無(wú)異議登記、單方預(yù)告登記,無(wú)司法、行政查封等限制性交易情形存在;若因本條所述情況導(dǎo)致本協(xié)議效力瑕疵,甲方應(yīng)返還乙方所有已付房款并賠償乙方實(shí)際損失。

  Party a guarantees that it has full and clear ownership to this real estate, which is free of any dispute registered, unilateral advanced registration, judicial or administrative attachment or other events restricting trades. If any defect affecting the validity of this Contract is occurred due to any misrepresentation hereunder, Party A shall refund all transfer prices paid by Party B, and indemnify any and all losses and damages suffered by Party B there-from.

  五、【爭(zhēng)議解決】

  6. DISPUTE SETTLEMENT

  各方在本協(xié)議履行過程中發(fā)生爭(zhēng)議的,應(yīng)友好協(xié)商;協(xié)商不成的,應(yīng)向該房地產(chǎn)所在地人民法院起訴。

  Any dispute arising out of or in connection with the performance hereof shall be settled by amiable negotiation, if fails, either Party may bring a lawsuit before the People’s Court with jurisdiction where this real estate is located.

  六、【合同效力】

  6. VALIDITY

  本協(xié)議自甲、乙雙方簽署起對(duì)甲、乙生效,丙方簽署后對(duì)丙方生效,一式三份,甲、乙、丙三方各執(zhí)一份。

  This Contract shall have binding force to Party A and Party B upon signatures of such two Parties are made hereon, and shall have binding force to Party C if signature of Party C is also made hereon. This Contract shall be executed in triplicate and each Party shall have one copy.

英文合同 篇6

  合同編號(hào):_________________

  Contract No:_______________

  簽訂日期:_________________

  Date:______________________

  簽訂地點(diǎn):_________________

  Signed at : _______________

  電 話:____________________

  Tel: ______________________

  傳 真:____________________

  Fax:_______________________

  電 報(bào):____________________

  Cable: ____________________

  電 傳:____________________

  Telex: ____________________

  電 話:____________________

  Tel: ______________________

  傳 真:____________________

  Fax:_______________________

  電報(bào):_____________________

  Cable: ____________________

  電傳:_____________________

  Telex: ____________________

  經(jīng)買雙方確認(rèn)根據(jù)下列條款訂立本合同:

  The undersigned Sellers and Buyers have confirmed this contract in accordance with the terms and conditions stipulated below :

  1. 貨號(hào)

  Art No. 名稱及規(guī)格

  Descriptions 單位

  Unit 數(shù)量

  Quantity 單價(jià)

  Unit Price 金額

  Amount

  合計(jì):_________________

  Totally:______________

  總值(大寫):_____________________

  Total value:(in words)_____________

  允許溢短____%。________% more or less in quantity and value allowed.

  2.成交價(jià)格術(shù)語(yǔ):

  Terms: □ FOB □ CFR □ CIF □ DDU □

  3.出產(chǎn)國(guó)與制造商:___________________________

  Country of origin and manufacturers : ________

  4.包裝:__________________

  Packing: __________________

  5.裝運(yùn)嘜頭:______________

  Shipping Marks: ___________

  6.裝運(yùn)港:________________

  Delivery port : ___________

  7.目地港:________________

  Destination: ______________

  8.轉(zhuǎn)運(yùn):□ 允許 □ 不允許; 分批裝運(yùn):□ 允許 □ 不允許

  Transhipments: □ allowed □ not allowed

  Partial shipments:□allowed □ not allowed

  9.裝運(yùn)期:________________

  Shipment date: ____________

  10.保險(xiǎn):由____按發(fā)票金額110%,投保_____險(xiǎn),另加保_____險(xiǎn)。

  Insurance : to be covered by the FOR 110% of the invoice value covering additional

  11.付款條件:

  Terms of payment:

  □買方通過_____銀行在____年____月____日前開出以賣方為受益人的_______期信用證。

  The buyers shall open a Letter of Credit at sight through bank in favour of the sellers prior to .

  □付款交單:買方應(yīng)對(duì)賣方開具的以買方為付款人的見票后_____天付款跟單匯票,付款時(shí)交單。

  Documents against payment (D/P)

  The buyers shall duly make the payment against documentary draft made out to the buyers at sight by the sellers.

  □承兌交單:買方應(yīng)對(duì)賣方開具的以買方為付款人的見票后_____天承兌跟單匯票,承兌時(shí)交單。

  Documents against acceptance: (D/P)

  The buyers shall duly make the payment against documentary draft made out to the buyers at sight by the sellers.

  □貨到付款:買方在收到貨物后____天內(nèi)將全部貨款支付賣方(不適用于FOB、CFR、CIF術(shù)語(yǔ))。

  Cash on delivery (COD)

  The buyers shall pay to the sellers total amount within days after the receipt of the goods .(This clause is not applied to the terms of FOB,CFR,CIF).

  □

  12.單據(jù):賣給方應(yīng)將下列單據(jù)提交銀行議付/托收。

  Documents :The sellers shall present the following documents required to the banks for negotiation/collection.

  ① 運(yùn)單

  Shipping Bills :

  □ 海運(yùn):全套空白抬頭/指示抬頭、空白背書/指示背書注明運(yùn)費(fèi)已付/到付的已裝船清潔海運(yùn)/聯(lián)運(yùn)正本提單,通知在目的港 公司

  In case by sea : Full set of clean on board ocean Bills of Lading / combined transportation Bills of Lading made out to order blank endorsed / endorsed in favour of or made out to order of ,marked “freight prepaid / collected ” notifying at the port of destination .

  □ 陸運(yùn):全套注明運(yùn)費(fèi)已付/到付的裝車的記名清潔運(yùn)單,通知在目的地 公司。

  In case by land transportation: full set of clean on board land transportation Bills made out to marked “freight prepaid / collected ” notifying at the destination.

  □空運(yùn):全套注明運(yùn)費(fèi)已付/到付的記名空運(yùn)單,通知在目的地 公司。

  In case by Air : Full set of clean on board AWB made out to marked “freight prepaid/collected”notifying at

  the destination .

  □ :

  ②標(biāo)有合同編號(hào)信用證號(hào)及裝運(yùn)嘜頭的商業(yè)發(fā)票一式____份。

  Singed commercial invoice in copied indicating contract No, L/C No. And shipping marks.

  ③由_____出具的裝箱單或重量單一式______份。

  Packing list / weight memo in copies issued by .

  ④由_______出具的質(zhì)量證明書一式________份

  Certificate of Quality in copies issued by .

  ⑤由________出具的數(shù)量證明書一式________份

  Certificate of Quantity in copies issued by .

  ⑥保險(xiǎn)單正本一式_______份。

  Insurance policy / certificate in copies .

  ⑦ 簽發(fā)的產(chǎn)地證一式_______份

  Certificate of Origin in copies issued by .

  ⑧裝運(yùn)通知:

  shipping advice:

  另外,賣方應(yīng)在交運(yùn)后____小時(shí)內(nèi)以特快專遞方式郵寄給買方第____項(xiàng)單據(jù)副本一套。

  In addition , the sellers shall, within hours after shipment effected , send each copy of the above—mentioned documents No.____, directly to the buyers by courier service.

  13.裝運(yùn)條款:

  □ FOB

  賣方應(yīng)在合同規(guī)定的裝運(yùn)日期前30天,以電報(bào)/電傳/傳真通知買方合同號(hào)、品名、數(shù)量、金額、包裝件、毛重、尺碼及裝運(yùn)港可裝日期,以便買方安排租船/訂艙。裝運(yùn)船只按期到達(dá)裝運(yùn)港后,如賣方不能按時(shí)裝船,發(fā)生的空船費(fèi)或滯期費(fèi)由賣方負(fù)擔(dān)。在貨物超過船舷并脫離吊鉤以前一切費(fèi)用和風(fēng)險(xiǎn)由賣方負(fù)擔(dān)。

  The sellers shall , 30 days before the shipment date specified in the contract advise the buyers by CABLE / TELEX /FAX of the contract No. , commodity , quantity , amount , packages , gross weight , measurement , and the date of shipment in order that the buyers can charter a vessel / book shipping space . In the event of the sellers’ failure to effect loading when the vessel arrives duly at the loading port , all expenses including dead freight and / or demurrage charges thus incurred shall be for seller’s account.

  □ CIF或CFR

  CIF and CFR

  賣方須按時(shí)在裝運(yùn)期限內(nèi)將貨物由裝運(yùn)港裝船到目的港。在CFR術(shù)語(yǔ)下,賣方應(yīng)在裝船前2天電傳/傳真/電報(bào)買方合同號(hào)、品名、發(fā)票價(jià)值及開船日期,以便買方安排保險(xiǎn)。

  The sellers shall ship the goods duly within the shipping duration from the port of shipment to the port of destination . Under CFR terms , the sellers shall advise the buyers by CABLE/FAX/TELEX of the contract No. , commodity , invoice value and the date of despatch two days before the shipment for the buyers to arrange insurance in time.

  □ DDU

  賣方須按時(shí)在裝運(yùn)期限內(nèi)將貨物由裝運(yùn)港裝運(yùn)至目的港。

  The sellers shall ship the goods duly within the shipping duration from the port of the port of destination .

  □

  14.裝運(yùn)通知

  shipping advice :

  一件裝載完畢,賣方應(yīng)在____小時(shí)內(nèi)電傳/傳真/電報(bào)買方合同編號(hào)、品名、已發(fā)運(yùn)數(shù)量、發(fā)票總金額、毛重、船名/車/機(jī)號(hào)及啟程日期等。

  The sellers shall immediately upon the completion of the loading of the goods , advise buyers of the contract No., names of commodity , loading quantity , invoice values , gross weight , name of vessel and shipment date by TLX/FAX/CABLE within _____hours .

  15.質(zhì)量保證:

  Quality guarantee :

  貨物品質(zhì)規(guī)格必須符合本合同及質(zhì)量保證書之規(guī)定,品質(zhì)保證期為貨到目的港_____個(gè)月內(nèi),在保證期限內(nèi),因制造廠商在設(shè)計(jì)制造過程中的缺陷造成的貨物損害應(yīng)由賣方負(fù)責(zé)賠償。

  The sellers shall guarantee that the commodity must be in conformity with the quality and specifications specified in this contract and Letter of Quality Guarantee .The guarantee period shall be months after the arrival of the goods at the port of destination , and during the period the sellers shall be responsible for the damage due to the defects in designing and manufacturing of the manufacturer.

  16.商品檢驗(yàn):賣方須在裝運(yùn)前_____日委托 檢驗(yàn)機(jī)構(gòu)對(duì)合同之貨物進(jìn)行檢驗(yàn)并出具檢驗(yàn)證書,貨到目的港后,由買方委托____檢驗(yàn)機(jī)構(gòu)進(jìn)行復(fù)檢。

  Goods inspection : The sellers shall have the goods inspected by Inspection Authority days before the shipment and issued the Inspection Certificate . The buyers shall have the goods reinspected by Inspection Authority after the goods arrival at the destination.

  17.索賠

  Claims:

  如經(jīng)中國(guó)_____檢驗(yàn)機(jī)構(gòu)復(fù)檢,發(fā)現(xiàn)貨物有損壞、殘缺或品名、規(guī)格、數(shù)量及質(zhì)量與本合同及質(zhì)量保證書之規(guī)定不符,買方可于貨到目的港后 天內(nèi)憑上述檢驗(yàn)機(jī)構(gòu)出具的證明書向賣方要求索賠。如上述規(guī)定之索賠期與質(zhì)量保證期不一致,在質(zhì)量保證期限內(nèi)買方仍可向賣方就質(zhì)量保證條款之內(nèi)容向賣方提出索賠。

  The buyers shall lodge claims against the sellers based on the Inspection Certificate issued by China Inspection Authority Days after the arrival of the goods at the destination , if the goods are found to be damaged , missing or the specifications , quantity, and quality not in conformity with those specified in this contract and Letter of Quality Guarantee . In case the claim period above specified is not in conformity with the quality guarantee period, during the quality guarantee period, the buyers have rights to lodge claims against the sellers concerning the quality guarantee.

  18.延期交貨違約金

  Late delivery and penalty

  除雙方認(rèn)可的不可抗力因素外,賣方遲于合同規(guī)定的期限交貨,如買方同意遲延交貨,賣方應(yīng)同意對(duì)信用證有關(guān)條款進(jìn)行個(gè)性和同意銀行在議付貨款時(shí)扣除本條規(guī)定的違約金。違約金總值不超過貨物總價(jià)值的5%,差率按7天0.5%計(jì)算,不滿7天仍按7天計(jì)算。在未采用信用證支付的情況下,賣方應(yīng)將前述方法計(jì)算的違約金即付買方。

  If the sellers fail to make delivery on time as stipulated in the contract , with exception of Force Majeure, the buyers shall agree to postpone the delivery on conditions that the sellers agree to amend the clauses of the L/C and pay a penalty which shall be deducted by the paying bank from the payment under negotiation . The penalty , however , shall not exceed 5% of the total value of the goods . The rate of penalty is charged at 0.5%for every seven days , if less that seven days. In case , the payment is not made through L/C , the sellers shall pay the penalty counted as above to the buyers as soon as possible.

  19.人力不可抗拒:如因人力不可抗拒的原因造成本合同全部或部分不能履約,賣方概不負(fù)責(zé),但賣方應(yīng)將上述發(fā)生的情況及

  時(shí)通知買方。

  Force Majeure : The sellers shall not hold any responsibility for partial or total non-performance of this contract due to Force Majeure . But the sellers shall advise the buyers on times of such occurrence.

  20.爭(zhēng)議之解決方式:

  Disputes settlement :

  □任何因本合同而發(fā)生或與本合同有關(guān)的爭(zhēng)議,應(yīng)提交中國(guó)國(guó)際經(jīng)濟(jì)貿(mào)易仲裁委員會(huì),按該會(huì)的仲裁規(guī)則進(jìn)行仲裁。仲裁地點(diǎn)在中國(guó)深圳。仲裁裁決是終局的,對(duì)雙方均有約束力。

  All disputes arising out of the contract or in connection with the contract , shall be submitted to the China International Economic and Trade Arbitration Commission for arbitration in accordance with its Rules of Arbitration in ShenZhen China . The arbitral award is final and binding upon both parties.

  □

  21.法律適用

  Law application :

  本合同之簽訂地、或發(fā)生爭(zhēng)議時(shí)貨物所在地在中華人民共和國(guó)境內(nèi)或被訴人為中國(guó)法人的,適用中華人民共和國(guó)法律,除此規(guī)定外,適用《聯(lián)合國(guó)國(guó)際貨物銷售公約》。

  It will be governed by the law of the People’s Republic of China under the circumstances that the contract is singed or the goods while the disputes arising are in the People’s Republic of China or the deffendant is Chinese legal person , otherwise it is governed by United Nations Convention on Contract for the International Sale of Goods .

  22.本合同使用的FOB、CFR、CIF、DDU 術(shù)語(yǔ)系根據(jù)國(guó)際商會(huì)《Incoterms 1990》

  23.文字:本合同中、英兩種文字具有同等法律效力,在文字解釋上,若有異議,以中文解釋為準(zhǔn)。

  Versions : This contract is made out in both Chinese and English of which version is equally effective .Conflicts between these two language arising therefrom . if any , shall be subject to Chinese version .

  24.附加條款(本合同上述條款與本附加條款有抵觸時(shí),以本附加條款為準(zhǔn)):

  Additional Clauses : (conflicts between contract clause here above and this additional clause , if any , it is subject to this additional clause)

  25.本合同共____份,自雙方代表簽字(蓋章)之日起生效。

  This contract is in copies , effective since being signed / sealed by both parties:

  買方代表人:___________________________ 賣方代表人 :_________________________

  Representative of the buyers : _______ Representative of the sellers :______

  簽字:_________________________________ 簽字:________________________________

  Authorized signature :________________ Authorized signature : ______________

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