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  • 2025 Agent Export Process Analysis: A Complete Guide from Preparation to Settlement

    August 8, 2025

    代理出口的基本流程包含哪些環(huán)節(jié)? 規(guī)范的代理出口流程包含六個(gè)核心階段: 前期準(zhǔn)備階段 企業(yè)資質(zhì)審核(進(jìn)出口權(quán)、產(chǎn)品合規(guī)證明) 貿(mào)易術(shù)語確認(rèn)(FOB/CIF等) 合同簽署階段 簽訂三方協(xié)議(生產(chǎn)企業(yè)、外貿(mào)公司、海外買方) 明確結(jié)算...

  • What is an Export Agency Agreement? 7 Key Questions Every Foreign Trade Beginner Must Understand.

    August 12, 2025

    一、代理出口協(xié)議到底是什么法律文件? 代理出口協(xié)議是生產(chǎn)企業(yè)與專業(yè)外貿(mào)公司之間簽訂的委托代理合同,核心內(nèi)容包含: 委托方(生產(chǎn)企業(yè))授權(quán)受托方(外貿(mào)公司)代理出口業(yè)務(wù) 明確出口商品種類、價(jià)格條款、結(jié)算方式等交易要素 規(guī)定雙方在報(bào)關(guān)...

  • What to do about export agent financing? How to resolve financial pressure? These 5 key issues must be understood!

    August 14, 2025

    出口代理墊資究竟是怎么操作的? 出口代理墊資本質(zhì)是供應(yīng)鏈金融服務(wù),操作流程可分為三個(gè)階段: 準(zhǔn)備階段:簽訂三方協(xié)議(出口商、代理商、海外買方),確認(rèn)付款方式(常見DP或OA) 執(zhí)行階段:代理商根據(jù)提單日期墊付80-95%貨款,需提供商業(yè)發(fā)票...

  • What is the name of the export tax rebate software for agents? How should foreign trade enterprises choose compliant tools?

    August 29, 2025

    代理出口退稅軟件有哪些主流選擇? 2025年市場(chǎng)上主流的出口退稅管理系統(tǒng)包括:擎天退稅通、慧算賬國(guó)際版、出口易智能退稅平臺(tái)三大核心產(chǎn)品。這些系統(tǒng)均通過國(guó)家稅務(wù)總局備案認(rèn)證,具備以下核心功能: 智能單證匹配:自動(dòng)關(guān)聯(lián)報(bào)關(guān)單、增值稅發(fā)票、...

  • Easily overlooked details of Pre-TT and Post-TT, avoid detours after reading

    January 23, 2025

    In international trade, pre-TT (Telegraphic Transfer) and post-TT (Telegraphic Transfer) are two common payment methods, and there are clear differences in terms of payment time, risk assumption, etc., and need to pay attention to different issues in practical operations.

  • Foreign exchange control: Basic Methods and their functions

    12 June 2023

    Foreign exchange control is a policy tool for the government or central bank of a country or region to interfere or control the foreign exchange market. This control may include setting exchange rate levels, setting limits on foreign exchange trading and foreign currency holdings, and restricting capital flows, etc. The main objective of foreign exchange control is usually to protect the domestic economy and maintain exchange rate stability.

  • Which banks are at risk of receiving foreign exchange for export to Russia?

    25 April 2023

    At present, several Russian and Belarusian banks and their subsidiaries have been excluded from the SWIFT system, and several Russian banks have also been included in the Special Designated National List (SDN List) and the European Unions Comprehensive Financial Sanctions List.

  • Collection, a commonly used payment method in international trade

    7 April 2023

    Collection is a commonly used payment method in international trade, referring to the exporter entrusting goods and related documents to the bank for processing, where the bank acts as an agent to collect payment from the buyer and delivers documents or collects payment according to contract requirements. The collection process generally includes the following steps: Contract signing: The exporter and importer sign a contract before the transaction, stipulating...

  • Common payment method in international trade - letter of credit

    7 April 2023

    The letter of credit (L/C) is a payment method commonly used in international trade, and is a way for banks to guarantee both buyers and sellers in order to protect the interests of both parties in order to protect the interests of both parties in order to open the credit card. In international trade, the seller often needs to first apply to the bank to open the credit card, and then the bank checks the credit card.