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英文合同

時(shí)間:2022-12-25 10:47:14 合同范本 我要投稿
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英文合同合集八篇

  隨著法律觀念的深入人心,合同起到的作用越來越大,簽訂合同也是最有效的法律依據(jù)之一。擬定合同的注意事項(xiàng)有許多,你確定會(huì)寫嗎?以下是小編幫大家整理的英文合同8篇,僅供參考,大家一起來看看吧。

英文合同合集八篇

英文合同 篇1

  借款人:

  borrower:

  貸款人:

  lender:

  抵押人:

  mortgagor:

  保證人:

  surety :

  出質(zhì)人:

  pledgeor:

  為明確各方權(quán)利和義務(wù),根據(jù)《合同法》、《貸款通則》和其他有關(guān)法律、法規(guī),訂立本合同。

  this contract is made in line with the contract law of the peoples republic of china and the general provisions of loans of the peoples bank of china to specify the rights and obligations of parties involved.

  借 貸 條 款

  loan borrowing clause

  第一條 借款金額。見36.1

  article 1. amount of loan: refer to 36.1

  第二條 借款用途。見36.2

  article 2. purpose of loan: refer to 36.2

  第三條 借款期限。

  article 3. life of loan

  3.1見36.3.

  3.1 refer to 36.3

  3.2借據(jù)或貸款憑證是本合同不可分割的組成部分。借款的實(shí)際放款日和還款日以借款人、貸款人雙方辦理的借據(jù)或憑證上所記載的日期為準(zhǔn)。除日期外,借據(jù)或憑證其他記載事項(xiàng)

  如與本合同不一致的,以本合同為準(zhǔn)。

  3.2 a certificate of indebtedness or a loan voucher is an integral part of this contract. the date of advance and payment due date shall follow the date specified on the certificate of indebtedness or loan voucher . where there is any inconsistency between the stipulations on the certificate of indebtedness or loan voucher and the terms and conditions on this contract except date, the latter shall prevail.

  第四條 借款劃付。在借款人辦妥借款手續(xù)后5個(gè)營業(yè)日內(nèi)將全部款項(xiàng)劃至借款人指定的賬戶,劃付次數(shù)、時(shí)間、金額見 36.4 .

  第五條 article 4 transferring of loan. the full amount of loan shall be transferred to an account designated by the borrower within 5 working days from the date of completing borrowing procedure. refer to 36.4 for the frequency, time and amount of transferring

  第五條 借款利率和計(jì)息。

  article 5. interest rate of loan and calculation

  5.1借款利率。本合同項(xiàng)下借款利率根據(jù)國家有關(guān)規(guī)定,確定利率見36。5 .遇利率調(diào)整時(shí),借款期限在1年(含)以下的,執(zhí)行合同利率,不分段計(jì)息;借款期限在1年以上的,實(shí)行分段計(jì)息,從利率調(diào)整的次年1月1日開始,按相應(yīng)利率的檔次執(zhí)行新的利率;如借款人未按約定時(shí)間歸還借款本息或未按合同約定用途使用借款,貸款人將按國家規(guī)定對(duì)借款人計(jì)收罰息,罰息率見36.6.

  5.1 interest rate of loan: the interest rate under this contract is specified in 36.5 in line with relevant rules. in case of change of interest rate, the interest rate stipulated in the contract shall prevail for loans with a life of less than or equal to one year; for loans with a life exceeding one year, the interest shall be calculated on a multi-stage basis, i.e. from next jan. 1st following the adjustment of interest rate, the new rate shall prevail. in case the borrower fails to repay the principal and interest before the due date, or fails to use the loan for purposes as agreed in this contract, the lender shall be entitled to collect default interest in line with relevant rules. the default interest rate is specified in 36.6.

  5.2遇利率調(diào)整時(shí),實(shí)行分段計(jì)息的,貸款人有權(quán)根據(jù)國家有關(guān)規(guī)定自行調(diào)整,不另行通知借款人。

  5.2 in case of calculating interest on multi-stage basis due to adjustment of interest rate, the lender shall be entitled to adjust the interest rate on his own without further notice to the borrower.

  第六條 還款方式。

  article 6 type of repayment of loan

  6.1借款人應(yīng)在貸款人開設(shè)帳戶,戶名和帳號(hào)見 36.7 ,并保證在每次還款日前足額存入當(dāng)期應(yīng)還款項(xiàng)的存款。借款人在此授權(quán)貸款人從借款人該帳戶中扣收借款本金、利息和可能發(fā)生的復(fù)利、罰息、違約金、保費(fèi)、損害賠償金及實(shí)現(xiàn)債權(quán)的費(fèi)用(含律師費(fèi)和訴訟費(fèi))如該帳戶資產(chǎn)不足以歸還到期的貸款本息,貸款人有權(quán)從借款人在中國工商銀行任何分支機(jī)構(gòu)開立的任何帳戶劃收。

  6.1 the borrower should open an account with the lender( the account name and account number are specified in 36.7.) and promise to deposit sufficient money for repayment before each due date. the borrower hereby authorizes the lender to collect , if any, compound interest, default interest, liquidated damage, premium, compensation and expenses arising from the realization of creditors right (including lawyers fee and court expense)in addition to due principal and interest of loan. in case the asset in this account is not enough for repayment of due principal and interest, the lender shall be entitled to collect from any account opened by the borrower with any branch of icbc.

  6.2貸款人與借款人雙方商定,自貸款發(fā)放次月起,借款人按月歸還貸款本息(一次性還本付息除外),還款期數(shù)及還款方式見 36.8 .

  6.2 the borrower shall repay the principal and interest on a monthly basis (except repaying principal and interest in a lump sum) from the second month following the issuing of loan , as agreed between the borrower and lender. the repayment tenors and type are specified in 36.8.

  6.3借款期間遇利率調(diào)整,如執(zhí)行本合同5.1條實(shí)行分段計(jì)息的,對(duì)借款期限在1年以上的,應(yīng)從利率調(diào)整的次年1月1日開始根據(jù)未償還借款余額和剩余還款期數(shù)進(jìn)行調(diào)整,重新計(jì)算還款金額。

  6.3 in case of multi-stage calculation of interest as specified in 5.1 due to adjustment of interest rate during the life of loan, the repayment amount for loans with a life exceeding one year shall be recalculated on the basis of balance of unpaid loan and the rest of repayment tenor from next jan. 1st following the adjustment of interest rate.

  6.4借款人提前歸還貸款須經(jīng)貸款人書面同意,,提前歸還部分的利息仍按本合同約定的利率和該部分實(shí)際使用天數(shù)計(jì)算。

  6.4 repayment of the loan ahead of schedule by the borrower shall be subject to written consent from the lender. the interest of prepaid amount should be calculated on the basis of rate specified in this contract and actual days.

  第七條 擔(dān)保方式。本合同的擔(dān)保人及擔(dān)保方式見 36.9.具體約定由本合同中相應(yīng)的擔(dān)保條款確足。

  article 7 guaranty type. the guarantor and guaranty type under this contract is specified in 36.9. the specific stipulations are stated in corresponding guaranty clauses.

  第八條 借款人的權(quán)利、義務(wù)。

  article 8 rights and obligations of the borrower.

  8.1借款人的權(quán)利:

  8.1 rights of the borrower.

  按本合同約定的期限和用途取得和使用借款;

  obtain and use the loan for the period and purposes as agreed in this contract.

  違反借款合同的責(zé)任:

  1、貸款方的責(zé)任:貸款方不按合同規(guī)定及時(shí)貸款,應(yīng)償付違約金。

  2、借款方的責(zé)任:借款方不按合同規(guī)定歸還貸款的,應(yīng)當(dāng)承擔(dān)違約責(zé)任,并加付利息。借款方不按合同規(guī)定使用政策性貸款的,應(yīng)當(dāng)加付利息;貸款方有權(quán)提前收回一部分或全部貸款。

  民間借款合同的注意事項(xiàng):

  隨著市場經(jīng)濟(jì)的發(fā)展,經(jīng)濟(jì)生活較為寬裕,資金使用效益被受到重視,民間債權(quán)債務(wù)關(guān)系日趨增多。那么,怎樣才能較好的保護(hù)民間債權(quán)債務(wù)關(guān)系的合法有序以及當(dāng)事人的合法權(quán)益呢?我們的處理經(jīng)驗(yàn)是 :

  1.訴訟時(shí)效問題。需要注意:借款沒有約定還款期限的,債權(quán)人可以隨時(shí)提出還款主張,不受兩年訴訟時(shí)效的限制,但提出還款主張后兩年內(nèi)沒有繼續(xù)主張的,視為超過訴訟時(shí)效,法律不予支持。

  2.原告主張債權(quán)必須提供書面借據(jù);無書面借據(jù)或無法提供的,應(yīng)提供必要的事實(shí)根據(jù)或與自己無利害關(guān)系的兩人以上的證人證言,來支持自己的主張。欠條或者借條在債務(wù)人之手時(shí)一般將被推定為該債務(wù)已經(jīng)清償。

  3.民間借貸的利率可以高于銀行利率,但最高不得超過銀行利率的4倍(含利率本數(shù)),但一定要明確約定,沒有約定利息的,視為無息借款。約定超出銀行同期利率4倍的,超出部分的利息依法不予保護(hù)。出借人不得將利息計(jì)入本金謀取高利,審理中發(fā)現(xiàn)借款人將利息計(jì)入本金計(jì)算復(fù)利的,只返還本金。

  4.出借人明知是為了進(jìn)行非法活動(dòng)而借款的,典型的例子是賭債,其借貸關(guān)系不予保護(hù)。對(duì)雙方的違法借貸行為,可按照有關(guān)法律予以制裁。

  5.行為人以借款人的名義出具的借據(jù)代其借款,借款人不承認(rèn),行為人又不能證明的,由行為人承擔(dān)民事責(zé)任。如借款系用于夫妻共同生活,則由夫妻雙方共同償還。

  6.合伙經(jīng)營期間,個(gè)人以合伙組織的名義借款,用于合伙經(jīng)營的,由合伙人共同償還;借款人不能證明借款用于合伙經(jīng)營的,由借款人償還。

  7.借款的抵押如果涉及不動(dòng)產(chǎn),要到相關(guān)部門辦理登記手續(xù),才能對(duì)抗第三人。

  8.債權(quán)文書如辦理可強(qiáng)制執(zhí)行的公證,則可不經(jīng)法院審理,直接向法院申請(qǐng)強(qiáng)制執(zhí)行。

  9.還款期滿后6個(gè)月內(nèi)必須向擔(dān)保人主張權(quán)利,如過期則擔(dān)保人一般不承擔(dān)擔(dān)保責(zé)任。

  10.為延長訴訟時(shí)效可以用郵政特快專遞不斷寄送追款函,郵件回執(zhí)單必須明確注明寄送的內(nèi)容,如要求還款1萬元的函、要求擔(dān)保人承擔(dān)擔(dān)保責(zé)任的函。

英文合同 篇2

  目錄 CONTENTS

  一、租賃土地情況 Description of the Leased Land

  二、租賃期限 Lease Term

  三、交付時(shí)間 Delivery Date

  四、租金計(jì)算、付款方式及保證金: Rent Calculation, Payment Method and Deposit:

  五、雙方的權(quán)利和義務(wù) The Parties’ Rights and Obligations

  六、合同期滿及終止的處理 Contract Expiration and Termination

  七、違約責(zé)任 Liability for Breach

  八、爭議處理Dispute Settlement

  九、合同生效Effectiveness

  出租方(甲方): Lessor (Party A):

  法定代表人: Legal Representative:

  承租方(乙方):Lessee (Party B):

  法定代表人: Legal Representative:

  根據(jù)國家有關(guān)規(guī)定,甲、乙雙方在自愿、平等、互利的基礎(chǔ)上就甲方將其合法擁有的土地租給乙方使用的有關(guān)事宜,雙方達(dá)成協(xié)議并簽定租賃合同如下:

  Whereas, Party A is the legal owner of the proposed land use right, and Whereas, the Parties agree that Party A shall lease the land to Party B, NOW THEREFORE, the Parties enter into this Lease Contract as follows on the principles of free will, equality and mutual benefit with respect to the land lease pursuant to relevant state regulations:

  一、租賃土地情況 Description of the Leased Land

  甲方將位于的一塊土地以有償?shù)姆绞阶赓U給乙方作 用途使用(經(jīng)營項(xiàng)目要列明細(xì)),該土地總面積為 平方米(具體以測量圖為準(zhǔn)),土地的性質(zhì)為 ,土地證號(hào)為 。

  Party A will lease a plot of land located at [ ] to Party with compensation, and Party B will use the land for [ ] purposes (specific businesses to be listed). The total area of such land is [] square meters (with the specific area to be based on the survey plan), the land status is [ ], and the land use certificate number is [ ].

  二、租賃期限 Lease Term

  租賃期限為 年,即自 年 月 日起至 年 月 日止。

  The lease term shall be [ ] years, commencing on [ ] and ending on [ ].

  三、交付時(shí)間 Delivery Date

  在本租賃合同生效之日起,甲方將土地按現(xiàn)狀交付乙方使用,且乙方同意按土地的現(xiàn)狀承租。

  Party A shall deliver the land to Party B on an “as-is” basis and Party B will use the land starting from the date of effectiveness of this Lease Contract, and Party B agrees to accept the lease of the land on an “as-is” basis.

  四、租金計(jì)算、付款方式及保證金: Rent Calculation, Payment Method and Deposit:

  1、租金計(jì)算:甲、乙雙方約定,該土地租賃第一年每月每平方米租金為人民幣 元()。月租金總額為人民幣元(大寫:),年租金總額為人民幣元(大寫: )。從第二年起每年租金在上一年的基礎(chǔ)上遞增 %(建議年增幅應(yīng)不低于3%,或每三年遞增一次,每次遞增應(yīng)不低于10%)。各年租金詳見下表:

  Rent Calculation: The Parties agree that the rent for the leased land per square meter per month shall be RMB [ ] (in word: [ ]) for the first year. The total monthly rent shall be RMB [] (in word: []), and the total annual rent shall be RMB [ ] (in word: []). Starting from the second year, the annual rent shall increase by [ ]% over the preceding year (It is advised that the annual increase should not be less than 3%, or should increase once every three years at a rate no less than 10%). The annual rents are set forth below:

  2、租金支付:乙方須在每月 號(hào)前繳交當(dāng)月租金,甲方收取租金時(shí)開具收款收據(jù)。

  Rent Payment: Party B shall pay the current month’s rent prior to the []th day of each month, and Party A shall issue a receipt upon receiving the payment.

  3、簽訂合同時(shí),乙方須付保證金人民幣 元( )給甲方,該保證金在本合同履行期滿且乙方無違約情況下由甲方無息歸還給乙方。

  At the time of executing this Contract, Party B shall pay a deposit to Party A in the amount of RMB [] (in word: []). The deposit shall be refunded to Party B free of interest at the expiration of this Contract and provided that Party B has no breach of this Contract.

  五、雙方的權(quán)利和義務(wù) The Parties’ Rights and Obligations

  1、乙方不得中途退租且必須按時(shí)繳交租金。如逾期繳交租金的,每逾期一天按所欠租金的 %計(jì)罰。經(jīng)甲方追收,超過當(dāng)月 日乙方仍未全額繳納當(dāng)月租金的,則視乙方單方違約,因此所產(chǎn)生的經(jīng)濟(jì)損失及糾紛由乙方自負(fù),乙方對(duì)此不得有異議。

  Party B may not terminate the lease prior to the expiration of the lease term and shall pay rent in a timely manner. If Party B fails to pay rent within the specified time limit, Party B shall be required to pay a late payment penalty equivalent to [ ]% of the overdue rent for each day of delay. If, despite Party A’s efforts to pursue the payment, Party B still fails to pay the current month’s rent in full prior to the []th day of the month, Party B shall be deemed as having unilaterally

  breached the contract, and shall be liable for any economic losses and disputes arising therefrom. Party B may not raise any objection to such liabilities.

  2、在租賃期內(nèi)乙方不得將土地出賣、抵押給第三方;未經(jīng)甲方書面同意,不得轉(zhuǎn)租。否則,即屬乙方違約。

  Party B may not sell or mortgage the land to any third party during the lease term. Without Party A’s written consent, Party B may not sublease the land to any third party. Otherwise, Party B shall be deemed as having breached this Contract.

  3、租賃期內(nèi)乙方如需建設(shè)的,必須征得甲方及有關(guān)部門的同意并辦理一切審批手續(xù),建設(shè)相關(guān)費(fèi)用全部由乙方承擔(dān)。如乙方符合法律及政策的有關(guān)要求及條件的,甲方有義務(wù)協(xié)助乙

  方辦理有關(guān)該地塊的相關(guān)手續(xù)(包括報(bào)建、水電、消防、開戶、營業(yè)執(zhí)照等),但所需的一切費(fèi)用由乙方承擔(dān)。

  If Party B needs to carry out any construction during the lease term, Party B shall obtain Party A’s and the competent authorities’ consent, and undertake all necessary approval formalities, with all relevant construction expenses to be borne by Party B. If Party B meets relevant requirements and conditions under laws and policies, Party A shall have the obligation to assist Party B in

  undertaking relevant formalities for such land (including construction proposal submission, water and electricity, fire-fighting, bank account opening and business license, etc.), provided that all necessary expenses shall be borne by Party B.

  4、乙方必須依法經(jīng)營,租賃期內(nèi)必須遵守中華人民共和國的各項(xiàng)法律法規(guī)。在該土地內(nèi)所產(chǎn)生的任何稅費(fèi)(包括國家或地方政府征收的土地使用稅及房產(chǎn)稅等)由乙方負(fù)責(zé)支付。同時(shí),乙方應(yīng)嚴(yán)格按照政府有關(guān)管理要求做好安全、環(huán)保、消防、防噪音等工作,因工作措施不到位而產(chǎn)生責(zé)任事故的,該事故責(zé)任及經(jīng)濟(jì)損失(包括第三方的經(jīng)濟(jì)責(zé)任)由乙方負(fù)責(zé),與甲方無關(guān)。

  Party B shall engage in its business activities according to the law, and must comply with laws and regulations of the People’s Republic of China during the lease term. Party B shall be liable to pay any taxes and fees arising from the land use (including the land use tax and real estate tax levied by state or local governments). Meanwhile, Party B shall take proper measures regarding safety, environmental protection, fire fighting and sound insulation strict in accordance with relevant government management requirements. If no sufficient measures are put in place, thereby causing liability accidents, Party B shall be liable for such accidents and economic losses (including any third party liability), and Party A shall be free from any liability therefor.

英文合同 篇3

  CONTRACT FOR IRANIAN OIL EXPLORATION SERVICE

  伊朗石油勘探開發(fā)服務(wù)合同

  EXPLORATION SERVICE CONTRACT FOR BLOCK between NATIONAL IRANIAN OIL COMPANY and CORPORATION

  伊朗國家石油公司 與石油公司 區(qū)塊勘探服務(wù)合同

  Table of Contents目 錄

  ARTICLE 1 DEFINITIONS第1條 定義

  ARTICLE 2 CONTRACTOR's REPRESENTATIVE OFFICE第2條 承包商辦事處

  ARTICLE 3 OBJECT OF THE CONTRACT第3條 合同宗旨

  ARTICLE 4 TERM OF THE CONTRACT第4條 合同期限

  ARTICLE 5 EXPLORATION OPERATIONS 第5條 勘探作業(yè)

  ARTICLE 6 FINANCING, EXPLORATION EXPENDITURES, REIMBURSEMENT AND PAYMENTS

  第6條 資金、勘探費(fèi)用、回收和支付

  ARTICLE 7 CONDUCT OF OPERATIONS 第7條 作業(yè)實(shí)施

  ARTICLE 8 CONTRACTOR’S OBLIGATIONS 第8條 承包商的義務(wù)

  ARTICLE 9 SUB-CONTRACTORS 第9 條分包商

  ARTICLE 10 PROGRAMMING AND BUDGETING第10條 計(jì)劃和預(yù)算

  ARTICLE 11 BOOKS, ACCOUNTS, VERIFICATION AND AUDITING

  第11條 賬簿、賬戶、審核和審計(jì)

  ARTICLE 12 N.I.O.C's TITLE TO LAND AND PROPERTY

  第12條 N.I.O.C.對(duì)土地和財(cái)產(chǎn)的所有權(quán)

  ARTICLE 13 COMMERCIAL FIELD第13條 有商業(yè)價(jià)值的油(氣)田

  ARTICLE 14 LAND, WATER AND SERVITUDE 第14條 土地、水與地役權(quán)

  ARTICLE 15 UTILIZATION OF IRANIAN CONTENT第15條 伊朗資源的利用

  ARTICLE 16 IMPORTS AND EXPORTS 第16條 進(jìn)口和出口

  ARTICLE 17 CURRENCY EXCHANGE RATES第17條 匯率

  ARTICLE 18 ASSIGNMENT 第18條 轉(zhuǎn)讓

  ARTICLE 19 LIABILITY AND INSURANCE第19條 責(zé)任和保險(xiǎn)

  ARTICLE 20 FORCE MAJEURE第20條 不可抗力

  ARTICLE 21 WAIVERS 第21條 棄權(quán)

  ARTICLE 22 GOVERNING LAW 第22條 適用法律

  ARTICLE 23 ARBITRATION第23條 仲裁

  ARTICLE 24 CONTINUITY OF OPERATIONS第24條 作業(yè)的連續(xù)性

  ARTICLE 25 TERMINATION 第25條 合同終止

  ARTICLE 26 N.I.O.C'S POWER OF CONTROL 第26條 N.I.O.C.的控制權(quán)

  ARTICLE 27 SAFETY, HEALTH AND ENVIRONMENT第27條 安全、健康和環(huán)境

  ARTICLE 28 CONFIDENTIALITY第28條 保密

  ARTICLE 29 HEADING AND AMENDMENTS第29條 標(biāo)題與修訂

  ARTICLE 30 NOTICE第30條 通知

  APPENDIX ACCOUNTING PROCEDURES附錄 會(huì)計(jì)程序

  Service Contract服務(wù)合同

  This Service Contract entered into in Tehran on the day of.

  BETWEEN

  NATIONAL IRANIAN OIL COMPANY a company existing under the laws of IR of Iran (hereinafter referred to as "N.I.O.C") on the one hand and CORPORATION a company incorporated in (hereinafter referred to as "Contractor"), on the other hand,N.I.O.C and Contractor herein are referred to either individually as "Party" or collectively as "Parties".

  WHEREAS N.I.O.C desires to secure the cooperation and services of a qualified contractor to carry out, on its behalf and in its name, certain Exploration perations within the Contract Area specified in the Appendix A hereof.

  WHEREAS CONTRACTOR has expressed its willingness to perform such Exploration Operations in the manner specified in this Service Contract, and is prepared to provide the funding for and bear the sole risk of Exploration Operations on its own account.

  WHEREAS CONTRACTOR has the financial capability, and technical competence necessary for fulfilling the obligations set out hereinafter.

  NOW THEREFORE, it is hereby agreed between N.I.O.C and Contractor as follows:

  本服務(wù)合同由依照伊朗伊斯蘭共和國法律成立的伊朗國家石油公司(以下簡稱N.I.O.C.)與公司(以下簡稱承包商)于在伊朗德黑蘭訂立。

  N.I.O.C.和承包商在下文中單獨(dú)被稱為“一方當(dāng)事人”,合稱為“雙方當(dāng)事人”。

  鑒于N.I.O.C.愿意尋找一合格的承包商代表其利益并以其名義在本合同附件A所指定的合同區(qū)域內(nèi)實(shí)施一定的勘探作業(yè)。

  鑒于承包商愿意按本合同所規(guī)定的形式實(shí)施勘探作業(yè),并準(zhǔn)備提供資金和獨(dú)立承擔(dān)勘探作業(yè)的風(fēng)險(xiǎn)。

  鑒于承包商具備履行以下所述義務(wù)所必需的資金能力和技術(shù)能力。

  基于此,N.I.O.C.與承包商同意以下條款:

  ARTICLE 1 DEFINITIONS第1條 定義

  Unless the context otherwise requires the following definitions of certain terms hereinafter used shall apply for the purpose of this Service Contract.

  除非本合同另有規(guī)定,本條所使用的術(shù)語具有以下定義。

  (i) "Accepted Accounting Practices" shall mean accounting principles, practices and methods that are generally accepted and recognized in the international petroleum industry.

  “通用會(huì)計(jì)慣例”系指國際石油工業(yè)公認(rèn)和認(rèn)可的會(huì)計(jì)準(zhǔn)則、會(huì)計(jì)實(shí)務(wù)和會(huì)計(jì)方法。

  (ii) "Affiliate" means any company or legal entity, which (i) controls either directly or indirectly Contractor, or (ii) which is controlled directly or ndirectly by Contractor, or (iii) is directly or indirectly controlled by a company or entity which directly or indirectly controls Contractor. "Control" means the right to xercise more than fifty percent (50%) of the voting rights in the appointment of the directors of such company or entity.

  “關(guān)聯(lián)公司”系指任何一個(gè)具有下列條件之一的公司或法律實(shí)體:(i)直接或間接控制承包商,或(ii)被承包商直接或間接控制,或(iii)被承包商的公司或?qū)嶓w直接或間接控制。 “控制”系指對(duì)該公司或法律實(shí)體的董事的任命有50%以上的表決權(quán)。

  (iii) "Bank Charges" means the bank charges as defined in the Accounting Procedures “銀行費(fèi)用”系指會(huì)計(jì)程序中所規(guī)定的銀行費(fèi)用。

  (iv) "Barrel" means a volume of forty two (42) U.S. Gallons at sixty (60) degrees Fahrenheit and at normal atmospheric pressure.

  “桶”系指在 60華氏度和正常大氣壓條件下42美式加侖的容積。

  (v) "Capital Costs" means all costs of Exploration Operations incurred by on tractor for carrying out the project until conclusion of Exploration Operations in accordance with the generally accepted principles commonly practiced in the

  international petroleum industry which shall include any and all cost incurred by Contractor except Non-Capital Costs.

  “資本成本”系指承包商依照國際石油工業(yè)界普遍采用和通行的規(guī)則實(shí)施勘探作業(yè)直至勘探作業(yè)結(jié)束,由承包商承擔(dān)的除非資本成本以外所有勘探作業(yè)成本。

  (vi)"Commercial Field" means commercial field as described in Article 13 of this Service Contract.

  “商業(yè)價(jià)值油田”系指本合同第13條所述的具有商業(yè)價(jià)值的油田。

  (vii) "Condensate" means all liquid hydrocarbons, regardless of gravity, produced and recovered from the Contract Area as a liquid during all process necessary to reach the commercial specifications of Natural Gas.

  “凝析油”: 是指從合同區(qū)生產(chǎn)回收的,經(jīng)過處理達(dá)到商業(yè)標(biāo)準(zhǔn)的所有液態(tài)烴,無論其密度如何。

  (viii) "Contract Area" means the area covered by this Service Contract, and described in Appendix A attached hereto and made a part hereof.

  “合同區(qū)域”是指本合同和作為本合同不可分割部分的附件A所描述的區(qū)域。

  (ix) "Contractor" means China Petrochemical Corporation, its legal successors, or any permitted assignee or assignees of any rights and obligations of Contractor. “承包商“系指中國石油化工集團(tuán)公司及其合法承繼者,或任何許可的可履行合同權(quán)利和義務(wù)的受讓人。

  (x) "Controllable Material" means material which, in accordance with generally Accepted Accounting Practices, Contractor elects to record, control and inventory.

  A list of types of such material shall be furnished to N.I.O.C by Contractor within one month of the Effective Date.

  “可控制材料”系指按照公認(rèn)的會(huì)計(jì)準(zhǔn)則,承包商所記錄、控制和庫存的材料。這些材料的分類清單應(yīng)在合同生效后一個(gè)月內(nèi)提交N.I.O.C.。

  (xi) "Crude Oil" means all liquid hydrocarbons, regardless of gravity, including crude petroleum, produced and recovered from the Contract Area, as a liquid at atmospheric pressure fourteen and seven tenths (14. 7) pounds per square inch absolute and ambient temperature.

  “原油”是指所有液態(tài)烴 ,無論密度如何,包括合同區(qū)生產(chǎn)和回收的,在常溫、常壓(每平方英寸十四點(diǎn)七磅)下的液態(tài)油。

  (xii) "Cubic Meter" means one (1) cubic meter at sixty (60) degrees Fahrenheit and at normal atmospheric pressure.

  “立方米”指在正常大氣壓和60華氏度條件下的'一立方米。

  (xiii) "Date of Commerciality" means the first day of the month following the date on which N.I.O.C approves that a Commercial Field has been established according to Article 23.

  “商業(yè)日期”系指N.I.O.C.依照第23條的規(guī)定批準(zhǔn)有商業(yè)價(jià)值的油田建立的次月的第一天。

  (xiv) "Development Service Contract" means development service contract, model form which is attached hereto as Appendix E, that will be negotiated between Contractor and N.I.O.C in case of discovery of a Commercial Field.

  “開發(fā)服務(wù)合同”系指本合同附件E所列的文本,該合同將在發(fā)現(xiàn)有商業(yè)價(jià)值的油田,由承包商和NIOC協(xié)商。

  (xv) "Effective Date" means the date on which this Service Contract, being duly signed by the Parties is approved by the respective authorities.

  “生效日”系指當(dāng)事人雙方正式簽訂本合同后,獲得各自權(quán)利(力)機(jī)構(gòu)批準(zhǔn)的日期。

  (xvi) "Exploration Expenditure(s)" means all expenditures made and paid by

  Contractor necessary to carry out the Exploration Operations covered by this Service Contract comprising Capital Costs and Non-Capital Costs, as determined in accordance with the Accounting Procedure.

  “勘探費(fèi)用”系指承包商為實(shí)施本合同所述勘探作業(yè)按照會(huì)計(jì)程序所發(fā)生和支付的必要費(fèi)用,包括資本成本和非資本成本。

  (xvii) "Exploration Operations" means all or any of the operations conducted by Contractor as authorized or envisaged under this Service Contract.

  “勘探作業(yè)”系指承包商執(zhí)行的本合同項(xiàng)下的所有作業(yè)。

  (xviii) "Exploration Period" means the period of time as defined in Article 4 of this Contract.

  “勘探期”指本合同第4條所規(guī)定的期間。

  (xix) "Financial Year" means a Gregorian calendar year of twelve (12)

  consecutive months commencing on January 1st of each year respectively. The first financial year shall commence on the Effective Date of this Service Contract and end on 31st December of the same year.

  “財(cái)政年度”系指自公歷1月1日起的十二個(gè)連續(xù)公歷月。本合同的第一個(gè)財(cái)政年度應(yīng)始于合同生效日止于當(dāng)年的12月31日。

  (xx)"Land" means any land whether submerged or not.

  “土地”系指任何土地,包括被淹沒或未淹沒的土地。

  (xxi) "Material and Equipment" means Property, (with the exception of Land) including without limitation all facilities, supplies and equipment, acquired and held for use in Exploration Operations by the Contractor.

  “材料和設(shè)備”包括(土地除外)但不限于承包商為實(shí)施勘探作業(yè)獲得和使用的所有設(shè)施、材料和設(shè)備。

  (xxii) "Natural Gas" means the gaseous affluent in its natural state including all of the liquefiable constituent thereof resulting from the production of Petroleum. “天然氣”系指在石油開采過程中生產(chǎn)的、自然狀態(tài)為氣態(tài)的物質(zhì)及其可液化成份。

英文合同 篇4

  借款單位:_______________

  法定代表人:________

  貸款單位:_____________

  法定代表人:________

  保證單位:____________

  法定代表人:________

  簽約日期:________

  根據(jù)《中華人民共和國合同法》的規(guī)定,借款方為保證施工生產(chǎn)正常進(jìn)行,向貸款方申請(qǐng)建筑企業(yè)流動(dòng)資金貸款,經(jīng)貸款方審查同意發(fā)放,為明確各方權(quán)責(zé),特簽訂本合同共同遵守。

  第一條 本合同規(guī)定____ 年貸款額為人民幣(大寫)____ 萬元,用于____ 。

  第二條 借款方和貸款方必須共同遵守貸款辦法,有關(guān)貸款事項(xiàng)按辦法規(guī)定辦理。

  第三條 貸款自支用之日起,按實(shí)際支用數(shù)計(jì)收利息,利率為月息____ ‰,超計(jì)劃貸款的超過部分利率為月息____ ‰,逾期貸款加計(jì)利息20%,挪用貸款挪用部分加罰利息50%。

  第四條 貸款方保證按照本合同的規(guī)定供應(yīng)資金,貸款方如因工作差錯(cuò)貽誤用款,以致借款方遭受損失時(shí),應(yīng)按直接經(jīng)濟(jì)損失,由貸款方負(fù)責(zé)賠償。

  第五條 貸款方有權(quán)檢查貸款使用情況。檢查時(shí),借款方對(duì)調(diào)閱有關(guān)文件、帳冊(cè)、憑證和報(bào)表,查核物資庫存和施工生產(chǎn)情況等,必須給予方便。

  第六條 借款方如違反合同和貸款辦法的規(guī)定,貸款方有權(quán)停止貸款,提前收回部分或全部貸款。

  第七條 擔(dān)保方對(duì)借款方歸還貸款本息承擔(dān)責(zé)任,如果借款方未按期清償貸款本息時(shí),擔(dān)保方應(yīng)在接到貸款方還款通知后一個(gè)月內(nèi)負(fù)責(zé)歸還。

  第八條 本合同有效期:自____ 年____ 月____ 日起,至___ _ 年____ 月____ 日為止。

  本合同正本一式三份,簽章各方各執(zhí)一份。

  借款方:____________(蓋章)________ 代表人____________

  貸款方:____________(蓋章)________ 代表人____________

  擔(dān)保方:____________(蓋章)________ 代表人____________

  Contract Number: _____________

  BORROWER: ________________

  Address: _________________

  LENDER: __________________

  Address: _________________

  In accordance with provisions of Contract Law of the Peoples Republic of China and Bank of China, after reviewing the status and the request of the Borrower, the Lender agrees to grant the Borrower a line of credit on . The Borrower, Lender and Guarantor, through friendly negotiation, have executed this Contract as follows:

  ARTICLE 1 CURRENCY, AMOUNT AND TERM OF THE LOAN:

  1. The Currency under this loan is Reiminbi.

  2. The Line of the loan is yuan.

  3. The period of this loan is 12 months from the date of effectiveness of this contract.

  ARTICLE 2 THE PURPOSE OF THE LOAN:

  1. The purpose of this loan is used for working capital turnover.

  2. Without written approval of the Lender, the Borrower could not use the loan out of the scope of the purpose.

  ARTICLE 3 INTEREST RATE AND CALCULATION OF INTEREST:

  1. Interest rate: The interest rate shall be [***] During the loan term, if the countrys related authority adjusted the interest rate or the manner of calculation of interest, the interest of this

英文合同 篇5

  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)于購貨合同:

  其中購貨合同指的是企業(yè)作為需向供貨廠商(供方)采購材料,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,又稱訂購合同。

  對(duì)于購貨合同是指企業(yè)作為需向供貨廠商(供方)采購材料,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,又稱訂購合同。購貨合同只有在合同條款不與企業(yè)所在地國家與地方實(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6

  CONTRACT

  КОНТРАКТ

  No.( Нет.)

  Company Name:

  And (и)

  Company Name:

  signed this Contract as following:

  подписали настоящий Договор о следующем:

  1. THE SUBJECT OF THE CONTRACT

  Предмет контракта

  1.1. The SELLER sells and the BUYER buys the following

  Покупатель согласился купить, продавец согласен продать следующие продукты:

  Место погрузки: КНР, г. Shenzhen

  1.2 In case of discrepancies between the Chinese text, English text and Russia text of this contract , the English text shall prevail.

  В случае расхождения, оригинальным признается вариант контракта на английском языке.

  2. QUANTITY AND QUALITY

  КОЛИЧЕСТВО И КАЧЕСТВО:

  2.1. Quantity of the GOODS should supplied according to the Contract

  Количество товара должно поставляться в соответствии с Договором

  2.2. The BUYER and the SELLER bear the full responsibility for monitoring procedure of quality at mutual trust to each other.

  The BUYER can send representative to SELLER’s warehouse to inspect the finished product.

  The SELLER must control the product quality continuously. And the SELLER must keep paper record for some control process.

  ПОКУПАТЕЛЬ и ПРОДАВЕЦ несут полную ответственность за проведение контроля качества при взаимном доверии друг к другу.

  Покупатель может послать представителя для склада ПРОДАВЦА для проверки готовой продукции. Продавец обязан контролировать качество продукции непрерывно. И продавец должен держать бумаги запись в течение некоторого процесса управления.

  2.3 Warranty time: within 18 months after buyer receipt of the goods

  Время гарантированности: Все оборудование имеет заводскую гарантию 18 месяцев с момента получения оборудования покупателем.

  3. BASIC TERMS OF DELIVERY OF GOODS

  ОСНОВНЫЕ УСЛОВИЯ ПОСТАВКИ ТОВАРОВ

  3.1 SELLER delivers the GOODS to the BUYER on terms of CIF , seaport Odessa, Ukraine, (According to the International terms Regulations, revision 20xx).

  Продавец предоставляет товар в распоряжение покупателя на условиях CIF, морского порта Одесса, Украина, (В соответствии с Международными терминов Положения, пересмотр 20xx г.).

  3.2 The delivery time is six months after received the down payment

  Срок поставки через шесть месяцев после получил авансовый платеж

  4. PRICE OF GOODS AND TOTAL AMOUNT OF THE CONTRACT

  ЦЕНА ТОВАРОВ И ОБЩАЯ СУММА КОНТРАКТА

  4.1 The price is fixed

  цена фиксирована

  4.1 The price for the GOODS is fixed in USD

  Цена на товар фиксируется в долларах США

  4.2 The total price of the contract is USD ,

  Общая сумма контракта составляет: USD_____

  4.3 Packing charges , international sea shipping and insurance costs are included.

  Упаковка обвинения, международные морские перевозки и страхования затраты включаются.

  5.TERMS OF PAYMENT AND DELIVERY

  УСЛОВИЯ ОПЛАТЫ И ДОСТАВКА

  5. 1 Down payment: 35% of total contract price paid by T/T. After receiving payment, the Seller starts producing equipment

  Первый взнос: 35% от общей стоимости контракта оплачивается T / T. После получения предоплаты, Продавец начинает изготавливать оборудование

  5.2 payment before delivery: 60% of total contract price paid by T/T. A After receiving payment, the Seller

  shall deliver the equipments soon,

  оплата до поставки: 60% от общей стоимости контракта оплачивается T / T. После получения

  оплаты, Продавец поставляет оборудование в ближайшее время,

  5.3Quality guarantee deposit: 5% of total contract price paid by T/T. After receipt of the equipment and check its packaging by the buyer within 7 days

  качество гарантийный депозит: 5% от общей стоимости контракта оплачивается T / T. После

  получении оборудования и проверки его комплектации Покупатель в течении 7 дней

  6. PACKING AND MARKING

  УПАКОВКА И МАРКИРОВКА

  7. FORCE MAJEURE

  ФОРС-МАЖОР

  If the force majeure event occurs (War, civil strife, earthquakes, fires, floods, etc.)

  The two sides could not foresee its occurrence, when the consequences of its impact on the contract, Disputing party needs to send the certificate documents to other party to prove the force majeure event occurs. The documents should send to other party within 10 days.This documents can avoid the responsibility.

  Если происходит событие форс-мажор (Война, гражданские беспорядки, землетрясения, пожары, наводнения и т.д.)

  Обе стороны не могли предвидеть его появление, когда последствия ее воздействия на договоре, оспаривая партию необходимо отправить сертификат документов другой стороне, чтобы доказать

  происходит событие форс-мажорные обстоятельства. Документы должны отправить на другой стороной в течение 10 дней. Этот документ может избежать ответственности.

  8. ARBITRATION

  Арбитраж

  All disputes arising from the execution of , or in connection with this contract, shall be settled amicably through friendly negotiation. In case no settlement can be reached through negotiation, the case shall then be submitted to The China International Economic and Trade Arbitration Commission, Beijing, China,for arbitration in accordance with its Rules of Arbitration.

  9. OTHER CONDITIONS

  другие условия

  In all other respects, if any matter is agreed by both parties, the contract can make modify.

  This contract is signed in two copies in English and Russian. Each party get one copy, each copy is legal Во всех других отношениях, если любой вопрос согласовывается обеими сторонами, договор может делать изменения.

  10. BANK DETAILS

  БАНКОВСКИЕ РЕКВИЗИТЫ

  10.1 BUYER(Продавец):

  10.2 SELLER(Продавец):

  BANK INFORMATION(Реквизиты банка )

  COMPANY NAME: Fuchun Ind Dev Co.,Ltd. Shenzhen

  ADDRESS: 15E XINHAI BUILDING,NANSHAN AVENUE, NANSHAN DISTRICT, SHENZHEN 518052,CHINA

  TEL: 86-755-26575526 FAX: 86-755-26575026

  Bank A/C NO: 745859587561

  Bank Name: SONG RI DING SHENG SUB-BRANCH, SHENZHEN BRANCH, BANK OF CHINA Address of Bank: Songridingsheng Building North, No 9996,Shennan Road,Yuehai Sub-District, Nanshan District, Shenzhen ,China

  SWIFT CODE: BKCHCNBJ45A

  11.SIGNATURE OF EACH PARTY

  ПОДПИСЬ каждая сторона

英文合同 篇7

  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___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)│ ││

 。⊿hipment Quantity % more │ ││

  Or less allowd │ ││

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

  Time of Shipment:

  (6)裝運(yùn)口岸

  Ports of Loading

 。ǎ罚┠康目诎

  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

 。ǎ梗└犊顥l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8

  合 同

  CONTRACT

  日期: 合同號(hào)碼:

  Date: Contract No.:

  買 方: (The Buyers) 賣方: (The Sellers)

  茲經(jīng)買賣雙方同意按照以下條款由買方購進(jìn),賣方售出以下商品:

  This contract is made by and between the Buyers and the Sellers; whereby the Buyers agree to buy and the Sellers agree to sell the under-mentioned goods subject to the terms and conditions as stipulated hereinafter:

  (1) 商品名稱:

  Name of Commodity:

  (2) 數(shù) 量:

  Quantity:

  (3) 單 價(jià):

  Unit price:

  (4) 總 值:

  Total Value:

  (5) 包 裝:

  Packing:

  (6) 生產(chǎn)國別:

  Country of Origin :

  (7) 支付條款:

  Terms of Payment:

  (8) 保 險(xiǎn):

  Insurance:

  (9) 裝運(yùn)期限:

  Time of Shipment:

  (10) 起 運(yùn) 港:

  Port of Lading:

  (11) 目 的 港:

  Port of Destination:

  (12)索賠:在貨到目的口岸45天內(nèi)如發(fā)現(xiàn)貨物品質(zhì),規(guī)格和數(shù)量與合同不符,除屬保險(xiǎn)公司或船方責(zé)任外,買方有權(quán)憑中國商檢出具的檢驗(yàn)證書或有關(guān)文件向賣方索賠換貨或賠款。

  Claims:

  Within 45 days after the arrival of the goods at the destination, should the quality, Specifications or quantity be found not in conformity with the stipulations of the contract except those claims for which the insurance company or the owners of the vessel are liable. The Buyers shall, have the right on the strength of the inspection certificate issued by the C.C.I.C and the relative documents to claim for compensation to the Sellers.

  (13)不可抗力:由于人力不可抗力的原由,發(fā)生在制造、裝載或運(yùn)輸?shù)倪^程中導(dǎo)致賣方延期交貨或不能交貨者,賣方可免除責(zé)任。在不可抗力發(fā)生后,賣方須立即電告買方及在14天內(nèi)以以空郵方式向買方提供事故發(fā)生的證明文件,在上述情況下,賣方仍須負(fù)責(zé)采取措施盡快發(fā)貨。

  Force Majeure:

  The sellers shall not be held responsible for the delay in shipment or non-deli-very of the goods due to Force Majeure, which might occur during the process of manufacturing or in the course of loading or transit. The sellers shall advise the Buyers immediately of the occurrence mentioned above the within fourteen days there after. The Sellers shall send by airmail to the Buyers for their acceptance certificate of the accident. Under such circumstances the Sellers, however, are still under the obligation to take all necessary measures to hasten the delivery of the goods.

  (14)仲裁:凡有關(guān)執(zhí)行合同所發(fā)生的一切爭議應(yīng)通過友好協(xié)商解決,如協(xié)商不能解決,則將分歧提交中國國際貿(mào)易促進(jìn)委員會(huì)按有關(guān)仲裁程序進(jìn)行仲裁,仲裁將是終局的,雙方均受其約束,仲裁費(fèi)用由敗訴方承擔(dān)。

  Arbitration:

  All disputes in connection with the execution of this Contract shall be settled friendly through negotiation. In case no settlement can be reached, the case then may be submitted for arbitration to the Arbitration Commission of the China Council for the Promotion of International Trade in accordance with the Provisional Rules of Procedure promulgated by the said Arbitration Commission. The Arbitration committee shall be final and binding upon both parties. And the Arbitration fee shall be borne by the losing parties.

  買方: 賣方:

 。ㄊ跈(quán)簽字) (授權(quán)簽字)

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