How Can The Importer Collect The Document And Arrange The Payment Setting
Posted: Fri Jan 22, 2016 9:54 pm
Issuing bank ('i/b' = reimbursement bank) opened Sight LC to advising bank ('a/b') and amended confirmation status to 'MAY ADD' and payment instruction as 'UPON RECEIPT OF DOCUMENTS IN COMPLIANCE WITH L/C TERMS, I/B AUTHORIZE REIMB BANK TO CLAIM AT SIGHT'. and available with Bank XXX by negotiation.
and then, next day 'a/b' requested another amendment as this:-
- Confirmation status: Confirm/May add
- Payment instruction: Upon receipt of documents in order at confirming bank's counter, we authorize you to claim reimbursement from reimbursing bank at sight.
In this case, how can the importer collect the document and arrange the payment setting?
Does this mean that confirming bank pay to nego bank first and on the same day, they claim by MT742 to i/b at sight basis? once payment is done, will confirming bank deliver the documents to i/b? What charges will be incurred in this payment structure? I find this is totally unnecessary procedures involved.
and then, next day 'a/b' requested another amendment as this:-
- Confirmation status: Confirm/May add
- Payment instruction: Upon receipt of documents in order at confirming bank's counter, we authorize you to claim reimbursement from reimbursing bank at sight.
In this case, how can the importer collect the document and arrange the payment setting?
Does this mean that confirming bank pay to nego bank first and on the same day, they claim by MT742 to i/b at sight basis? once payment is done, will confirming bank deliver the documents to i/b? What charges will be incurred in this payment structure? I find this is totally unnecessary procedures involved.