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英文合同

時間:2021-12-19 11:16:46 合同范本 我要投稿

英文合同模板集合7篇

  隨著人們法律意識的建立,能夠利用到合同的場合越來越多,簽訂合同也是避免爭端的最好方式之一。那么相關(guān)的合同到底怎么寫呢?下面是小編收集整理的英文合同7篇,希望能夠幫助到大家。

英文合同模板集合7篇

英文合同 篇1

  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,向貸款方申請建筑企業(yè)流動資金貸款,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貽誤用款,以致借款方遭受損失時,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,借款方對調(diào)閱有關(guān)文件、帳冊、憑證和報表,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,擔(dān)保方應(yīng)在接到貸款方還款通知后一個月內(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2

  Contract No.: LYLS-01-20121228

  日期:20xx-12-28

  Date: 20xx-12-28

  簽約地點(diǎn):

  Place: ZIYANG, CHINA 合 同 Contract 合同號:

  買方:

  The buyers: Sichuan LianYou Textile Industry Corporation (LMT)

  General Manager: Huang De

  賣方:

  The sellers: German Textile Machinery Company

  Sales Manager: David Paul

  本合同由買賣雙方根據(jù)下列條款和條件,經(jīng)買賣雙方共同協(xié)商簽訂,以便共同遵守

  This contract is made by and between the buyer and the seller: whereby the buyer and the seller agree to the under-mentioned goods subject to the terms and conditions as stipulated below:

  1. 商品名稱和規(guī)格

  Name of Commodity and Specification

  Name of Commodity :Flexible Rapier Loom抗擾箭桿織布機(jī)

  Specifications: MIG,德國最新生產(chǎn)MIG型號

  Quantity:50.00sets

  Unit price: USD$150000.00/set CIF5% SHANGHAI, CHINA

  Total value: USD$ 7500000.00

  2. 原產(chǎn)國及制造廠商:

  Country of origin & manufacturer: Germany

  3. 裝運(yùn)期限:

  Shipping date: NOT LATER THAN MAR 30, 20xx

  4. 裝運(yùn)口岸:

  Port of loading: Hamburger Germany

  5. 到貨口岸

  Port of destination: SHANGHAI, CHINA

  6. 付款條件:

  Terms of payment: 100% of the total value will be paid by L/C at 90 days at sight.

  7. 包裝:需用適合長途海運(yùn),防潮、防濕、防震、防銹、耐粗暴搬運(yùn)的包裝,由包裝不良

  所發(fā)生的損失,由于采用不充分或不妥善的防護(hù)措施而造成的任何銹損,賣方應(yīng)負(fù)擔(dān)由此產(chǎn)生的一切費(fèi)用和/或損失。

  Packing: The packages should be suitable for long distance freight transportation and well protected against dampness, moisture, shock, rust and rough handling. The sellers shall be liable for any damage to the goods on account of improper packing and for any rust damage attributable to inadequate or improper protective measures taken by the sellers.

  8. 裝運(yùn)條款:賣方保證按時將合同所述貨物運(yùn)往買方港口。

  Terms of shipment: The seller shall ship the goods within the shipping date from the port of shipment to the

  port of destination. Transshipment is not allowed without the buyer’s consent.

  9. 裝運(yùn)通知:貨物全部裝船后,賣方將于10個工作日內(nèi)將合同編號、商品名稱、數(shù)量、毛重、發(fā)票金額、船名和開船日期傳真通知買方。

  Shipping advice: The seller shall within 10 working days after the completion of the loading of the goods advise by fax the buyers of the contract No., commodity, quantity, invoice value, gross weight, name of vessel and date of sailing.

  10. 保險:

  Insurance: Insurance shall be covered by the seller for 110% of the invoice value against Additional Risks and Strike Risks 11. 檢驗(yàn): Inspection 賣方須在裝運(yùn)前15日委托德國機(jī)械進(jìn)出口檢驗(yàn)機(jī)構(gòu)對本合同之貨物進(jìn)行檢驗(yàn)并出具檢驗(yàn)證書,貨到目的港后,由買方委托中國進(jìn)出口貨物檢驗(yàn)機(jī)構(gòu)進(jìn)行檢驗(yàn)。 The Seller shall have the goods inspected by 15 days before the shipment and have the Inspection Certificate issued by German Machinery I/E Inspection Bureau. The Buyer may have the goods reinspected by China I/E Inspection Corporation Shanghai Branch after the goods arrived at the destination.

  12. 索賠:貨物到達(dá)買方后,買方應(yīng)向中國進(jìn)出口商品檢驗(yàn)檢疫局申請對質(zhì)量、規(guī)格、數(shù)量進(jìn)行初步檢驗(yàn),并出具檢驗(yàn)證明書,如發(fā)現(xiàn)貨物品質(zhì)、規(guī)格、數(shù)量與合同不符,除保險公司或船運(yùn)公司應(yīng)負(fù)責(zé)的以外,買方在貨到90天內(nèi)有權(quán)換貨或索賠,一切費(fèi)用(如商檢費(fèi)、相關(guān)的運(yùn)費(fèi)、保險費(fèi)etc)由賣方承擔(dān)。

  Claims: Within 90 days after the arrival of goods at destination should be 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, on the strength of the inspection certificate issued by Entry-Exit Inspection and Quarantine of the People’s Republic of China have the right to claim for replacement with new goods or for compensation and all the expenses (such as inspection charges, freight for returning the goods and for sending the replacement insurance premium) shall be borne by the sellers.

  12. 仲裁:凡有關(guān)本合同或執(zhí)行本合同而發(fā)生的一切爭執(zhí),應(yīng)通過友好協(xié)商解決。如不能解決,則應(yīng)申請進(jìn)行仲裁。仲裁將在中國貿(mào)易促進(jìn)委員會仲裁委員會進(jìn)行。其做出的裁決是最終的,買賣雙方均應(yīng)受其約束,任何一方不得向法院或其他機(jī)關(guān)申請變更。仲裁費(fèi)用由敗訴方負(fù)擔(dān)。

  Arbitration: All disputes in connection with this contract or the execution thereof shall be settled through friendly negotiation, in case no settlement can be reached through negotiations, the case under dispute shall be submitted for arbitration to the China Economic and Trade Arbitration Commission Beijing in accordance with the provisional rules of procedures promulgated by the said arbitration commission. The award of the arbitration shall be final and binding upon both parties for revising the decision. The arbitration fee shall be borne by the losing part.

  13. 不可抗力:由于人力不可抗拒事故,而賣方交貨遲延或不能交貨時,責(zé)任不在賣方,但賣方應(yīng)立即將事故通知買方,并于事故發(fā)生后十四天內(nèi)將事故發(fā)生地政府主管機(jī)關(guān)出具的事故證明用空郵寄交賣方為證。

  Force Majeure: The seller shall not be held responsible for any delay in delivery or non-delivery of the goods due to force majeure, which might occur during the process of manufacturing or in the course of loading or transit. However, the seller shall advise the buyer immediately of such occurrence and within 14 days thereafter, the seller shall send by airmail to the buyers for their acceptance a certificate of the accident issued by the competent government authorities of the place where the accident occurs as evidence thereof.

  14. 附加條款:本合同一式二份買賣雙方各執(zhí)一份。

  Supplements and other terms: This contract is made in two originals, one original to be held by each party. The original pieces have the same law effect to each party. All the disputes would be solved by the buyer within the people’s court of Sichuan province according to the Contract Law of PRC.

英文合同 篇3

  Mrs. Ghazala Waheed wo Abdul Waheed, Adult, Ro House No.***-*, DHA, Lahore Cantt, (hereinafter to as the LESSOR of the ONE PART).

  And

  Mr.* ***,Ro 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 reective 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, DD,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 2 months

  Commencing from 5th January xx年,自 年 月____日起至_______年____月____日止。

  the tenancy shall be for a term of years,commencing on ______________and expiring on __________________.

  4.2 租賃期滿,如乙方不再根據(jù)此條款續(xù)約,甲方有權(quán)收回全部出租房屋,乙方應(yīng)如

  期交換出租房屋予甲方。乙方如要求續(xù)租,須在本合同期滿三個月前向甲方提出書面申請,再由雙方另行續(xù)租事宜。

  on expiry of the tenancy, if party b has not exercised its option to renew this agreement in accordance with this clause,party a has the right to repossess the entire leased property,and party b shall deliver the leased property to the party a provided always that party b shall have the option to renew this agreement upon giving prior written novice to party a of its intention to do so that least three(3) months before the expiration of this agreement.

  五、租金:

  rent

  5. 雙方談定的租金為每月____________________人民幣,租金包括除水、電、液化氣、電話費(fèi)以外的一切管理費(fèi)。

  the rent for the leased property as agreed to by both parties is rmb___________yuan per month, which rent includes all management fee.

  5.2 支付甲方壹個月的租金,應(yīng)在每個月的第十天以前支付給甲方。

  party b pay the rental fee before the tenth day of every calendar one month.

  5.3 所有保證金、租金等費(fèi)用均以人民幣通過銀行匯入甲方所提供的以下銀行賬戶及戶名:

  賬號:____________________戶名:______________開戶行:____________________

  all payments of security deposit,rent fee,etc heteunder shall be made be made by bank transfer rmb to party a's following account.

  account no:________________________,user name:_____________bank:___ ________ __

  六、保證金:

  security deposit:

  6. 為確保出租房屋及其設(shè)施之安全并完好及租賃期內(nèi)相關(guān)費(fèi)用之如期結(jié)算,乙方同意于簽訂合同 0天內(nèi)支付給甲方貳個月租金的租賃押金計(jì)__________________人民幣作為乙方確保合同履行之保證金。乙方搬入后十天內(nèi)付壹個與租金計(jì)______________人民幣。

  to ensure the protection and good condition of the leased property and the related facilities as well as the prompt payment and settlement of all related charges during the term of tenancy,party b agrees to pay to party a with 0 days when the execution of this agreement a security for party b’s obligations hereunder. when party b move in,party b pay one month’s rental in the amount of___________with 0days.

  6.2 除合同另有約定之外,甲方應(yīng)于租賃期滿或此合同提前終止之期且乙方透空、點(diǎn)清并付清所有應(yīng)付費(fèi)用后,當(dāng)天將保證金全額無息退還乙方,如保證金以人民幣支付,屆時也應(yīng)以人民幣形式退還。

  unless otherwise provided in this agreement, party a shall return to party b the entire security deposit without interest thereon upon expiration or soonder detemination of this agreement provide that party b has vzcated the leased property and settled all related charges. if this security deposit was paid in rmb,it shall be returned to party b in the form of rmb.

  七、其他費(fèi)用:

  other charges:

  乙方應(yīng)承擔(dān)租賃期內(nèi)實(shí)際使用而產(chǎn)生的水、電、液化氣費(fèi)、電話費(fèi)并按單自行如期交納所屬管理公司或有關(guān)機(jī)構(gòu)。

  during the term of tenancy,party b is reonsible for paying the charges in relation to water, electricity, gas,telephone charges on the basis of the amount of such utilities party b uses. such charges shall be paid when due according to the invoice therefore received by party b from the management company or relevant authority every month.

  八、甲方的責(zé)任:

  party a’s obligations:

  8. 甲方須按時將出租房屋及其家私家具用品與其設(shè)施以良好狀態(tài)交付乙方使用。

  party a shall deliver on schedule to party bvacant possession of the leased property including the furniture,furnishing and appliances and the related facilities for party b’s use(furniture,furnishing and appliances to be detailed in appendisl.)

  8.2 租賃期內(nèi)甲方不得收回出租房屋(除非本合同另有規(guī)定),甲方保證乙方可不受干擾的享用該物業(yè)。

  party a shall not repossess the leased property during the term of party a disturb of interfere with party b’s quiet enjoyment of the leased property.

  8.3 在乙方遵守本合同的條款及支付租金的前提下,乙方有權(quán)于租賃期內(nèi)拒絕甲方或其他人騷擾而安靜享用出租房屋。

  proviede that party b pays the rent and performs and observes party b’s terms and conditions in accordavce with this agreement, party b shall be entitled to hold and enjoy the leased property throughout the term of this tenancy without any interruption by party a or any other person.

  8.4 租賃期內(nèi)出租房屋的結(jié)構(gòu),進(jìn)出物業(yè)的排水、上下管道、電路等處于良好使用狀態(tài)。

  party a agrees to repair and maintain the structure,drains, pipes and cables, etc.leading in to or from the leased property at all times in good and tenable repair during the term of this tenancy.

  九、乙方的責(zé)任:

  party b’s obligations:

  9. 乙方應(yīng)按合同的規(guī)定,按時支付租金,保證金及其他各項(xiàng)應(yīng)付費(fèi)用。

  party b shall promptly pay all rent ,security deposit and other charges payable by it in accordance with the terms of this agreement.

  9.2 乙方應(yīng)愛護(hù)使用出租房屋,如因乙方的過失或過錯致使房屋設(shè)施及屋內(nèi)用具和飾品受到損壞(正常損耗除外),乙方應(yīng)負(fù)賠償責(zé)任。

  paryt b shall treat the leased property with care. if as a result of party b’s negligence or misconduct, the leased property and the related facilities and accessorties suffer any damage(fair wear and tear excepted ),party b shall be reonsible for compensating party a for such damages.

  9.3 乙方應(yīng)按本合同的約定合法使用出租房屋,不得擅自改變使用性質(zhì),不應(yīng)存放中華人民共和國法律下所禁止的危險物品,如因此發(fā)生損害,乙方應(yīng)承擔(dān)全部責(zé)任。

  party b shall use the leased property legally as agreed in this agreement and may not change such use on its own…party b shall not store any dangerous items which are prohibited by the laws in the people’s republic of china in the leased property and shall be fully reonsible for any admages of losses as result thereof.

  9.4 未經(jīng)甲方事先書面同意,乙方不得將出租房屋轉(zhuǎn)租或租給其他的第三者。

  without party a’s prior written consent ,party b may not assign the tenancy or sublet the leased property to a third party.

  十、違約處理:

  breach of agreement :

  10. 1 甲、乙任何一方如未按本合同的條款履行,構(gòu)成違約,應(yīng)承擔(dān)相應(yīng)的違約責(zé)任。雙方同意違約方應(yīng)賠償守約方之直接損失人民幣____________元。

  if either party a or party b fails to perform its obligations hereunder ,it shall constitute a breach of this agreement and the defaulting party shall be liable for the liabilities resulting from such breach. the parties agree that the party in breach shall pay the other party compensation ____________________for the direct loss and damage suffered by the other party as result of such breach .

  10.2 乙方有下列行為之一的,甲方有權(quán)終止本合同,收回出租房屋,并且保證金不予返還;

  party a shall have the right to terminage this agreement ,repossess the leased property and forfeit the security deposit if party b commits one of the following:

  a.未得甲方書面書面同意,將出租房屋擅自轉(zhuǎn)租;

  sublets the leased property without party a’s written consent;

  b.未得甲方同意將出租房擅自拆改結(jié)構(gòu)或改變用途的:

  alters the structure of the leased property or uses the leased property other than for the purpose started herein without party a’s consent;

  c.無故拖欠租金超過三天(除雙方就本合同存在爭議除外)。

  fails to pay rent without any reason for more than thirty (30)days after the due date except where there is a diute in reect of this agreement.

  十一、適用法律:

  applicable law:

  本合同的成立,其有效性、結(jié)實(shí)、簽署和解決與其他有關(guān)的一切糾紛均應(yīng)受中國法律的管轄并依據(jù)中國法律解釋。

  the formation of this agreement ,its validity,interpretation,executiong and settlement of any diutes arising hereunder shall be governed by and construed in accordance with the laws of the people’s republic of china.

  十二、爭議的解決:

  diute resolution:

  凡因執(zhí)行本合同所產(chǎn)生的或與本合同有關(guān)的一切爭議,雙方應(yīng)通過友好協(xié)商解決;協(xié)商不成,應(yīng)提交中國國際經(jīng)濟(jì)貿(mào)易仲裁委員會,按其仲裁規(guī)則和中華人民共和國仲裁法進(jìn)行仲裁。仲裁解決是終局的,對雙方都有約束力。

  in the case of diutes arising over this agreement of any matters related hereto ,the parties shall negotiate in good faith to resolve such diutes.if such negotiation fails, the parties shall submit the diute to arbitration by the china international economic and trade arbitration commission in accordance with its arbitration rules and the arbitration law of the people’s republic of china.the decision of the arbitration body is final and shall be binding on the parties hereto.

  十三、其他

  others:

  13. 1 本合同如有未盡事宜,由甲、乙雙方洽談解決。

  if this agreement it unclear with reect to certain matters, the two parties shall discuss to resolve such ambiguities.

  13.2 本合同由中、英文寫成,兩種文本具有同等效力。

  this agreement is written both in the chinese and english languages.both versions shall be equally authentic.

  13.3 本合同經(jīng)雙方簽字后立即生效,未經(jīng)雙方同意,不得任意終止或修改,本合同另有約定除外,本合同一式二份,甲、乙雙方各執(zhí)一份。

  this agreement shall become effective upon the signing thereof by the parties hereto an registration with the relevant authorities.save and except as provided in this agreement ,this agreement may not bye terminated or amended without the consent of both parties.there are two(2) originals of this agreement ,one for party a,one for party b.

  本合同于__________年 月_____日簽訂。

  this agreement was signed in __________________on ________________

  甲方: 乙方:

  partya: partyb:

  蓋章: 蓋章:

  seal: seal:

  地址: 地址:

  address: address:

  電話: 電話:

  telephone number: telephone number:

  傳真: 傳真:

英文合同 篇4

  金苑服飾有限公司銷售合同

  Jinyuan Garments & Accessories Co., Ltd

  SALES CONTRACT

  合同編號:JYFS120602

  CONTRACT NO. JYFS120602

  日期:20xx年6月22日

  DATEJune 22, 20xx

  買方美國紐約第五大道服裝大賣場

  聯(lián)系電話:+537 070 186 532傳真:+537 070 186 532

  BUYERThe United States 5th Avenue clothing hypermarket

  TEL: +537 070 186 532 FAX: +537 070

  賣方中國福建金苑服飾有限公司

  聯(lián)系電話:0595—7656300 傳真:0595—7656300

  SELLERChina Fujian Jinyuan GARMENTS & ACCESSORIES CO.,

  LTD

  TEL: 0595—7656300 FAX: 0595—7656300

  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 goods on terms and conditions as below :

  (1) 貨物名稱及規(guī)格,包裝及裝運(yùn)標(biāo)志 | (2) 數(shù) 量(件)| (3) 單 價(美元) | (4) 總 價(美元)

  Name of Commodity, Specifications, QuantityUnit Price ($)Total Amount($)

  Packing and Shipping Marks

  金苑20xx新品襯衫,貨號:A22105400024.00 96000.00

  Jinyuan20xx New Shirt, Item No.A22105 4000 24.00 96000.00

  金苑20xx新品襯衫,貨號:H22103400024.70 98800.00

  Jinyuan20xx New Shirt , Item No.h22103 4000 24.70 98800.00

  金苑20xx新品襯衫,貨號:A22111400021.30 85200.00

  Jinyuan20xx New Shirt , Item NoA22111 400021.30 85200.00

  金苑20xx新品休閑淑女褲, 600030.50 183000.00

  貨號:C22105

  Jinyuan 20xx New Casual Lady pants 6000 30.50183000.00

  Item No.:C22105

  金苑20xx新品休閑七分褲, 600032.40 194400.00

  Jinyuan20xx New Casual Cropped pants6000 32.40 194400.00

  貨號:C22108

  Item No. C22108

  規(guī)格

  Specification

  材料:50%—80%棉,20%—50%滌綸;Material: 50%-80% cotton 20%-50% dacron

  尺寸:S—XL,每種款式各個尺寸配送 Size:S-XL, The distribution number of each style in all size,

  namely each size distribute 1/4 of the total number

  配送數(shù)量,即每個尺寸配送數(shù)量占每種

  總數(shù)量的1/4;

  顏色:每種產(chǎn)品所具有的顏色都配送相 Color:the color of each kind of product distribute the same quantity.namely distribution quantity=total number/the number of color

  等數(shù)量,即配送數(shù)量=總件數(shù)/顏色總數(shù);

  包裝:單件產(chǎn)品用透明塑料袋包裝,每個Packing:A single product with a transparent plastic bag

  紙箱裝50件尺寸一致的產(chǎn)品,紙箱外部 50 pieces of products in each carton of the same size

  由防水袋包裹,內(nèi)置50克干燥劑一袋,Wrapped by waterproof bag, with a bag of 50 grams desiccant

  紙箱規(guī)格為60*70*900(mm);并配 Carton standard 60*70*900(mm)

  送24000個金苑服飾購物袋。Distribute 24000 pieces of Jinyuan shipping bags.

  裝運(yùn)標(biāo)志:

  Shipping mark 總計(jì): Total No. (裝運(yùn)數(shù)量允許有2%的增減 Shipping Quantity Two Percent More or Less Allowed)

  (5) 裝運(yùn)期限

  Time of Shipment50DAYS AFTER THE SELLER RECEIVE

  THE L/C.

  (1) 裝運(yùn)口岸 福建泉州新港

  Port of shipment

  (2) 目的口岸 伊麗莎白港

  Port of Destination

  (3) 保險投保

  Insurance

  (4) 付款條件

  Terms of Payment IRREVOCABLE L/C AT SIGHT

  該信用證必須在 45天 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) .

  The covering Letter of Credit must reach the Sellers 45 Days Prior to the Shipment Date

  and is to remain valid in above indicated Loading Ports 15 days after the date of shipment, failing

  which the Sellers reserve the right to cancel this Sales Contract and to claim from the Buyers

  compensation for losses resulting therefrom.

  其他條款 OTHER TERMS :

 。1)異議 : 品質(zhì)異議須于貨到目的口岸之日起30天內(nèi)提出,數(shù)量異議須于貨到目的口岸之日 ALL RISK AND WAR RISK COVERED BY BUYER

  起15天內(nèi)提出。 但均須提供經(jīng)賣方同意的公證行的檢驗(yàn)證明. 如責(zé)任屬于賣方者賣方于收到異議20天內(nèi)答復(fù)買方并提出處理意見.

  QUALITY/QUANTITY DISCREPANCY: In case of quality discrepancy, claim shou

  ld be filed by the Buyers within 30 days after the arrival of the goods at port of destination, while for quantity discrepancy claim should be filed by the Buyers within 15 days after the arrival of the goods at port of destination. In all cases, claims must be accompanied by Survey Reports of Recognized Public Surveyors agreed to by the Sellers. Should the responsibility of the subject under claim be found to rest on part of the Sellers, the Sellers shall, within 20 days after receipt of the claim, send his reply to the Buyers together with suggestion for settlement..

 。2)信用證內(nèi)應(yīng)明確規(guī)定賣方有權(quán)可多裝或少裝所注名的百分?jǐn)?shù),并按實(shí)際裝運(yùn)數(shù)量議付。(信用證之金額應(yīng)較本售貨合約的金額增加相應(yīng)的百分?jǐn)?shù))

  The Sellers reserve the option of shipping the indicated percentage more or less than the quantity hereby contracted, and the Letter of Credit shall be negotiated for the amount covering the value of quantity actually shipped. (The Buyers are requested to establish the L/C in accord with the indicated percentage over the total value of order as per this Sales Contract.)

  (3)信用證內(nèi)容須嚴(yán)格符合本售貨合約的規(guī)定,否則修改信用證的費(fèi)用由買方負(fù)擔(dān),賣方亦 不負(fù)因修改信用證而延誤裝運(yùn)的責(zé)任。并保留因此而發(fā)生的一切損失的索賠權(quán)。

  The contents of the Letter of Credit shall be in strict accordance with stipulations of the Sales Contract; in case of any variation thereof necessitating amendment of the L/C, the Buyers shall bear the expenses for effecting the amendment. The sellers shall not be held responsible for possible delay of shipment resulting from awaiting the amendment of the L/C, and reserve the right to claim from the Buyers compensation for the losses resulting therefrom..

 。4)除經(jīng)約定保險歸買方投保者外,由賣方向中國的保險公司投保。如買方須增加保險額或 須加保其他險,可于裝船前提出,經(jīng)買方同意后代為投保,其費(fèi)用由買方負(fù)擔(dān)。

  Except where the insurance is covered by the Buyers as arranged, insurance is to be covered by the Sellers with a Chinese insurance company. If insurance for additional amount and/or for other insurance terms is required by the Buyers, prior notice to this effect must reach the Sellers before shipment and is subject to the Sellers’ agreement, and the extra insurance premium shall be for the Buyers’ account..

 。5)買方須將申請?jiān)S可證副本(經(jīng)有關(guān)銀行副署)寄給賣方俟許可證批出后再即用傳真通知

  賣方,假如許可證被駁退,買方須征得賣方的同意方可重行申請?jiān)S可證。

  The Buyers are requested to send the Sellers authentic copy of the License-application (endorsed by the relative bank) filed by the Buyers and to advise the Sellers by fax immediately when the said License is obtained. Should the Buyers intend to file reapplication for License in cases of rejection of the original application, the Buyers shall contact the Sellers and obtain the latter’s consent before filing reapplication..

 。6)商品檢驗(yàn):產(chǎn)地證明書或中國有關(guān)機(jī)構(gòu)所簽發(fā)的品質(zhì)數(shù)量/重量檢驗(yàn)證,作為品質(zhì)數(shù)量/ 重

  量的交貨依據(jù)。

  INSPECTION:The Certificate of Origin and/or the Inspection Certification ofQuality/Quantity/Weight issued by the relative institute shall be taken as the basis for the shipping Quality/Quantity/Weight..

 。7)因人力不可抗拒事故,使賣方不能在本售貨合約規(guī)定期限內(nèi)交貨或不能交貨,賣方不負(fù)

  責(zé)任,但是賣方必須立即以傳真通知買方,如果買方提出要求,賣方應(yīng)以掛號函向買方提供由中國國際貿(mào)易促進(jìn)委員會或有關(guān)機(jī)構(gòu)出具的證明,證明事故的存在。買方不能領(lǐng)到進(jìn)口證不能被認(rèn)為系屬人力不可抗拒范圍。

  The Sellers shall not be held responsible if they owing to Force Majeure cause or causes fail to make

  delivery within the time stipulated in this Sales contrast or cannot delivery the goods. However the Sellers shall inform immediately the Buyers by fax. . The Sellers shall delivery to the Buyers by registered letter, if it is requested by the Buyers, a certificate issued by the China council for the Promotion of International Trade or by any competent authority, certifying to the existence of the said cause or causes. Buyers’ failure to obtain the relative Import license is not to be treated as Force Majeure.

  (8)仲裁 : 凡因執(zhí)行本合約或有關(guān)本合約所發(fā)生的一切爭執(zhí),雙方應(yīng)以友好方式協(xié)商解決, 如果協(xié)商不能解決,應(yīng)提交北京中國國際貿(mào)易促進(jìn)委員會對外貿(mào)易仲裁委員會根據(jù)中國國際貿(mào)易促進(jìn)委員會對外貿(mào)易仲裁委員會的仲裁程序暫行規(guī)則進(jìn)行仲裁,仲裁裁決是終局的,對雙方都有約束力。

  ARBITRATION : All disputes arising in connection with the Sales Contract of the executionthereof shall be settled amicably by negotiation. In case no settlement can be reached, the case under dispute shall then be submitted for arbitration to the Foreign Trade Arbitration commission of the China Council for the Promotion of International Trade in accordance with the Provisional Rules of Procedure of the Foreign Trade Arbitration commission of the China council for the Promotion of International Trade. The decision of the Commission shall be accepted as final and binding upon both parties.

  買方:美國第五大道服裝大賣場賣方:中國福建金苑服飾有限公司

  THE BUYERS:The United States 5th Avenue clothing hypermarket

  THE SELLERS: China Fujian Jinyuan Garments Co., Ltd.

  買方代表簽字:賣方代表簽字:

  Buyer representative signature: Seller representative signature:

英文合同 篇5

  Anti-Dilution

  反稀釋條款 The Conversion Price shall be adjusted on a full-ratchet basis for issuance of any securities of the Company at a purchase price less than the then-effective conversion price. Additionally, the Conversion Price shall be proportionally adjusted for share splits, share dividends, recapitalizations and the like.

  若公司以低于屆時轉(zhuǎn)股價格的價格發(fā)行任何證券,轉(zhuǎn)股價格將調(diào)整為新發(fā)行的證券的價格。發(fā)生股票分拆、發(fā)放股票股利、再資本化和類似情形時,轉(zhuǎn)股價格亦將按比例作相應(yīng)調(diào)整。

  Protective Provisions

  保護(hù)性條款 The consent of 75% of the CN holders will be required for any of the following actions of the Company and its subsidiaries:

  公司及其子公司的下述事項(xiàng)須征得75%的可轉(zhuǎn)換債券持有人同意:

  1) Amendment to the Memorandum of Articles of Association

  公司章程的修改

  2) Make any material change in the nature of its business

  公司業(yè)務(wù)性質(zhì)的任何重大改變

  3) Merger, consolidation, reorganization, liquidation, dissolution, or winding-up

  合并、收購、重組、清算、解散或停業(yè)

  4) Acquire, grant an operating right in relation to or otherwise dispose of any shares or securities or material part of its business or assets (excluding current assets)

  股權(quán)、重要業(yè)務(wù)或重大資產(chǎn)(不包括流動資產(chǎn))的收購、處置,經(jīng)營權(quán)的獲取、授予

  5) Sell, mortgage, pledge, lease, transfer or otherwise dispose of a substantial portion of assets 重大資產(chǎn)的出售、抵押、擔(dān)保、租賃、轉(zhuǎn)讓或處置

  6) Issuance of equity or debt securities, repurchase or redemption of any equity security: re-classification of issued securities; increases, decreases or alters the existing issued share capital 股權(quán)或債權(quán)證券的發(fā)行,任何股權(quán)證券的贖回,已發(fā)行證券的重新分類,現(xiàn)有股本的增加、減少或改變

  7) Declaration or payment of dividends

  宣布發(fā)放或支付股利

  8) Enter into any joint venture, partnership or consortium arrangement

  簽訂任何合營或聯(lián)營協(xié)議

  9) Termination, or material amendment to the terms of stock option plan including number of options, vesting period, and exercise price of options

  股票期權(quán)計(jì)劃的終止,或其中條款的重大改變(包括期權(quán)總額、行權(quán)期、行權(quán)價格)

  10) Any loans to any director, officer or employee

  提供給任何董事、高管人員或雇員的貸款

  11) Any related party transaction outside the ordinary course of business

  任何非正常業(yè)務(wù)之外的關(guān)聯(lián)交易

  12) Incurrence of any external borrowing by the Company which exceeds US$ [ ], or a series of external borrowing by the Company which in the aggregate over any 12 month period exceed US$ [ ].

  公司超過[ ]美元的任何外部借貸,或12個月內(nèi)累計(jì)超過[ ]美元的一系列外部借貸的發(fā)生

  13) Change the terms of employment of any employee whose base salary is in excess of US$50,000 per annum

  任何底薪超過5萬美元/年的雇員雇用條款的改變

  14) Hire or dismiss key management staff

  聘用或解雇關(guān)鍵管理人員

  15) Enter into any contract or arrangement which involves a consideration or payment exceeding US$[ ] to be made within any one year

  任何1年內(nèi)須支付對價超過[ ]美元的合同或安排的達(dá)成

  16) Change of the Auditors or any material change in accounting practices or policies

  審計(jì)師事務(wù)所的變更或任何會計(jì)制度或政策的重大改變

  17) Select the listing exchange or the underwriters for an IPO or approve the valuation and terms and conditions for the IPO, whether or not the IPO is a Qualified IPO

  IPO上市交易所或承銷商的選擇,或IPO(不管是否合格IPO)估值以及條款的批準(zhǔn)

  18) Annual budget including capital expenditure.

  年度預(yù)算(包括資本支出)。

  Undertakings by Founders

  創(chuàng)始人股東保證 The Founders undertakes with the Investors that, at all times after the Closing Date, they will not sell or transfer any of their shares prior to the completion of a Qualified IPO, unless the prior written consent is obtained from the Investors.

  創(chuàng)始人股東向投資人保證,投資交易完成日之后到合格IPO完成之前,不出售或轉(zhuǎn)讓任何持有的公司股份,除非事先得到投資人的書面許可。

  Pre-emptive Rights

  優(yōu)先購買權(quán) The Investors shall have a pro-rata right, based on their percentage equity ownership on a as-if converted basis, to participate in any subsequent equity financing of the Company on the same price and terms and conditions as the Company proposes to offer such new securities. The Investors will have a right to subscribe any portion of the new issue that is not subscribed by the existing shareholders.

  投資人將有權(quán)優(yōu)先按比例(根據(jù)假定轉(zhuǎn)換為普通股后在總股本中所占的比例),以相同價格和條件參與公司后續(xù)的權(quán)益融資。投資人將有權(quán)優(yōu)先認(rèn)購現(xiàn)有股東在新證券發(fā)行中未認(rèn)購的股份。

  Right of First Refusal, and Co-Sale Rights

  優(yōu)先受讓權(quán)和共同出售權(quán) The Investors shall have first refusal rights and co-sale rights whereby any holder of Ordinary Shares who proposed to sell all or a portion of his shares to a third party must first permit the investors at their option (i) to purchase such shares on the same terms as the proposed transferee, or (ii) sell a proportionate part of their shares on the same terms offered by the proposed transferee. Such rights of first refusal and co-sale rights would terminate upon the closing of a Qualified IPO.

  投資人享有優(yōu)先受讓權(quán)和共同銷售權(quán),任何欲向第三方出售全部或部分股份的普通股股東須首先允許投資人 (i) 以與擬受讓人同等條款購買該股份,或 (ii) 以同等條款按比例向擬受讓人出售股份。合格IPO完成后,該優(yōu)先受讓權(quán)和共同出售權(quán)即終止。

  Information Rights

  信息獲取權(quán) The Company shall provide to all Investors:

  公司須向所有投資人提供:

  1) audited consolidated profit and loss accounts, balance sheets and statements of cash flow of the Company within three (3) months after the end of each financial year;

  每個會計(jì)年度結(jié)束后3個月內(nèi)提供公司經(jīng)審計(jì)的合并損益表、資產(chǎn)負(fù)債表和現(xiàn)金流量表;

  2) monthly management accounts of the Company and individual company standard accounts for each entity within the Company, to be provided within 15 business days after each month end; 每月度結(jié)束后15個工作日內(nèi)提供公司月度管理報表及公司內(nèi)每一主體單獨(dú)的標(biāo)準(zhǔn)報表;

  3) quarterly consolidated management accounts within 30 days after each quarter end;

  每季度結(jié)束后30日內(nèi)提供合并的季度管理報表;

  4) annual budgets and forecasts not less than 30 days prior to the commencement of each financial year;

  不遲于每個會計(jì)年度開始30日前提年度預(yù)算和財(cái)務(wù)預(yù)測;

  5) all other information which Investors may reasonably require within 7 days of the Company’s receipt of a notice requesting such information, or a clear demonstration of best efforts if more than 7 days are required;

  在收到信息索要通知后7日內(nèi)提供投資人合理要求的任何其他信息,如果需要7天以上,則需提供公司已盡最大努力的清楚證明;

  6) full details of any progress in relation to any IPO of all or part of the business as soon as practicable;

  及時提供公司全部或部分業(yè)務(wù)IPO相關(guān)的任何進(jìn)展的細(xì)節(jié);

  7) access to books and records, the facilities, properties, management, employees, and accounting and legal advisors of the Company at any reasonable time after reasonable prior notice by Investors;

  在投資人提前通知后的合理時間內(nèi),準(zhǔn)許其接觸帳簿和記錄、設(shè)施、房產(chǎn)、管理層、員工,以及會計(jì)和法律顧問;

  8) prompt notification of any withdrawal of bank facilities of the Company, and the Company’s best efforts to restore adequate banking facilities;

  在銀行撤銷公司任何授信額度時,迅即通知投資人,以及公司為恢復(fù)足夠的銀行授信所做的最大努力;

  9) prompt notification of any material litigation or any circumstances that would likely give rise to material litigation; and

  迅即通知任何重大訴訟或可能導(dǎo)致重大訴訟的情形;以及

  10) prior notification of any change in the equity percentages of any subsidiary or affiliate, or any joint venture to which the Company is a party.

  提前通知投資人任何下屬子公司、附屬企業(yè)或公司作為其中一方的合資企業(yè)股權(quán)結(jié)構(gòu)的任何變化。

  All financial statements shall be prepared to Investors in English and prepared in accordance with IAS.

  所有財(cái)務(wù)報表均應(yīng)以英語提供給投資人,并依照國際會計(jì)準(zhǔn)則編制。

  These information rights shall terminate upon the IPO of the Company.

  公司IPO后,投資人的上述信息獲取權(quán)即終止。

  Registration Rights

  注冊權(quán) 1) Demand, S-3, F-3 or Equivalent, and Piggyback Rights: The specific terms of registration rights would include at least the following: (i) starting three years after the Closing Date, the holders of 50% of the outstanding CN may request a Form F-1 registration statement to be filed; (ii) starting one year after the IPO, two (2) demand registrations upon request of holders of 50% of the outstanding CN on Form S-3 or F-3 or equivalent if listed on a non-US stock exchange; (iii) unlimited piggyback registrations in connection with registrations of shares for the account of the Company or selling shareholders exercising demand rights; and (iv) cut-back provisions providing that registrations must include at least 25% of the shares requested to be included by the holders of registrable securities and employees, directors, etc. must be cut back before the holders of registrable securities would be cut back.

  要求注冊、按S-3、F-3(或相當(dāng)?shù)谋砀瘢┳院透綆ё詸?quán):注冊權(quán)的特定條款至少包括如下內(nèi)容:(i) 本次融資完成3年后,持有50%已發(fā)行可轉(zhuǎn)換債券的股東有權(quán)要求公司向美國SEC提交F-1注冊申請; (ii) IPO后1年內(nèi),持有50%已發(fā)行可轉(zhuǎn)換債券的股東有權(quán)向公司提出兩次按S-3、F-3(或相當(dāng)?shù)谋砀,若在美國之外的股票交易所掛牌)請求注? (iii) 次數(shù)不限的當(dāng)公司或其他出售股票的股東注冊時的附帶注冊權(quán)或與其相當(dāng)?shù)臋?quán)利;以及 (iv) 注冊削減條款:任何注冊削減條款應(yīng)規(guī)定,所有注冊(除與IPO相關(guān)的注冊)應(yīng)至少滿足原持有人要求注冊數(shù)的25%,且股東要求的注冊數(shù)被削減的前提是公司的董事、高管、員工、顧問和普通股股東要求的注冊數(shù)首先被削減。

  2) Expenses: The Company would bear the registration expenses (excluding underwriting discounts and commissions but including all other expenses related to the registration) of all such demand, piggyback and S-3, F-3 or equivalent registration.

  費(fèi)用:公司應(yīng)承擔(dān)上述注冊的注冊費(fèi)用(不包括承銷折讓與傭金,但包括所有其他與注冊相關(guān)的費(fèi)用)。

  3) Transfer of Rights: The registration rights may be transferred.

  權(quán)利的轉(zhuǎn)讓:注冊權(quán)可以轉(zhuǎn)讓。

  4) Termination: The registration rights would terminate on the earlier date of: (1) five (5) years after the closing of this financing, or (2) when any holder can sell all of such holder’s shares in any three-month period without registration pursuant to Rule 144 under the 1934 Act.

  權(quán)利的終止:注冊權(quán)在下述較早實(shí)現(xiàn)之日終止:(1) 本次融資完成5年后,或 (2) 任何股東可以依據(jù)美國1934年《證券交易法》第144條在任何3個月期內(nèi)出售所有股份而不必登記之時。

  Exclusivity

  排他性 The Investors will have the exclusive right to negotiate and complete the Investment for a period of eight weeks from the signing of this Term Sheet. During this Exclusive Period, neither the Company, nor the Founders, shall provide information, solicit or entertain proposals, or conduct any discussion or negotiation with any third party regarding the issuance of shares or other securities or instruments by the Company, or any other subsidiary or affiliate of the Company.

  自本投資條款簽署之日起八周內(nèi),投資人享有商洽并完成投資的排他性權(quán)利。在排他期限內(nèi),公司或公司創(chuàng)始人股東均不得就公司、子公司或其他附屬公司發(fā)行股份、其他證券或金融工具事宜向任何第三方提供信息、發(fā)出要約邀請或意向,或與第三方進(jìn)行任何探討或談判。

  Costs

  費(fèi)用 The Company shall bear all costs and expenses reasonably incurred by the Investors in relation to the Investors’ investment contemplated under this Term Sheet including but not limited to the preparation, negotiation and execution of Transaction Documents and the legal, financial, commercial and technical due diligence undertaken by the Investors, up to a maximum limit of US$200,000.

  投資人依照本投資條款而合理支出的全部成本和費(fèi)用(包括但不限于交易文件的'準(zhǔn)備、談判、實(shí)施以及法律/財(cái)務(wù)/商業(yè)/技術(shù)盡職調(diào)查費(fèi)用)由公司承擔(dān),其上限為20萬美元。

  In the event Completion does not take place, the Company and the Investors shall bear their own costs and expenses, provided that if the Company unilaterally decides not to proceed with Completion, the Company shall bear all costs and expenses reasonably incurred by or on behalf of the Investors in relation to the Investors’ intended investment under this Term Sheet including but not limited to the preparation and negotiation of the Transaction Documents and the due diligence undertaken by the Investors, up to a maximum limit of US$200,000.

  在投資最終未能完成的情形下,公司和投資人將自行承擔(dān)各自的成本和費(fèi)用。若公司單方面決定終止投資完成,公司將承擔(dān)投資人(或通過其代表)依照本投資條款而合理支出的全部成本和費(fèi)用(包括但不限于交易文件的準(zhǔn)備、談判以及盡職調(diào)查費(fèi)用),其上限為20萬美元。

  Confidentiality

  保密性 The terms and conditions stipulated in this Term Sheet, including its existence, and the information about the Company shall be confidential information and shall not be disclosed to any third party unless required by applicable law or regulations of any stock exchange. This restriction does not apply to employees, legal counsels, accountants, and other professional advisors of the Company, the Founders, or the Investors, on a need-to-know basis.

  本投資條款規(guī)定的條款和條件,包括本投資條款的存在,以及關(guān)于公司的信息均為保密信息,除非適用法律或股票交易所規(guī)則要求,不得向任何第三方披露。上述限制不適用于公司、創(chuàng)始人股東或投資人的員工、會計(jì)師、律師及其他專業(yè)顧問(因其需要獲知相關(guān)信息)。

  Language of Performance

  履行語言 All notices, communications, and proceedings relating to this Investment and the exercise or performance of the parties’ respective rights and duties will be in English.

  所有與本次投資相關(guān)的通知、來往函件和記錄,以及各方權(quán)利和責(zé)任的行使、履行,均應(yīng)以英語進(jìn)行。

  Termination

  終止 The CN and CN Holders’ rights hereunder terminate upon the closing of any Qualified IPO, except for any public offering or registration rights, which continue for the respective agreed periods. In the event of a Qualified IPO, the terms of the CNs and CNs will have to be disclosed in the offering document / prospectus and therefore the confidentiality clause can no longer be able to complied with.

  本投資條款中可轉(zhuǎn)換債券及可轉(zhuǎn)換債券持有人的權(quán)利在合格IPO完成后即終止,但公開發(fā)行及注冊權(quán)除外(該權(quán)利持續(xù)至相應(yīng)的約定期限)。合格IPO發(fā)生時,可轉(zhuǎn)換債券及可轉(zhuǎn)換債券的相關(guān)條款須在發(fā)行文件/招股說明書中披露,因而保密條款不再適用。

英文合同 篇6

  THIS AGREEMENT OF LEASE is made on this 16th day of December 20xxby 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:

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

  Signature: Signature:

  Stamp: Stamp:

  Date: Date:

英文合同 篇7

  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,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,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)人可以隨時提出還款主張,不受兩年訴訟時效的限制,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)行非法活動而借款的,典型的例子是賭債,其借貸關(guān)系不予保護(hù)。對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產(chǎn),要到相關(guān)部門辦理登記手續(xù),才能對抗第三人。

  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,直接向法院申請強(qiáng)制執(zhí)行。

  9.還款期滿后6個月內(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。

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