SB/T 10667-2012 English PDFUS$239.00 ยท In stock
Delivery: <= 3 days. True-PDF full-copy in English will be manually translated and delivered via email. SB/T 10667-2012: Specification of payment settlement between retailers and suppliers Status: Valid
Basic dataStandard ID: SB/T 10667-2012 (SB/T10667-2012)Description (Translated English): Specification of payment settlement between retailers and suppliers Sector / Industry: Domestic Trade Industry Standard (Recommended) Classification of Chinese Standard: A10 Classification of International Standard: 03.100.20 Word Count Estimation: 9,997 Regulation (derived from): ?Ministry of Commerce released on "frozen food production management practices" and other 60 domestic trade industry standard announcement; Industry Standard Filing Announcement 2012 No.5 (Total No.149) Issuing agency(ies): Ministry of Commerce of the People's Republic of China Summary: This standard provides retailers and suppliers settlement payment settlement methods and tools used, as well as the way the specification process. This standard applies to retailers with procurement operations. SB/T 10667-2012: Specification of payment settlement between retailers and suppliers---This is a DRAFT version for illustration, not a final translation. Full copy of true-PDF in English version (including equations, symbols, images, flow-chart, tables, and figures etc.) will be manually/carefully translated upon your order.Specification of payment payments between retailers and suppliers ICS 03.100.20 A10 People's Republic of China domestic trade industry standards Standard for settlement of retailers and suppliers 2012-03-15 release 2012-06-01 implementation Issued by the Ministry of Commerce of the People's Republic of China Directory Preface III 1 Scope 1 2 terms and definitions3 General requirements 2 4 settlement method 2ForewordThis standard is drafted in accordance with the rules given in GB/T 1.1-2009. This standard is proposed and centralized by the Ministry of Commerce of the People's Republic of China. The drafting of this standard. China Chain Store & Franchise Association, Beijing Jingkelong Commercial Group Co., Ltd., Wal-Mart (China) Limited investment Company, Beijing Supermarket Chain Company Limited. The main drafters of this standard. Yang Qingsong, Gao Jingsheng, Liu Bingyi, Li Yanchuan, Zhu Runzhi, Li Man. Standard for settlement of retailers and suppliers1 ScopeThis standard specifies the way in which retailers and suppliers pay for settlement and commonly used clearing instruments, as well as the normative processes of each mode. This standard applies to retailers with purchasing business.2 terms and definitionsThe following terms and definitions apply to this document. 2.1 Buy and sell goodspurchaseandsale The supplier sells its merchandise to the retailer in accordance with the conditions agreed by the parties, and the retailer has the ownership of the goods, Oriented suppliers to pay the payment of goods and related costs of the transaction. 2.2 Commodity consignment selgoodsonacommissionbasis Retailers in accordance with the terms of the agreement, the sales agent of goods, retailers do not enjoy the ownership of goods, and agreed by both parties Transactions with the supplier to settle the goods and related costs. 2.3 Order indent During the term of this Agreement/Contract, the retailer shall, in accordance with the principles, procedures and methods stipulated in this Contract, require the Supplier to provide the agreed purchase and sale Commodity activities. 2.4 Acceptance receivedgoods The retailer shall review the quality, quantity and related inspection certificates of the goods provided by the supplier, and the two parties shall confirm and examine the goods. 2.5 Reconciliation balanceofaccounts Between the supplier and the retailer on the purchase of goods ordering, storage, returns, promotional services, such as the amount and amount of checks, and agreed to check The date of the account. 2.6 Reconciliation day Suppliers in accordance with the purchase and sale of goods, commodity consignment agreement/contract to the retailers to provide purchase and sale, consignment of goods, and retailers related goods Regular check the date of the settlement. 2.7 Annual settlement Retailers and suppliers should be in accordance with the properties of goods in the purchase and sale of goods, commodity consignment agreement/contract clearly agreed payment period, that is double Party to confirm the date of receipt to the date between the payment date, the specific time can be agreed between the two sides. 2.8 Checkout day The date on which the retailer delivers the payment to the supplier in accordance with the merchant purchase and sale, consignment agreement/contract agreed upon by the retailer with the supplier. ......Tips & Frequently Asked Questions:Question 1: How long will the true-PDF of SB/T 10667-2012_English be delivered?Answer: Upon your order, we will start to translate SB/T 10667-2012_English as soon as possible, and keep you informed of the progress. 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