INVOICE SCHEDULE. Compulsory. ABC Borrower Assigned by Borrower. stated on Invoice YY format (on three separate cells in Excel)



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Transcription:

Compulsory Date of THIS ASSIGNMENT is made the day of 20 Assignment BY : - ( the Supplier ); and IN FAVOUR OF :- DBS BANK (HONG KONG) LIMITED whose registered office is at 11th Floor, The Center, 99 Queen s Road Central, Hong Kong ( the Purchaser ). WHEREAS : - (A) (B) The persons firms and companies specified in the Schedule hereto are indebted to the Supplier in the amounts respectively shown against their names therein ( the Debts ). Date of Factoring Agreement signed By an agreement ( the Agreement ) dated and made between the parties hereto the Supplier agreed to sell and the Purchaser agreed to purchase the Debts. NOW THEREFORE IT IS AGREED : - 1. The Supplier as beneficial owner hereby assigns absolutely the Debts and all interest and other moneys (if any) to become due in respect thereof to the Purchaser upon the terms and subject to the conditions and for the consideration set out in the Agreement. 2. This Assignment shall be governed by the laws of the Hong Kong Special Administrative Region of the People s Republic of China. AS WITNESS the hand of the duly authorized representative of the Supplier hereto. Assignment Value Chop + Signature (based on Bills Signature) duly authorized for and on behalf of the Supplier Invoice value Credit Note value = Assignment value Attach this document with Invoice Schedule, Title Document (P.O. or Invoice) and Proof of Delivery (Bill of Lading or Truck Receipt etc)

Client Name: Schedule Ref: Assigned by Borrower INVOICE SCHEDULE Compulsory Currency: HKD/Others Currency stated on Invoice Customer Invoice No. Inv Date (DDMMYY) Invoice Amount Credit Terms DEF Buyer Invoice date should Amount stated on Invoice Credit Terms be input as DD MM stated on Invoice YY format (on three separate cells in Excel) Invoice -Total :

CREDIT NOTE SCHEDULE Optional Client Name: Schedule Ref: Assigned by Borrower Currency: HKD/Others Currency stated on Invoice Customer Credit Note No. Date (DDMMYY) Credit Note Amount Invoice No. Applied DEF Buyer Invoice date should be input as DD MM YY format (on three separate cells in Excel) Amount stated on Invoice Referring to which Invoice Credit Note -Total :

Optional PREPAYMENT REQUEST Date of Date : Request To : Factoring Operations, Trade Services (Fax No. 2259 5394 / 2259 5399) DBS Bank (Hong Kong) Limited Client : Please pay the sum of: Currency: [ ]HKD [ ]USD [ ] other currency ( / where appropriate) Tick the currency as appropriate (stated on the invoice) Amount [ ] Maximum Available; [ ] Specify (nearest 000) direct to our Bank account: State 0 (zero) if no drawdown would like to be made Bank Name : DBS Bank (Hong Kong) Limited Account Name : Account Number: : Borrower s Account No. from the debts purchased by you. Yours faithfully Chop + Signature (based on Bills Signature) Authorized Signatories (with Co Chop)

Optional TO: Factoring Operations, Trade Services DEBTOR LEDGER ADJUSTMENT REPORT Date of Report DATE : CLIENT NAME : DEBIT CREDIT (Increase in A/R) (Decrease in A/R) $ $ DEBTOR NAME & REASON OF ADJUSTMENT ABC Buyer / Reason of Adjustment / Invoice No. $ $ TOTAL Note : Debit Adjustment - increase your sales ledger Credit Adjustment - decrease your sales ledger Please enclose supporting documents THE DETAILS ABOVE ARE THE ADJUSTMENTS MADE TO OUR SALES LEDGER. Chop + Signature (based on Bills Signature) Authorized Signature (with Co Chop)

Optional DEBTOR PAYMENT REPORT Date of Report TO : Factoring Operations-Trade Services DATE CLIENT : Total Total Debtor Name Cheque No.(s) Invoice No.(s) Discount(s) Cheque Value Attach this document with Cheque Copy, Bank-in Slip and Invoice Breakdown to Factoring Operations by fax. Note : Please staple a copy of the cheque, the customer s payment advice and the pink copy of the bank pay-in slip to this report. FOR OFFICE USE Prepared By/Date : Checked By/Date :