Who knows how to write "Explanations on the Reasons for Temporary Receiving Advance Payment" (in detail)?
Explanatory materials on the reasons for the temporary receipt of accounts in advance 1, and application for verification of temporary receipt of export payment; 2. An explanation of the reasons for the temporary receipt; 3, the enterprise has signed the main terms of the export contract, and has a receipt memorandum; 4. Settlement contract; 5. Balance sheet of bank account to be verified (stamped with bank seal); 6. List of acceptable foreign exchange quotas at electronic ports. Application for Write-off of Temporary Advance Receipts for Export Payment (for reference format) Branches (sub-bureaus) of the State Administration of Foreign Exchange: Our company has signed a product export contract with overseas importers (contract number: importer, amount of advance receipts and delivery time are shown in the attached table), and the amount of advance receipts to be settled or transferred at present is RMB (currency:). According to Huifa [2008] No.30 document, our company has registered the contract and withdrawal of the above prepayment in the trade credit registration management system, and now we apply to the foreign exchange bureau for the write-off of RMB temporary prepayment. Our company solemnly promises that the above application matters and the explanatory materials listed in the annex are true; If there is any false behavior, our company, its legal representative and relevant responsible persons are willing to bear relevant legal responsibilities. I hereby apply. Attachment: Company (official seal) (related export contracts, trade settlement methods and other materials required by the foreign exchange bureau)