外债借款协议书模板_合同范本 <br />4. Repayment term: 3 installments to pay off from 2nd December 2013, can be paid upfront. <br /> 五. 汇款方式:甲方在 2013 年 12 月 3 日前将 USD12 万元分**次汇入乙 <br /> 方在中国农业银行潍城支行开立的外债专用账户。 <br /> Remittance route: Party A will remit XXXX in XXXX paymentsto the special account of ABC <br />bank WeiCheng branch for external debtof Party A. <br /> 六. 提款方式:乙方根据生产经营需要,凭单据或用款计划向外汇管理局申请提款。 <br /> 6. Withdraw term: According to the production and business operation demand, Party B applies <br />to Foreign Exchange Control Bureau for withdraw money by related documents or Expensesplan. <br /> 七. 违约责任:如乙方无法按时还清借款,甲方有权按乙方开户行的年平均利率收取违 <br />约滞纳金,直到还清为止。 <br /> 7. Liability for breach of contract: On default of repayment by due date of Party B, Party A is <br />entitled to charge for a late fee based on the annual average interest rate of Party B’s opening <br />bank. <br /> 八. 合同一式两份,双方各执一份,经国家外汇管理局潍坊中心支局批准后生效,至还 <br />清借款时失效。 <br /> 8. 2 copies of the contract, one for each party, become effective when it is approved by Foreign <br />Exchange Control Bureau WeiFang branch, become invalid after paying off all loans. <br /> 九. 同未尽事宜双方协商解决,如协商无效,按中国有关法律法规处理。 <br /> 10. This contract negotiations to resolve outstanding issues, shall be dealt with according to the <br />relevant Chinese laws if the negotiation invalid. <br /> 甲方: 乙方: <br /> Party A Party B <br /> 代表: 代表: <br /> representative representative <br /> 电话: 电话: <br /> Tel : Tel: <br /> 日期: 日期: <br /> Date Date