bank reconciliation
基本解釋
- 銀行對(duì)帳單,余額調(diào)節(jié)表;[金融] 銀行往來調(diào)節(jié)
英漢例句
- Fulfill bank reconciliation form each month.
按月填制銀行余額調(diào)節(jié)表。 - Monthly bank reconciliation with SAP system and reconciliation report preparation.
月度SAP系統(tǒng)中做銀行對(duì)賬,并準(zhǔn)備銀行相關(guān)的報(bào)表(余額調(diào)節(jié)表等)。 - Each month, the depositor should prepare a bank reconciliation to verify that these independent sets of records are in agreement.
每月儲(chǔ)戶應(yīng)準(zhǔn)備一個(gè)銀行存款余額調(diào)節(jié)表,用于鑒定各自獨(dú)立的記錄的正確性。 - The West Bank's 30, 000 security forces seem unkeen on a recent quest for reconciliation between Fatah and Hamas that would force them to share power.
ECONOMIST: Palestine and the West Bank
雙語例句
權(quán)威例句
詞組短語
- and bank balances reconciliation 現(xiàn)金控制與銀行存款余額對(duì)賬
- bank statement reconciliation 銀行余額調(diào)節(jié)表
- bank deposit reconciliation statement 銀行存款調(diào)節(jié)表;詳細(xì)翻譯
- Cash and Bank Reconciliation 現(xiàn)金和銀行對(duì)賬
- bank reconciliation every month 月度銀行事務(wù)
短語
專業(yè)釋義
- 銀行調(diào)節(jié)表
- 銀行往來對(duì)帳單
- 銀行往來調(diào)節(jié)
- 銀行對(duì)賬單
- 銀行存款余額調(diào)節(jié)表