adjusting entries from bank reconciliation

 
       
  • [经] 根据银行往来调节的调整分录

adjusting entries from bank reconciliation的用法和样例:

例句

  1. Prepare journal entries to record any items in the bank reconciliation listed as adjustment to the balance per depositor's records.
    对于银行对账单上有的而存户未入账的项目应编制会计分录。
  2. Bank reconciliation entry statement printing.
    银行月结单对帐输入及报表。
  3. Responsible for monthly bank reconciliation.
    负责每月编制银行账目调节表。
  4. Fulfill bank reconciliation form each month.
    按月填制银行余额调节表.

adjusting entries from bank reconciliation的海词问答与网友补充:

提问补充

adjusting entries from bank reconciliation的相关资料:

临近单词

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