您要查找的是不是:
- The account have a credit balance of£1,000. 这个帐户有余额1000英镑。
- foreign credit balance [经] 对外贷方余额, 对外收支逆差
- A credit balance of 50 was brought forward from his September account. 贷方余额50英镑是从他九月份的帐上转来的。
- The account has a credit balance of 100. 帐户上有100英镑的贷款余额。
- Is There Profit in China's Foreign Credit Card Market? 外资信用卡不赚钱?
- The credit balance comprises stated accounts and unstated accounts. 授信余额包括表内和表外的项目。
- Whenever you cancel, we will repay any credit balance outstanding. 任何时候如果你取消,那么我们将返还所有存款结余。
- Revenue accounts have credit balances. 收入账户有贷方余额。
- A credit balance of $50 was brought forward from his September account. 50 元的贷方余额是从他九月份的账上转来的。
- The question is why financial systems are so liable to turn foreign credit into ruinous busts. 问题是为什么金融系统这么容易把外国信贷变成毁灭性的经济破产。
- Are credit balances reviewed periodically? 信用余额是否进行定期复查?
- On the borrowing side, Canada has often debated the exigencies and dangers of taking in so much foreign credit year after year. 处于借款国一方的加拿大,常常对年复一年地接受如此大量的外国信贷的紧迫性和危险性争论不已。
- A credit balance of fifty pounds was brought forward from his September account. 贷方余额50英镑是从他9月份的账转来的。
- Closing a revenue account, therefore, means transferring its credit balance to the income summary account. 因此,结清收入账户就是将其贷方余额转入收益汇总账户。
- This proof of equality of debit and credit balances is called a trial balance. 对借方余额和贷方余额是否相等的验证就叫做试算表。
- Credit Balance Repayment: You agree to pay back (settle) all money borrow within 28 days. 贷方余额偿还:用户同意在28天内归还所有贷款。
- If the allowance account currently has a credit balance of, say, $4, the month-end adjusting entry should be in the amount of $1. 如果当时坏账准备账户有贷方余额,比如说4美元,则月末的调整会计分录金额应为1美元。
- Foreign nationals were asked to leave the country. 外国侨民被要求离开该国。
- If you have a credit balance in your bank account, banknotes in your wallet and money for paying tips , you are among the 8% riches in the world. 若你银行帐户中有钱、皮夹中有钱、又有零钱做小费,你属于是全球8%25富人。
- After the adjusting entries have been posted, an adjusted trial balance can be made to test the equality of total debit and total credit balance of all ledger accounts. 调整分录过账后,就可以编制调整后试算表,以检查所有分类账账户的借方余额和贷方余额总计是否相等。