bank reconciliation
基本解释
- 银行对帐单,余额调节表;[金融] 银行往来调节
英汉例句
- Fulfill bank reconciliation form each month.
按月填制银行余额调节表。 - Monthly bank reconciliation with SAP system and reconciliation report preparation.
月度SAP系统中做银行对账,并准备银行相关的报表(余额调节表等)。 - Each month, the depositor should prepare a bank reconciliation to verify that these independent sets of records are in agreement.
每月储户应准备一个银行存款余额调节表,用于鉴定各自独立的记录的正确性。 - 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
双语例句
权威例句
词组短语
- and bank balances reconciliation 现金控制与银行存款余额对账
- bank statement reconciliation 银行余额调节表
- bank deposit reconciliation statement 银行存款调节表;详细翻译
- Cash and Bank Reconciliation 现金和银行对账
- bank reconciliation every month 月度银行事务
短语
专业释义
- 银行调节表
- 银行往来对帐单
- 银行往来调节
- 银行对账单
- 银行存款余额调节表