银行存款日记账

  • 网络deposit journal
银行存款日记账银行存款日记账
  1. 及时登记现金和银行存款日记账,定期与总账核对。

    Booking petty cash & bank accounts , and regularly reconcile with the gl .

  2. 现金、银行存款日记账,应根据收、付款记账凭证,随时按照业务发生顺序逐笔登记,每日终了应结出余额。

    Journal of cash , bank deposit , should the basis closes , pay proof of charge to an account , chase a pen to register orderly according to business happening at any time , daily cease should written guarantee a remaining sum .