中英互译
bank reconciliation
美 /bæŋk ˌrekənsɪliˈeɪʃn/
基本释义
- 银行对账:将客户的财务记录与银行的记录进行比较,以确保客户账户中的资金金额与银行记录一致的过程。
双语例句
- Fulfill bank reconciliation form each month.按月填制银行余额调节表。
- Bank Statement and Bank Reconciliation are needed.银行报表与调解是需要的。
- Prepare bank reconciliation such as agency, imparts and replacement reserve.编制银行存款余额调节表,如佣金、预付款和更新准备金。
网络短语
- Bank reconciliation statement银行存款调节表;银行往来调节表;银行对账表;银行存款余额调节表
- Cash and Bank Reconciliation现金和银行对账
- a bank reconciliation银行往来调节表
- bank reconciliation every month月度银行事务
- Bank Reconciliation Audit银行资金稽核
同义词
[金融]银行对帐单,余额调节表;银行往来调节
英英释义
- A Bank reconciliation is a process that explains the difference between the bank balance shown in an organisation's bank statement, as supplied by the bank, and the corresponding amount shown in the organisation's own accounting records at a particular point in time.