现金收支的英文
发音:
"现金收支"怎么读用"现金收支"造句
英文翻译手机版
- cash deposit and withdrawal
- cash receipts and payments
- "现金"英文翻译 ready money; cash; ready
- "收支"英文翻译 expenses and receipts; reven ...
- "现金收支表" 英文翻译 : cash balance; receipts and di ursements statement; receipts and disbursements statement; receipts and payment statemen; receipts and payments account; receipts and payments statement; statement of cash receipts and disbursements; statement of receipts and disbursements of cash
- "现金收支帐" 英文翻译 : receipts and payments account
- "现金收支平衡" 英文翻译 : balance between cash receipts and payments
- "现金收支日报" 英文翻译 : daily cash report
- "现金收支预算" 英文翻译 : cash receipt and disbursement budget; cash receipts and disbursements budget
- "现金收支总表" 英文翻译 : summary statement of cash receipts and disbursements
- "计划的现金收支" 英文翻译 : projectedcashflow
- "现金收支对照表" 英文翻译 : statement of receipts and disbursements
- "现金收支合并表" 英文翻译 : disbursement and balance all fund
- "现金收支汇总表" 英文翻译 : combined statement of cash receipts and disbursement; summary statement of cash receipts and disbursements
- "现金收支及结存表" 英文翻译 : statement of cash receipts disbursements and balance; statement of receipts and disbursement and cash balance; statement of receipts and disbursements and cash balance
- "现金收支记录带纸" 英文翻译 : cash control tape paper
- "现金收支两平点" 英文翻译 : cash breakeven point
- "现金收支明细表" 英文翻译 : statement of cash receipts and disbursements
- "现金收支票据纸" 英文翻译 : cash register paper
- "现金收支平衡点" 英文翻译 : cash break even point
- "现金收支折现法" 英文翻译 : discount cash flow
- "现金收支窠总表" 英文翻译 : summary statement of receipts and disbursements
- "现金收支汇总表-所有基金" 英文翻译 : combined statement of cash receipts and disbursements all funds
- "资金收支表" 英文翻译 : charge and discharge statement
- "现金收到帐" 英文翻译 : receipts and payments account
- "现金收方" 英文翻译 : cash receipt side
- "现金收付表" 英文翻译 : receipt and disbursement statement,receipt and payment account
例句与用法
- Combined statement of cash receipts and disbursement
现金收支汇总表 - Receipts and payments account
现金收支帐 - Managing cash register , reimbursements and checking expenses compliances with company policies
负责现金收支,报销及核算,检查费用支出符合公司政策 - A cash flow statement is an accounting statement that reflects the condition of cash receipts and cash disbursements of an enterprise during a cerlain accounting period
现金流量表是反映企业一定会计期间现金收支情况的会计报表。 - The capital expenditures budget and the budgeted income statement provide data for the cash budget , or statement of budgeted cash receipts and disbursements
资本支出预算和预计损益表都为现金预算即预计的现金收支汇总表提供了资料。 - The statement of cash flows reports cash receipts and cash disbursements classified according to the entity ' s major activi ? ties : operating , investing , and financing
现金流量表按照企业的主要活动? ?经营活动、投资活动和筹资活动来反映现金收支。 - Journal entry : it is book of original entry , is designed to record information about different transactions , including sales , purchases , cash receipts , cash disburements , and many others
记账分录:这是簿记的原始分录,用来记录有关各种不同的交易活动的信息,包括销售,购买,现金收支及其他。 - The ultimate aim of the cash control is to guarantee the safety and effectiveness of the cash income and expense , and the policy corresponding to which should be the cash management centralism exercised by western countries but not the unitarianism adopted by many state - owned company in china
现金控制的根本目的是保证现金收支的安全与有效,而安全有效的背后的政策含义是西方国家普遍彩的现金管理集中制,而不是我国不少国有大型企业采取的集权制。
相关词汇
现金收支的英文翻译,现金收支英文怎么说,怎么用英语翻译现金收支,现金收支的英文意思,現金收支的英文,现金收支 meaning in English,現金收支的英文,现金收支怎么读,发音,例句,用法和解释由查查在线词典提供,版权所有违者必究。