余額調整 的英文怎麼說

中文拼音 [édiàozhěng]
余額調整 英文
adjustment of balance
  • : Ⅰ動詞(剩下) remain; leave: 9減4 余 5。 nine minus four is five ; four from nine leaves five ; i...
  • : 名詞1 (額頭) forehead:寬額 a broad forehead2 (牌匾) a horizontal tablet 3 (規定的數目) a sp...
  • 調 : Ⅰ動詞1 (配合得均勻合適) harmonize; suit well; fit in perfectly 2 (使配合得均勻合適) mix; adju...
  • : Ⅰ形容詞1 (全部在內; 完整) whole; all; complete 2 (整齊) neat; tidy; orderly Ⅱ動詞1 (整理; 整...
  • 調整 : adjust; tune up; trim; trimming; variation; modulation; arrangement; debug; rectification; redres...
  1. Usted book balance

    調后的帳面
  2. When the cedant adjusts the balance of the unearned premium reserve of the original insurance contract on the balance sheet date, it shall adjust the amount of the receivable reinsurance unearned premium reserve accordingly

    再保險分出人應當在資產負債表日調原保險合同未到期責任準備金時,相應調應收分保未到期責任準備金
  3. Among the improper adjustments discovered by the investigators were the creation and release of accruals and reserves, the transfer of express accruals from one liability account to another, and the use of excess balances to offset unrelated expenses in later periods

    在內部調查中所發現的不當調有:虛構及核銷預計負載和盈餘;將特殊的預計負載由一個負債帳戶轉移至另一個負債帳戶;將收入沖銷後期不相關的費用等。
  4. Second, summarize debit and credit amounts and calculating the balances of the ledger accounts, and prepare an ( unadjust ? ed ) trial balance

    其次,將各個分類帳戶匯總出借方或貸方,根據各帳戶編制調前試算表。
  5. The prior - period adjustment appears on the corporation ' s statement of retained earnings to indicate to read ? ers the amount and the nature of the change in the retained earn ? ings balance

    前期調列示在公司的資產負債表中,以提醒報表使用者注意留存收益變化的性質和數量。
  6. Usted debit balance

    調的借方
  7. B. consume exist service contract with fsa. fsa will adjust the service contract according to this form

    從現有的服務合同中轉支。思博公司將根據此表調現有的服務合同
  8. Article 11 a cedant shall, in the current period of making an adjustment to the compensation cost of an original insurance contract because of the obtainment or disposal of any post - loss goods, or recognition and receipt of any subrogation recourse fee, calculate and determine the amount of adjustment to the to - be - recovered compensation cost according to the provisions of the relevant reinsurance contract, and record it into the profits and losses of the current period

    第十一條再保險分出人應當在因取得和處置損物資、確認和收到應收代位追償款等而調原保險合同賠付成本的當期,按照相關再保險合同的約定,計算確定攤回賠付成本的調,計入當期損益。
分享友人