sales for cash 中文意思是什麼

sales for cash 解釋
現金交易
  • sales : (銷售收入):因銷售商品而向顧客收取的款項,包括現銷和賒銷。
  • for : FOR f o r = free on rail 【商業】火車上交貨(價格)。1 〈表示目標、去向〉向,往。 leave [sail] f...
  • cash : n 現款,現金;〈口語〉錢;小額支票。 a hard cash硬幣。 idle cash〈口語〉游資。 be in [out of] cas...
  1. The merchant ' s cash sales for the day were $ 300

    那商人一天有300元的現金售貨收入。
  2. For the years of assessment 199495 to 199697, the company omitted from the profits tax returns, which were submitted to the ird, the proceeds from the sales in respect of all those cash sales invoices with serial numbers bearing no alphabetic prefix

    該公司在其遞交給稅務局的199495至199697課稅年度利得稅報稅表內,漏報所有其得自編號前沒有字母的現沽單的銷售收入,涉及的數額約為625萬元。
  3. For the years of assessment 1994 95 to 1996 97, the company omitted from the profits tax returns, which were submitted to the ird, the proceeds from the sales in respect of all those cash sales invoices with serial numbers bearing no alphabetic prefix. the amount of omitted sales involved was about 6. 25 million

    該公司在其遞交給稅務局的1994 95至1996 97課稅年度利得稅報稅表內,漏報所有其得自編號前沒有字母的現沽單的銷售收入,涉及的數額約為625萬元。
  4. The master budget sets specific targets for sales, production, distribution, and financing activities, and it generally culminates in a projected statement of net income and a projected state ? ment of cash position

    總預算為企業的銷售、生產、分配和財務活動確定具體的目標,並最終完成一個預算損益表和預算現金狀況表。
  5. For the relevant years of assessment, the company omitted from the profits tax returns, which were submitted to the ird, the proceeds from the sales in respect of all those cash sales invoices with serial numbers bearing no alphabetic prefix. the amount of omitted sales involved was about $ 6. 25 million and the total profits tax undercharged was over $ 1 million

    該公司在其遞交給稅務局的199495至199697課稅年度利得稅報稅表內,漏報所有其得自編號前沒有英文字母的現沽單的銷售收入,涉及數額約為六百二十五萬元,逃繳的利得稅超過一百萬元。
  6. For the relevant years of assessment, the company omitted from the profits tax returns, which were submitted to the ird, the proceeds from the sales in respect of all those cash sales invoices with serial numbers bearing no alphabetic prefix. the amount of omitted sales involved was about 6. 25 million and the total profits tax undercharged was over 1 million

    該公司在其遞交給稅務局的1994 95至1996 97課稅年度利得稅報稅表內,漏報所有其得自編號前沒有英文字母的現沽單的銷售收入,涉及數額約為六百二十五萬元,逃繳的利得稅超過一百萬元。
  7. All these are in order to improve the cash operation efficiency of companies, and build the competition of the sales companies. from the structure, firstly it divides the cash flow process into purchase process, inventory process, and sales process, and analyzes the reason for cbpr ( cash business process reengineering ), and then advances the rules and methods of cbpr ( cash business process reengineering ). secondly, it analyzed the disadvantages of the three tradition processes, and points out the reason in process affecting cash turnover efficiency, and then reengineers cash business process in order to echo on the customers quickly and quicken cash flow

    從論文結構上,本文分析了分銷企業資金流程再造的原因,並提出了資金流程再造的原則與方法,根據業務流程的概念將資金流程劃分為采購流程、庫存管理流程和銷售流程,並逐一對各傳統流程的弊端進行了剖析,指出了在流程中影響企業資金周轉效率的原因,並結合分銷企業自身的特點,引入供應鏈管理等先進的管理思想,再造企業資金流程,以達到更快地響應顧客,加快資金流轉的目的,同時分析了影響分銷企業的資金流程再造成功的因素,最後本文又根據tcl電器銷售公司的運作模式進一步印證了資金業務流程再造的優勢。
  8. Do cash registers maintain a copy of till receipt for checking against sales memos

    是否保留另一份收據在收銀機內以便核對發出的收據
  9. 9 - pin star dot matix printer head and can contact to rs232 or printer interface. . . - can output 24v and direct to open cash drawer for printing speed have 3. 2 lines sec. . . - built - in 8800 chinese words, can use for sales, oil station, restaurent. . .

    9針star機心,可列印中文之發票機,內建8800個中文字,並可連接電腦之rs - 232或printer介面,輸出24v可直接開啟錢箱,列印速度達每秒3 . 2行
  10. The time lag between the purchase of raw materials and the collection of cash for sales is referred to as the operating cycle for the company

    購買原材料與銷售後收回現金之間的時間間隔被成為公司的經營周期。
  11. Responsible for store daily operation including sales, unknown loss, store condition, cash management, staff team management, public relationship correspond etc

    負責每家店的每天運作管理,包括商品的銷售管理,損耗控制、店面狀態管理、現金收入管理、員工隊伍管理、社會關系協調等工作。
  12. The bank will maintain a credit card account for the cardholder to which amounts of all sales draft and cash advance vouchers issued pursuant to the use of the card will be posted

    本銀行將為持卡人開立一信用卡賬戶,用以記存一切日後因使用此卡而列于消費單據或現金貸款存根上之款額。
  13. The bank will maintain an individual credit card account for each cardholder to which the amounts of all sales draft and cash advance vouchers issued pursuant to the use of the card will be posted

    本銀行將為持卡人開立一信用卡賬戶,用以記存一切日後因使用此卡而列于消費單據或現金貸款存根上之款額。
  14. Responsibilities : be responsible for account payable, receivable and taxes, cost calculation and variance analysis, purchasing and sales contract review, cash flow forecast and control

    主要職責:負責應付帳款、應收帳款、稅收等帳務的處理工作;成本核算和差異分析;采購、銷售合同審核;流動資金預測和管理。
  15. Based on the correct analysis of the cashflow for investment project feasibility study ' s financial evaluation, and the thought on investment project financial evaluation ' s cashflow statement being an income statement according to cash basis, the author found some untrue which exist in the guideline of investment project feasibility study and the report example for investment project feasibility study, and created a restructure method to counter their financial cashflow statement, financial cashflow statement on equity capital, and statement of financial cashflow on a specific investors " investment. restructure method ' s main principle and context are : the selling tax of vat should not be included in the sales revenue, vat should not be listed as a decrease to calculate earnings ; working capital, vat, and loan principal should not be listed as cash outflow

    基於正確分析現金流量是投資項目可行性研究財務評價的前提,投資項目財務評價現金流量表是收付實現制下的利潤表的思想,本文針對《投資項目可行性研究指南(試用版) 》和《投資項目可行性研究報告編寫範例》中可研財務評價存在的不當之處,對其運用的項目財務現金流量表、資本金財務現金流量表、中方投資財務現金流量表及外方投資財務現金流量表等報表的現金流量要素,提出了重新構造方法,主要原則和內容包括,銷售收入(營業收入)中不應含有增值稅銷項稅;增值稅不能列作收入的減項以計算利潤;流動資金、增值稅、借款本金不能列作現金流出。
  16. Collects cash or checks for sales of scraps & quality services charge

    接受因銷售廢品或由於質量服務而產生的現金或支票。
  17. Use the quantitative analysis tools to valuate use trend extrapolation to forecast sales revenue, linear regression to forecast the future cash flows, tow ? stage discounting cash flow model to valuate the physical assets of zte co. and black ? scholes option pricing model to valuate its growth opportunity or real option. and from the qualitative perspective analyze the reasons for deviations from the enterprise value

    用趨勢外推法預測銷售收入,用線性回歸法預測未來現金流量,用兩階段折現現金流量模型評估中興現有資產價值;用布萊克-斯克爾斯期權定價模型預測在競爭條件下中興的增長機會價值;在結尾處,從定性分析的角度研究產生估價偏差的原因。
  18. 9 - pin citizen dot matix printer head and can contact to rs232 or printer interface. . . - can output 24v and direct to open cash drawer for printing speed have 3 lines sec. . . - built - in 13951 chinese words, can use for sales, oil station, restaurent. . .

    內建13951個中文字,完全與epson hpc tp3688 .等發票機指令相容,完全不用更改程式,適用於零售業加油站餐飲店任何需要開立二聯式發票之地方
分享友人