現金日記 的英文怎麼說

中文拼音 [xiànjīn]
現金日記 英文
cash journal book
  • : Ⅰ名詞1 (現在; 此刻) present; now; current; existing 2 (現款) cash; ready money Ⅱ副詞(臨時; ...
  • : Ⅰ名詞1 (金屬) metals 2 (錢) money 3 (古時金屬制的打擊樂器) ancient metal percussion instrum...
  • : Ⅰ名詞1 (太陽) sun 2 (白天) daytime; day 3 (一晝夜; 天) day 4 (泛指某一段時間) time 5 (日...
  • : Ⅰ動詞1 (把印象保持在腦子里) remember; bear in mind; commit to memory 2 (記錄; 記載;登記) writ...
  • 現金 : 1 (現款) ready money; cash; ready 2 (銀行庫存的貨幣) cash reserve in a bank; 現金儲備 cash re...
  • 日記 : diary
  1. Credit sales are recorded in a sales journal, and cash receipts in a cash receipts journal

    賒賬銷售被錄在銷售賬,收訖被錄在現金日記賬中。
  2. Before leaving the ship, the master shall direct the crew members to do their utmost to rescue the deck log book, the engine log book, the oil record book, the radio log book, the charts, documents and papers used in the current voyage, as well as valuables, postal matters and cash money

    在離船前,船長應當指揮船員盡力搶救航海誌、機艙誌、油類錄簿、無線電臺誌、本航次使用過的海圖和文件,以及貴重物品、郵件和
  3. Concern the provision of audit work station according to accounting method, if an accounting clerk manages debt already, provide check again, apparent and easy cheat, should give so prohibit ; the accountant record of an unit is custodial, it is the accountant such as budget of forms for reporting statistics of book of zhang of all sorts of prooves that point to this pair of units, accountant, accountant, financial plan, unit and important contract data, after be being collected regularly, examine a nucleus to be opposite, arrange stand roll, schedule, bound into book custodial, if allow a person to manage the debt of an unit already, keep again accountant record, made motion easily on debt apparently later the action that the opportunity of record of recycle government accountant covers him, give so prohibit : the registering job of items of an account of debt of the income of an unit, defray, charge, creditor ' s rights, the much that includes station of work of charge to an account but not be all ( for instance cash journal and bank come - and - go journal are not included ), this part charge to an account works, it is the foundation of business accounting of an unit accountant, also be the basis that produces cash come - and - go, also cannot hold part - time by cashier personnel, a person manages debt already, manage charge to an account again the basis that this produces debt come - and - go, very easy defalcate

    根據會計法有關稽核工作崗位的規定,假如一個會計工作人員既管錢款,又管復核,顯然輕易作假,所以要予以禁止;一個單位的會計檔案保管,是指對本單位的各種憑證、會計賬簿、會計報表、財務計劃、單位預算和重要的合同等會計資料,定期收集后,審查核對,整理立卷,編制目錄、裝訂成冊的保管,假如答應一個人既治理一個單位的錢款,又保管會計檔案,顯然輕易在錢款上做了手腳之後再利用治理會計檔案的機會掩蓋自己的行為,所以予以禁止:一個單位的收入、支出、費用、債權債務賬目的登工作,包括賬工作崗位的大部分但不是全部(比如現金日記賬和銀行往來賬就不包括在內) ,這部分賬工作,是一個單位會計核算的基礎,也是發生往來的根據,也不能由出納人員兼任,一個人既治理錢款,又治理賬這一發生錢款往來的根據,很輕易監守自盜。
  4. In cash log account book if was misremembered, is if where manages, receipt opens a fault this

    誌帳中假如錯了,收據開錯是該如何處理?
  5. But to cash and bank deposit course 3 period debit happening and this period forehead of credit side happening, the income that can record according to cash journal and bank deposit journal and defray number fill a line, mix according to each gathering proof no longer pay proof collect computation

    但對于和銀行存款科目的三期借方發生和本期貸方發生額,可以根據現金日記賬和銀行存款賬所錄的收入和支出數填列,不再根據各收款憑證和付款憑證匯總計算。
  6. The content of form of business accounting of summary table of proof of program content charge to an account includes 8 fields commonly : ( 1 ) the work out of primitive proof collect of business of will congener economy becomes pool primitive proof ; ( 2 ) according to primitive proof or collect primitive proof weaves proof of charge to an account ; ( 3 ) according to proof of charge to an account medium gathering proof is mixed pay journal of cash of do as you wish and bank deposit journal ; ( 4 ) the basis is original proof, swing total primitive proof and proof of charge to an account to register concerned detail to classify zhang ; ( 5 ) register total classification zhang according to summary table of all sorts of proof of charge to an account ; ( 7 ) be the same as journal and detail classification total classification zhang to undertake checking regularly ; ( 8 ) fixed basis total classification and forms for reporting statistics of accountant of work out of detail classification zhang

    程序內容賬憑證匯總表核算形式的內容一般包括八個方面: ( 1 )將同類經濟業務的原始憑證匯總編製成匯總原始憑證; ( 2 )根據原始憑證或匯總原始憑證編制賬憑證; ( 3 )根據賬憑證中的收款憑證和付款請便現金日記賬和銀行存款賬; ( 4 )根據原始憑證、蕩總原始憑證和賬憑證登有關的明細分類賬; ( 5 )根據各種賬憑證匯總表登總分類賬; ( 7 )定期將賬和明細分類同總分類賬進行核對; ( 8 )定期根據總分類和明細分類賬編制會計報表。
  7. Cash payments journal

    支出
  8. Cash payment journal

    支出
  9. On the payment date, the following entry would be made in the cash disbursements journal.

    支付則應在付出帳中作出如下分錄。
  10. Investors who hold stocks with high dividend yields should be in low tax brackets relative to stockholders who hold stocks with low dividend yield. studying the relationship between dividends and stock price movements during 1995 to 2000, we find the average of the ex - dividend day price ratio is less than one

    對1995 - 2000年數據的研究結果表明,股價變動與股利比的均值小於1 ,得出除息股價相對于股權登收盤價下跌幅度小於每股股利。
  11. Taking ready money did not avoid breath period, want accrual, accrual is to take those who show amount extremely, take from you begin what show to note day of interest that day

    是沒有免息期的,是要利息的,利息是取額的萬分之五,從你取的當開始息。
  12. Filling in the vouchers, recording the cash journal

    填制會計憑證,登現金日記帳。
  13. Prepare cash journal in time

    現金日記帳及時登帳。
  14. Cash disbursements journal

    付款
  15. Upon abandoning the ship, the master must take all measures first to evacuate the passengers safely from the ship in an orderly way, then make arrangements for crew members to evacuate, while the master shall be the last to evacuate

    在離船前,船長應當指揮船員盡力搶救航海誌、機艙誌、油類錄簿、無線電臺誌、本航次使用過的海圖和文件,以及貴重物品、郵件和
  16. Cash receipt journal

    收款
  17. Use the sales journal, the cash receipts journal, and the accounts receivable subsidiary ledger

    使用銷售賬,現金日記賬,和應收款明細分類賬。
  18. Use the purchases journal, the cash disbursements journal, and the accounts payable subsidiary ledger

    使用進貨賬,支付賬,和應付款明細分類賬。
  19. 1 manage daily cash flow and payment., make daily journey and ensure the account and the cash is equivalent

    1管理支付,登明細帳,確保帳實相符。
  20. As to in front the cash journal of a mentioned unit and bank come - and - go journal, if have need truly, can hold part - time by cashier personnel commonly, but the duty that also should join cashier staff, accomplish day of clear month form, items of an account is clear

    至於前面提到的一個單位的現金日記賬和銀行往來賬,假如確有需要,一般可以由出納人員兼任,但也要結合出納人員的職責,做到清月結,賬目清楚。
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