receiving bank 中文意思是什麼

receiving bank 解釋
匯入行
  • receiving : n. 1. 接收。2. 收買賊贓。adj. 接受的;收報的。
  • bank : n 1 堤,堤防;岸,河畔。2 埂,壟,堆。3 (海中水下的)沙洲,灘。4 斜坡,邊坡,坡度;轉彎。 【航空...
  1. Located on the bank of the mother - river, qiantang river, at 6f zhonghua mansion 489 qiutao rd, hangzhou jinjiang electric appliance co., ltd. former hangzhou jinjiang electrical appliance factory is specialized in manufacturing thermal protector and starter for compressors of air - conditioner and refrigerator. with an annual output capability of 1, 000, 000 sets, the products are mainly supplied for domestic compressor manufacturers and partly exported. it covers a building area of 1, 600 square meters and employs over 100 people, among which 12 are technicians. all the staff are qualified by receiving professional training. the company consists of general affair office, quality control department, manufacture department, product department, procurement and promotion department ane after - sales department

    杭州近江電器有限公司原名杭州近江電器廠是生產空調冰箱壓縮機熱保護啟動器的專業公司,年生產能力為100萬套,產品主要為國內壓縮機廠家配套,部分產品出口國外。公司位於母親河錢塘江之濱秋濤路489號,中華大廈六樓廠區面積為1600平方米現有員工100餘人,所有人員都經過相應的專業培訓合格後上崗,其中技術人員為12名。公司下設綜合辦公室品質管理部技術開發部供應銷售部售後服務組。
  2. The hkma recognizes that certain information, in particular, the remitters address in an inward remittance and the beneficiarys address and account number in an outward remittance may not be available to the receiving bank and remitting bank respectively

    金管局理解到收款銀行及匯款銀行未必能掌握到某些資料,特別是匯入匯款的匯款人地址及匯出匯款的收款人地址和帳戶號碼。
  3. Occurring within the place of payment where the employee is for the sole purpose of receiving his salary, wages or other earnings except when such payment is effected by crediting the bank account of an employee

    為收取回報而處于支付回報之地點時發生者,但透過在銀行帳戶入帳之方式作支付者除外。
  4. Every check ( note ) sent to the clearing house has a receiving bank and a paying bank

    送到交換所進行交換的每張支票(票據)都有收款行和付款行。
  5. Guideline on role of the receiving bank in new share issues hkma

    收款銀行在新股發行中扮演的角色指引
  6. If the receiving bank is a bank in hong kong, please provide bank proof. accepted form of bank proof may be a bank book or bank statement

    如收款銀行為香港的銀行,請提供銀行證明。銀行證明可以是任何印有帳戶持有人名稱及帳號的文件,例如:存揩或銀行帳單。
  7. The guideline further requires the receiving bank to agree in advance with the sponsor of the ipo a formal contingency plan for coping with any unexpected level of interest in the ipo

    指引又要求收款銀行事先與首次公開售股事項的保薦人商定正式的應變計劃,以應付意料之外的認購熱潮。
  8. The method of accountant proof number has a variety of : one kind is money the proof of total keep account inside meeting branch unites number as a kind, make up it is the di mou that remember a word some ; one kind is to press cash and bank deposit income, cash and bank deposit to pay respectively and transfer accounts business has number 3 kinds, make up respectively it is di mou receiving a word some date, di mou paying a word some, turn word di mou some ; still one is plant is to press cash income, cash to pay, bank deposit income, bank deposit is paid and transfer accounts 5 kinds have number, make up respectively to show di mou receiving a word some, pay a word such - and - such date, silver now some date, silver pays di mou receiving a word the word such - and - such date, turn word di mou some

    會計憑證編號的方法有多種:一種是將財會部門內的全部記帳憑證作為一類統一編號,編為記字第某某號;一種是分別按現金和銀行存款收入、現金和銀行存款付出以及轉帳業務三類進行編號,分別編為收字第某某號、付字第某某號、轉字第某某號;還有一種是按現金收入、現金付出、銀行存款收入、銀行存款付出和轉帳五類進行編號,分別編為現收字第某某號、現付字第某某號、銀收字第某某號、銀付字第某某號、轉字第某某號。
  9. The receiving bank shall receive and hold as an agent the payments for shares in light of the agreement, issue receipts to subscribers who have made the payments and be obliged to issue evidence of receipt of payments to the relevant departments

    代收股款的銀行應當按照協議代收和保存股款,向繳納股款的認股人出具收款單據,並負有向有關部門出具收款證明的義務。
  10. The large difference in the buy and sell rates, particularly with cash, is because of the exposure of the bank to currency risk, as well as extra time devoted to handling and checking cash, and the risk of receiving counterfeit notes

    買入和賣出外匯匯率有一定差額是因為銀行必須面對貨幣風險,同時還需投入時間轉賬、核對並有可能收進偽鈔。
  11. Notwithstanding any of the provisions in these conditions, the bank shall not be obliged to remit funds or deliver property of the customer to a third party solely on the basis of a telephone and telefax communication, except when the party receiving the funds or property is a subsidiary or affiliate company of the customer, unless in consideration for such payment or transfer the bank shall receive value in the form of money, shares, bonds or other property to be held by it to the credit or for the account of the customer

    盡管此等條件有任何規定,本行沒有責任單憑電話及電傳通訊匯款或交付客戶之財產與第三者,但當收取匯款或財產之一方為客戶之附屬或聯營公司時則屬例外,除非作為該等付款或轉讓之代價,本行將以金錢股份債券或其他財產等方式收取價值,該價值由本行以貸存在客戶之賬戶或為客戶之賬戶而持有。
  12. The hkmc has appointed hang seng bank as the receiving bank for the application forms

    按揭證券公司委任恆生銀行為收表銀行香港上海豐銀行為包銷商,協助推銷債券。
  13. Article 89 as for the public offer shares, the initiators shall sign an agreement with the receiving bank

    第八十九條發起人向社會公開募集股份,應當同銀行簽訂代收股款協議。
  14. Applicants are required to return the application forms to the eleven designated branches of the receiving bank see

    申請人必須在截止申請日期前向恆生銀行指定的十一家分行交回申請表格見
  15. The hkmc has appointed hang seng bank as the receiving bank for the application forms and underwriter for the retail portion of the nip notes

    作認購申請。按揭證券公司委任恆生銀行為收表銀行及包銷商,協助銷售債券。
  16. The paper puts forward a mode of water allocation on the combined water - supply and water - demand management, drawing lessons from international advanced water management to solve the problems of uneven time and spatial distribution and periodical fluctuation of transferred water, that is, setting up the mode of water bank which can make up planned water - supply management and strengthen water - demand management in water receiving areas

    摘要針對南水北調中線工程供水特點以及水資源配置中的突出問題,為了應對受水區水資源時空分佈不均以及調水量周期性波動造成的特點,借鑒國際上先進的調水工程管理經驗,提出基於供水管理與需水管理相結合的南水北調中線水資源配置機制,即建立「水銀行」式管理模式,它可以彌補傳統供水管理計劃性分配的不足,並加強對受水區的需水管理。
  17. Apart from the duties of financial control, reporting, transaction posting and inter - company and bank reconciliation, the financial controller of the company in country x as well as the accounting manager of sct in country z will be authorized to operate the branch s bank account in hong kong for receiving customers money and making payments

    該公司在x國的財務總監及在z國sct的會計經理,除負責財務管理報告買賣入帳公司之間及與銀行的對帳等工作之外,亦獲授權動用該分公司在香港的銀行戶口,以便向客戶收取款項及支付貨款。
  18. The buyer will open the non operative l / c or sblc or bg within 7 banking days after receiving the pb issued by the seller ' s bank

    買方在收到賣方銀行開具的履約保證金后7天內開具和有效信用證。
  19. The borrower should indicate the purpose, payment manners, currency kind, and name of receiving company, place, bank, bank numbers and borrowing amount when filling the cash advance request

    借款申請人在填寫借款申請表時,必須明確註明用途,付款方式,幣種,收款單位名稱,地點,開戶銀行,銀行賬號及借款金額
  20. The hong kong office will perform the functions of issuing or accepting invoices, arranging letters of credit, operating a bank account, making and receiving payments and maintaining accounting records

    香港辦事處負責開出或接收發票辦理信用證管理銀行帳戶付款及收款,以及備存會計記錄等職責。
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