释义 |
reconciliation statement 基本例句 调节表,对帐表 Prepare the bank reconciliation, report the daily balance.编制银行余额调节表,每日资金情况汇报。 A bankreconciliation statementbalance should be prepared to reconcile the difference between the bank statement balance and the account balance on a monthly basis.银行存款的账面余额应当与银行对账单定期核对,并按月编制银行存款余额调节表调节相符。 |