1.
On the Nature of Funds in Banking Account;
论银行账户资金的权利属性——横向公司诉冶金公司、汉口支行案之理论评析
2.
a bank account that accumulates interest.
为积蓄资金而在银行设立的账户。
3.
An analysis on settlement account in banks and cash flows in the Yangtze River Delta region;
江浙沪二省一市银行结算账户及资金往来分析
4.
If the offender does not have a bank account or does not have the funds, the commodity price surveillance organ shall be entitled to sell commodities of the offender to pay the amount due.
对没有银行账户或者银行账户内无资金的,物价检查机构有权将其商品变卖抵缴。
5.
In theory, social-security funds should mainly be invested in treasury bonds and bank deposits, which yield very low returns.
从理论上说,社保基金只能投资于低回报的国库券或存入银行账户。
6.
remove funds, from a bank account.
从银行帐户中转移资金。
7.
Bounced Check A check that the bank refuses to pay because of insufficient funds in the customer's account. Also called a bad or dishonored check.
空头支票银行由于客户账户上资金不足而拒绝支付的支票。也被称为不良支票。
8.
Now, you referred to escrow accounts and bank deposit slips.
现在,你们需要出示第三方账户 和银行押金单
9.
It is thought that he was paid via a Swiss bank account.
据说他是通过一家瑞士银行的账户接受酬金的。
10.
Looked at from a balance of payments capital account perspective, it is a cross between a commercial bank, a private equity investor and a hedge fund.
从国际收支平衡资本账户的角度来看,美国是商业银行、人股本投资者和对冲基金的混合体。
11.
The core of exchequer management system reformation is to build unitary account system in exchequer and to request bank account set up strictly, which change the tradional operation of financial founds thoroughly.
国库管理制度改革对银行账户设置提出了严格要求,彻底改变了财政资金的传统运行方式。
12.
Must I deposit cash in your company or may I transfer my money from the bank?
我必须存入现金呢,还是可以从银行转账资金?
13.
The Australian tax authorities, too, have cracked down on the use of payment cards to draw money from offshore bank accounts.
而澳大利亚的税务部门也已经开始禁止利用刷卡消费从离岸银行账户中提取资金。
14.
Checks issued and recorded by the company but not yet presented to the bank for payment.
这些支票是由存户签发并从其现金账户中扣除,但尚未向银行兑付。
15.
On Construction of Ledger and Subsidiary Ledger for Centralization Management of Corporation Capital
通过总分账户 实行企业集团资金集中管理
16.
Normally there are differences between bank statement and accounting records.
银行对账单上所显示的余额往往与其会计账册上现金账户的余额不符。
17.
Where a holder authorizes a bank to receive payment on his behalf, the bill is deemed as receipted when the authorized bank credits the collected sum to the holder's account.
持票人委托银行收款的,受委托的银行将代收的汇票金额转账收入持票人账户,视同签收。
18.
A bank reconciliation is a schedule explaining any difference between the balance shown in the bank statement and the balance shown in the depositor's accounting records.
银行存款余额调节表是用于说明银行对账单上所显示的余额与企业现金账户的余额不一致。