说明:双击或选中下面任意单词,将显示该词的音标、读音、翻译等;选中中文或多个词,将显示翻译。
您的位置:首页 -> 句库 -> 国库单一账户
1.
Towards "state treasury single account "reforming and coordinate with financial adjustment and controlling;
论“国库单一账户”改革与金融调控的协调
2.
Registered customer is liable for any outstanding amount due for the account.
登记客户须负责缴付账户内的一切账单问题。
3.
What you really need is a checking account so you can pay your bill .
你需要开一个支票账户来支付您的账单。
4.
As a result, a separate capital account and drawing account is maintained for each partner.
因此,应为每个合伙人保有一个单独的资本账户和提用账户。
5.
The simplest form of an account is "T"account.
最简单的账户格式为"T"形账户。
6.
He has a non-resident account with a French bank .
他在一家法国银行拥有外国人账户。
7.
She opened up a checking account at the Bank of China.
她在中国银行开了一个支票账户。
8.
What calls close an account kind account, defray kind account, wait for booth kind account, the apportion that cross a state kind account?
什么叫结算类账户,支出类账户,待摊类账户,跨国分摊类账户?
9.
Would you like to open a current account or a time saving account?
您想开立一个活期账户还是定期账户?
10.
Notes that the bond is recorded in a single account, the face amount of the bond and the premium paid are not recorded in separate accounts.
需注意,债券的成本均记入同一个账户,债券的面值和支付的溢价均不单设账户。
11.
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。
12.
Establishment of Non-Tax Revenue of Settlement Funds to State Treasury Account is a Realistic Option of Treasury Centralized Collection;
设立非税收入汇缴结算账户是国库集中收缴的现实选择
13.
China's Basic Old-age Insurance Personal Accounts "Empty Accounts" Accounts of the Actual Research
我国基本养老保险个人账户“空账”的实账化研究
14.
Cheques, postal orders and money orders( including International Money Orders) can be paid direct to your account also.
支票、局汇款单和汇票(括国际汇票)可以直接支付到你的账户上。
15.
Finally, the third component of the current account, unilateral transfers, is always negative.
最后,经常账户的第三个项目国际收支中的单边资金转移总是负的。
16.
I'll have a savings account.
我就开一个现金账户吧。
17.
The Allowance for Doubtful Accounts often is described as a contra-asset account.
坏账准备是一个资产对冲账户。
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。