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1.
Brief Analyzing on the Filling Method for the Supplementary Information of the Cash Flow Statement;
浅析现金流量表补充资料的填列方法
2.
The reforming and improving disclosure of supplemental information of cash flow statements;
进一步完善现金流量表补充资料的信息披露
3.
Discussion on adjusting net profit to net quantity of cash flow by means of indirect approach-Supplementary elata for the table of cash flow PavrtⅡ;
采用间接法将净利润调整为现金流量净额的探讨——现金流量表补充资料第二部分
4.
Analysis on cash flow and the cash flow of investment project in cash flow statement;
浅析现金流量表现金流量与投资项目现金流量
5.
An Elementary Introduction of How t o Make Full Use of Cash Flow Statement;
浅谈企业如何充分发挥现金流量表的作用
6.
Amendments on "Cash Flow Statement of Full Investment;
对“全投资现金流量表”的修改意见
7.
supplementary-funded project
补充资金资助的项目
8.
The basic financial statements include the balance sheet, the income statement, the statement of owner's equity, and the statement of cash flows.
基本财务报表包括资产负债表、收益表、业主权益表和现金流量表。
9.
Accounting statements shall at least comprise a balance sheet, an income statement and a cash flow statement.
会计报表至少应当包括资产负债表、利润表、现金流量表等报表。
10.
leverage the money that is already available.
用可利用的资金来补充。
11.
quarterly updates
季度增补材料, 季度更新[补充]资料
12.
Research on the Serviceability of the Cash Flow Statement for Investor s Decision;
现金流量表对投资者决策的有用性研究
13.
Some Consideration to the Calculating Indices of Total Investment Cash Flow Statement;
对全部投资现金流量表计算指标的一些思考
14.
The principal financial statements of a corporation are the balance sheet, the income statement, and the statement of cash flows.
公司主要的财务报表是资产负债表、损益表和现金流量表。
15.
The preparation of the statement of cash flows is different from the balance sheet and the income statement.
现金流量表的编制与资产负债表和损益表是不同的。
16.
Understand how to derive the indirect SCF from the Income Statement and the Balance Sheet.
理解如何根据损益表和资产负债表推出间接法现金流量表。
17.
The information from the comparative balance sheets, the income statement and some related accounts is the basis of the preparation of the statement of cash flows.
比较资产负债表、损益表和一些账户是编制现金流量表的基
18.
The statement of cash flows is a statement that shows the cash effects on operating, investing, and financing activities of company for accounting period.
现金流量表是用来表明企业一定时期的营业活动、投资活动和筹资活动的现金效果的报表。