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bank reconciliation造句

造句2.23W

long-form bank reconciliation

bank reconciliation造句

Preparing bank reconciliation reports and cash reports.

Prepare bank reconciliation and report daily funds.

Prepare bank reconciliation such as agency, imparts and replacement reserve.

The July 3 bank reconciliation for B company based on the bank statement and reconciling items is as follows.

Prepare journal entries to record any items in the bank reconciliation listed as adjustment to the balance per depositor's records.

Each month, the depositor should prepare a bank reconciliation to verify that these independent sets of records are in agreement.

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.

Tracking cash inflow and outflow status each day, make bank reconciliation by the end of each month, responsible for the accuracy and safety of cash at hand.