reconciliations
- reconciliations的基本解释
-
n.
和解( reconciliation的名词复数 ), 一致, 勉强接受, (争吵等的)止息
- 相似词
- 拼写相近单词
- reconciliation
- 更多 网络例句 与reconciliations相关的网络例句 [注:此内容来源于网络,仅供参考]
-
Responsible for monthly intercompany reconciliations.
负责公司内部的每月对账。
-
Position SummaryResponsible for the all accounting function including payroll, expenditures, accounts payable and receivables, general ledger ,costing, all tax matters and declaration -control and adjust journal entries; maintain bookkeeping as per tax bureau requirement-perform on time month and year end closings including journal entries, financial statement, full set of taxation reports, account reconciliations, annual audit preparation.-prepare, analyze and track financial schedules, costing, statements, forecasts-handle relationships with national / local tax bureau, banks, auditors, administration-report and consolidate financial information with the parent company in Hong Kong
职位简述负责所有财务会计相关工作,包括工资结算,费用审核,应收及应付帐款,总账,成本核算,各类税务事项及申报等-负责会计分录及账务;各项帐务处理符合税务局要求-负责月度结帐及年度结账,包括帐务处理,财务报表,完整的税务报告,帐户分析,准备年度审计等-编制,分析和跟进财务结算安排,成本核算,各项报表及预测-与国税/地税局,银行,审计人员,行政机关等外部机构建立良好关系-对香港母公司的财务信息进行报告及编制合并报表
-
Manage the treasury and banking functions, supervise the cahiers and bank reconciliations.
管理资金、银行业务运作,督管出纳和银行的协调。
- 更多网络解释 与reconciliations相关的网络解释 [注:此内容来源于网络,仅供参考]
-
Bank reconciliations:银行调和
MS Excel 微软Excel软件 | Bank reconciliations 银行调和 | Hyperion 财务系统
-
Bank reconciliations:银行账本调节
Inventory Management 存货管理 | Bank Reconciliations 银行账本调节 | Computer Services 电脑服务
-
Cash Reconciliations and Budgeting Consolidate:现金收支和预算控制
Deliver inbound express in a timely manner, and reasonably pre-arrang... | Cash Reconciliations and Budgeting Consolidate现金收支和预算控制 | Conduct cash reconciliation reports and cash/credit card tr...
-
Reconciliations Japanese market value of the Fund:对帐日基金市值
Fund share holders 持有基金份额 | Reconciliations Japanese market value of the Fund 对帐日基金市值 | Fund transaction information 基金交易信息
-
Ensure Project account reconciliations to ERP systems:确保项目账目与ERP 系统内数据一致
-Ensure Project account reconciliations to ERP systems 确保项目账目与ERP 系统内数据一致. | -Monitor Revenue, margin, and provision监控收入,... | -Provide support for accurate claim compilation为准确的...