... 结算外汇单 clearing exchange slip 现金汇单 c/o cash order 汇票汇单用语 a remittee ...
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现金汇款单 cash remittance note
现金汇单
Cash remittance order
以上为机器翻译结果,长、整句建议使用 人工翻译 。
将每天通过银行电汇单收到的现金和支票记入总出纳每日报表。
Receive and record in the General Cashier's daily Report and in the daily deposit all cash and checks received by mail.
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