第二十一条外汇局应对银行对外付款日结单进行核查。
Article 21 foreign exchange administrations shall make verifications to the daily account books of foreign payments made by Banks.
于传送日结单予客户时,客户将被视作已收到该日结单。
Client will be deemed to have received the daily statement by email at the time of transmission to client.
核查是否根据实际对外付款业务逐日、完整地制作对外付款日结单。
Daily account books of foreign payments shall be made on the daily basis for all the foreign payments according to the practical situations.
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