银行透支(Bank overdrafts) 意义:企业与银行间可订定透支契约,以便公司银行存款不足时,仍继续签发支票付款,此时公司银行存款出现赤字(有贷方馀额),即...
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bank overdraft paper 银行透支票据
Goes To Bank Overdraft 去银行透支
overdraft on bank 向银行透支
Bank Overdraft Interest 银行透支利息
overdraft through bank cards 银行卡透支
overdraft t on bank 向银行透支
overdraft with bank 银行透支
overdraft by outport bank 外埠银行透支
A lot of bank overdraft, operation, and an overdraft of the ratio is quite large.
许多银行透支,操作和透支的比率是相当大。
However, the Company must control the timing when using cash float so that possible bank overdraft can be avoided.
不过,在使用现金浮游量时,一定要控制好使用的时间,否则会发生银行存款的透支。
The Company also maintains a bank overdraft, which funds day to day working capital, which bears interest at a floating rate.
同时,本公司亦有开设需付浮动利息之透支户口以维持日常营运资金。
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