青年中文青年中文

daily cash的意思

daily cash中文翻譯:

每日現金

相似詞語短語

daily daily───每天

hero cash cash───英雄現金

daily───n.(Daily)人名;(英)戴利;adv.日常地;每日;天天;n.日報;朝來夜去的女傭;adj.日常的;每日的

cash cow───n.搖錢樹; 可使人致富的生財工具;搖錢樹;巨大財源

daily light───日常照明

daily run───每日運轉

daily rhythms───日節律

daily life───日常生活; 起居

probate cash───遺囑認證現金

雙語使用場景

first occasion of refusal the daily cash benefit is reduced by 25 per cent.───首次拒絕合適的工作,您的日失業金將被扣除25%。

I've been driving a taxi and tour guiding (having temporarily returned to it) for the daily cash it provides.───為了它提供的逐日的現金,我駕駛一輛出租車,并且做導游(已經臨時地回到它)。

Daily cash management for expense claims and purchase order requests, and advise the accountant that balance of cash in hands or at Banks if they are not sufficient.───負責日常現金管理、現金報銷和采購申請的處理,并在現金和銀行存款余額不足時及時通知會計。

I've been driving a taxi and tour guiding (having temporarily returned to it) for the daily cash it provides.───為了它提供的每日的現金,我駕駛一輛出租車,并且做導游(已經暫時地回到它)。

To assist the Assistant Controller to check the General Cashier Daily Report ensuring that the daily cash receipts are deposited in time.───協助助理財務總監檢查總出納每日報告的準確性,確定每日現金憑證及時被存檔。

There is a minimum and a maximum daily cash benefit which it is possible to draw.───每日可提取的失業金現金額有最低及最高限額。

the company daily cash and bank bills settlement, and prepare cash and bank journal.───公司日常的現金和銀行票據結算,并編制現金和銀行日記帳。

Check all revenue enters' cashiers daily cash report and ensure that they are in agreement with the system control figures.───每天核實每個收銀點的現金收入報告,確保其與電腦系統數字相符。

Responsible for communications with financial institutions, daily cash processing and daily and monthly cash bank reconciliations.───負責與各財務機構的溝通,了解現金日流動狀況,確認與銀行往來的現金日對賬單和月對賬單。

英語使用場景

Responsibilities: - Manage and monitor company daily cash flow, capital, foreign and RMB settlement account.

Prepare the Daily cash and bank payments; Make acing vouchers including cash on hand, cash in bank and any transfer.

Supervise the daily cash management processing ensuring conformance with prescribed standards of banking operational procedures.

Complete the daily cash report.

Prepare daily cash report.

Audit the daily cash summary the General Cashier and records the summary the General Cashier's Report.

Check daily cash collection, take in charge of credit card center reconciliation day by day, support timely book-keeping of accountant .