青年中文青年中文

ledger account的意思

ledger account中文翻譯:

分類帳

相似詞語短語

memorandum ledger───備忘分類賬

ledger independent───獨立分類賬

patriot ledger───愛國者賬本

ledger wallet───賬本錢包

ledger dispatch───分類帳調度

ledger live───賬本直播

account───vt.認為;把…視為;n.賬戶;解釋;賬目,賬單;理由;描述;vi.解釋;導致;報賬

subsidiary ledger───明細分類賬;[會計]明細分類帳;輔助分類帳

beneficiary ledger───收款人分類賬

雙語使用場景

Preparing an adjusted trial balance proving again the equality of debits and credits in the ledger account.───編制調整后試算表,再次證明在分類賬中的借項與貸項相等。

Preparing an adjusted trial balance, proving again the equality of debits and credits in the ledger account.───b將開支報告上的所有金額追蹤至指定的總帳,以確保入帳的準確性。

Each item and provided with a plurality of three stage breakdown, and set corresponding to the general ledger and subsidiary ledger account.───每個子目下又設若干三級細目,并設置相應的總分類賬戶和明細分類賬戶。

Posting is the process of copying data from the General Journal to each Ledger account.───張貼是一個將一般雜志上每個分賬復制數據的過程。

A business that carries checking accounts with several banks will maintain a separate ledger account for each bank account.───一個企業如擁有幾個銀行的支票賬戶,那么對于每一個銀行賬戶將分別設立獨立的分類賬戶。

b. Trace all amounts on the expense reports to the designated general ledger account to ensure accurate posting.───b將開支報告上的所有金額追蹤至指定的總帳,以確保入帳的準確性。

This account receivable is recorded in the credit card company's city ledger account.───此應收款,記在相應的信用卡公司的客戶往來賬戶。

英語使用場景

The general ledger account acts as a controlling account, and the subsidiary ledger must agree with the control.

Posting is the process of copying data from the General Journal to each Ledger account.

A stock split does not change the balance of any ledger account; consequently, the transaction may be recorded merely by a memorandum entry in the general journal.

Preparing income statement and balance sheet based on the balance in the ledger account.

Preparing an adjusted trial balance, proving again the equality of debits and credits in the ledger account.

The ledger account is basis set the general ledger.

A ledger account is simply a record of changes (increase and decrease)and balances in value of a specific accounting item.