disbursements信息详情

disbursements发音

意思翻译

n.[会计]支付;垫付款;港口开支(disbursement的复数)

相似词语短语
双语使用场景

He and other scholars have argued that large disbursements are subject to the law of diminishing returns.───他和其他学者认为这些大笔的支出服从了减少回报的法规。

All major disbursements are made by checks, and an imprest fund is used for petty cash disbursements.───所有主要支出都是使用支票,对零星的现金支出则另设预付资金。

A voucher system helps maintain control over cash disbursements.───一个凭单系统帮助维护控制现金支付。

E-ticket holders can print to the airport, "Itinerary, " as the reimbursement voucher, after the trip alone would be the only disbursements.───持电子客票可到机场打印“行程单”作为报销凭证,以后行程单将是惟一滴报销凭证。

He admits using third-party receipts to obtain disbursements from the fund, but says they were used for secret diplomacy.───陈水扁承认使用第三方收据来报销机要费,但表示这些资金是用于秘密外交事务的。

The cost of insuring money advanced to pay for general average disbursements shall also be allowed in general average.───共同海损费用垫款的保险费,也应作为共同海损。

Thereafter, we would require a further deposit from you to meet our anticipated costs and disbursements for all future work.───因此,我们请你再存一些金额,以便支付预期费用及以后工作的各项开销。

The accounting fee should be paid out of the accumulated funds before disbursements are made.───会计费用应该在分发投资资金之前独立于投资资金而支付。

All major disbursements are made by checks , and an imprest ( fixed amount ) fund is used for petty cash disbursements.───所有主要支出都是使用支票,对零星的现金支出则另设(定额)预付资金。

英语使用场景

Use the purchases journal, the cash disbursements journal, and the accounts payable subsidiary ledger.

A forecast of estimated cash receipts and disbursements for a specified period of time.

The cost of advancedpay for general average disbursements shall also be allowed in general average.

Today, ODA disbursements in real terms are at their lowest levels in 20 years.

Declaration Statement of Foreign Exchange Receipts and Disbursements or Transactions (For settlement of ...

All major disbursements are made by checks , and an imprest fund is used for petty cash disbursements.

"Realizes the system take the receipts and disbursements" to be able to reflect the enterprise actual state of operation as the foundation cash flow target.

Provide accurate accounting for cash receipts, cash disbursements, and cash balances.

Making Disbursements from the Petty Cash Fund.