Prepare bank reconciliation and filling after checking by accountant; submitting all the sets of bank statements and bank reconciliation copies to parent company of SSWS.

  • 负责编制银行余额调节表,由会计审核后归档管理;负责每月结帐后提交所有银行对帐单及银行余额调节表复印件至香港母公司。
目录 查词历史