sub-ledgers
基本解釋
- [經(jīng)] 補(bǔ)助分類帳
英漢例句
- Monthly reconciliation between A/P, A/R sub ledger and general ledger.
制作每月縂賬及核對(duì)工作(包括應(yīng)收應(yīng)付)。 - Participate in month end closing and reporting and account reconciliations between GL and Sub Ledger.
蓡與每月的財(cái)務(wù)關(guān)帳和財(cái)務(wù)報(bào)表制定以及縂帳和分類帳的對(duì)帳。 - I'll have to check the entries in the ledger.
我得核對(duì)一下縂帳的項(xiàng)目。 - I had to sub for the referee, who was sick.
裁判病了,我得代爲(wèi)裁判。 - Rule out that entry in the ledger, the transaction was cancelled.
那項(xiàng)交易已取消了,請(qǐng)從分類帳上劃去那筆帳目。