题目内容
(请给出正确答案)
[主观题]
A bank reconciliation statement is prepared to analyze the differences between the ending
cash balance on the bank statement and the ending cash balance in the firm's accounting records.
A.正确
B.错误
答案
查看答案
A.正确
B.错误
第4题
Under negotiation credit, the issuing bank make payment to the confirming bank
(1)( ) with recourse.
(2)( ) without recourse.
第5题
(1)( ) the Reimbursing Bank (2)( ) the Confirming Bank
(3)( ) the Issuing Bank (4)( ) the beneficiary
第6题
(1)( ) Issuing Bank
(2)( ) Confirming Bank