Manager.io/Manager
-
Bank Reconciliation Statement
Bank Reconciliation Statement
对账表 -
Closing balance as per bank statement
Closing balance as per bank statement
银行期末余额 -
Closing balance as per balance sheet
Closing balance as per balance sheet
资产负债表期末余额 -
Cost of sales
Cost of sales
销售成本 -
Automatic
Automatic
自动 -
Not reconciled
Not reconciled
未对账 -
Email sending format
Email sending format
电子邮件格式 -
Add
Add
加 -
From
From
起始日期 -
To
To
截止日期 -
Merge
Merge
合并 -
Transfer
Transfer
转账 -
Control account
Control account
统计账目 -
Cash & cash equivalents
Cash & cash equivalents
现金与硬通货 -
Non-inventory Item
Non-inventory Item
非库存物品 -
Non-inventory Items
Non-inventory Items
非库存物品 -
New Non-inventory Item
New Non-inventory Item
新建非库存物品 -
No pending deposits as at {0}
No pending deposits as at {0}
截止于{0},未有未核算存入 -
No pending withdrawals as at {0}
No pending withdrawals as at {0}
截止于{0},未有未核算提取 -
Pending
Pending
未核实
Il n’a plus de segments à afficher.
Chargement d’autres segments en cours…
© 2009-2024 WebTranslateIt Software S.L. Tous droits réservés.
Termes d’utilisation
·
Politique de confidentialité
·
Politique de sécurité