By the statements prove up a deposit bank (Bank Reconciliation Statement) in order to explain or prove the authenticity of the account balances, bank accounts, according to the company. The statement from the bank with a difference why, When a company controls regulate cash deposit into the bank every day and have to pay by cheque. Cause the necessity to have to compare deposit and cheque payable as shown in bank account. And as shown in the account books of the company that match or not.
การแปล กรุณารอสักครู่..
