1)CtoPay收汇宝
2)foreign-exchange collection收汇
1.Risk for foreign-exchange collection and guarding measures in contract for repairing foreign ships;涉外修船合同中的收汇风险和防范措施
英文短句/例句
1.Declare export income: collect and clear up relative export income datum and report to local SAFE.·出口收汇核消:对日常出口收汇资料进行整理并定时核消.
2.2. Conducting all QFII related foreign exchange settlement, sales, receipt, payment and RMB settlement businesses;(二)办理合格投资者的有关结汇、售汇、收汇、付汇和人民币资金结算业务;
3.opening rate & closing rate开盘汇率与收盘汇率
4.RMTTNCE UNRCVD WHN AND THRU WHT BNK U SNT-remittance not yet received; when and through what bank did you send汇款未收到,何时通过哪家银行汇出的
5.I've just received a money order.我刚收到一张汇款单。
6.Mailing money saturday inform receipt.周六汇款,收到告知。
7.(8) the arrangements for the revenues and expenditures in foreign exchange;(八)外汇资金的收支安排;
8.advice for collection of documentary bill跟单汇票托收委托书
9.public financing, taxation, credit, interest rate, exchange rate财政,税收,信贷,利率,汇率
10.(8) Arrangements for the receipt and expenditure of foreign exchange funds;(八)外汇资金收支的安排;
11.When goods are exported, foreign exchange is earned.出口了货物,收进了外汇。
12.To close the Income Summary account.结清收益汇总账户。
13.Which will enable us to increase our foreign exchange earnings.能使我增加外汇收入。
14.We enclose the receipt for the draft, and is good enough to overlook our request for a remittance.同函奉上汇款收据一纸,恳请原谅我方索汇通知。
15.We enclose the receipt for the draft, and be good enough to overlook our request for a remittance.同函奉上汇款收据一张,恳请原谅我方索汇通知。
16.Do you know about exchange-rate fluctuations, payment balances?你了解有关外汇汇率浮动、收支平衡的问题吗?
17.These mainly included commission charges of bills, cashier's cheques, cheques, remittances, entrusted collections of payment, and collections and acceptances of banks.主要包括银行汇票、本票、支票、汇兑、委托收款、托收和承兑的手续费。
18.if not recieve the goods after one week payment, please call 029-8079720 or email to Boobsoft@163.net如果汇付货款后一周仍没有收到货物,
相关短句/例句
foreign-exchange collection收汇
1.Risk for foreign-exchange collection and guarding measures in contract for repairing foreign ships;涉外修船合同中的收汇风险和防范措施
3)Feng Shou Bao丰收宝
4)ZSB增收宝
1.Effects of Stress Resistance and Yield Increase of ZSB3 on Crops;增收宝3号对作物的抗逆生理及增产作用
5)Phosphorodithioic acid O-ethyl S,S-dipropyl ester益收宝
6)Secure collection of foreign exchange安全收汇
延伸阅读
出口收汇核销 是以出口货物的价值为标准核对是否有相应的外汇收回国内的一种事后管理措施。外贸出口单位在办理有关货物的出口通关手续时,应到当地的外汇管理部门申领经外汇管理部门加盖“监督收汇“章的核销单,凭此及出口报关单和其它所需的文件证明办理报关手续,货物报关后,由海关在核销单和有该单编号的报关上加盖“放行”章,货物出口后,出口单位必须在外汇管理部门规定的最迟收款日期内办理结汇和收帐的核销手续,这一做法称为出口收汇核销。最迟收款日期按出口的具体情况可分为以下几种结汇或收帐日期:1.即期信用证和即期托收项下的贷款必须以寄单之日起港澳和近洋地区二十天内,远洋地区三十天内结汇和收帐。2.远期信用证和远期托收项下的贷款必须汇票规定的付款日起港澳地区三十天内,远洋地区四十天内结汇或收帐。3.寄售项下的贷款,出口单位必须在核销单存根上填写最迟收款日期,该日期不得超过自报关之日起三百六十天。4.寄售以外的自寄单据(指不通过银行交单索汇)项下的出口贷款,出口单位必须在自报关之日起五十个工作日内结汇或收帐。
