当前位置:首页 » 翻译 
  • 匿名
关注:1 2013-05-23 12:21

求翻译:法人账户透支业务是中国银行在核定客户账户透支额度的基础上,在规定的期限内,允许客户在其结算账户存款不足以支付款项时,在核定的透支额度内向中国银行透支以取得资金来满足正常结算需要的一种临时性信贷便利。是什么意思?

待解决 悬赏分:1 - 离问题结束还有
法人账户透支业务是中国银行在核定客户账户透支额度的基础上,在规定的期限内,允许客户在其结算账户存款不足以支付款项时,在核定的透支额度内向中国银行透支以取得资金来满足正常结算需要的一种临时性信贷便利。
问题补充:

  • 匿名
2013-05-23 12:21:38
null
  • 匿名
2013-05-23 12:23:18
Corporate Account overdrawn bank of china business is within the approved customer account(s) on the basis of credit within the specified period, to allow customers to its clearing accounts are insufficient to at the time of payment, credit within the approved by China Bank overdrafts in order to ob
  • 匿名
2013-05-23 12:24:58
The legal person account overdraws the service is Bank of China overdraws the specified amount in the checking customer account in the foundation, in the stipulation deadline, the permission customer is insufficient when its settlement account deposit pays the fund, in the checking overdraws specifi
  • 匿名
2013-05-23 12:26:38
Corporate account overdraft service is approved by the Bank of China in the customer account on the basis of the overdraft limit, within the prescribed time limit, allowing customers to at the time of their settlement account with insufficient funds to make payments, the approved overdraft within th
  • 匿名
2013-05-23 12:28:18
null
 
 
网站首页

湖北省互联网违法和不良信息举报平台 | 网上有害信息举报专区 | 电信诈骗举报专区 | 涉历史虚无主义有害信息举报专区 | 涉企侵权举报专区

 
关 闭