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After transactions have been journalized, the debits and credits in each journal entry are transcribed to the appropriate ledger accounts.
在作出各该交易的分录后,每笔分录的借项和贷项都要转抄于相应的分类账户。
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After transactions have been journalized , the debits and credits in each journal entry are transcribed to the appropriate ledger accounts.
在作出各该交易的分录后,每笔分录的借项和贷项都要转抄于相应的分类账户。
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After the financial statements are prepared and the adjusting entries have been journalized and posted, the closing process must be completed.
当财务报表制作完成,调整分录被记录和提交,结账的程序就必须完成。