备付金的英文
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"备付金"怎么读用"备付金"造句
英文翻译手机版
- excess reserves
- exess reserve
- "备"英文翻译 have; be equipped with
- "付"英文翻译 commit to; hand over to; del ...
- "金"英文翻译 metals
- "备付金(超额准备金)" 英文翻译 : excess reserves
- "备付金;汇兑兑换资金" 英文翻译 : provision
- "维修及修理备付金" 英文翻译 : provision for maintenance and repairs
- "备付金〔居者有其屋计划" 英文翻译 : provisionhomeownershipscheme
- "备付,准备" 英文翻译 : provision
- "预付金" 英文翻译 : payment of account; prepayment money
- "备付差捐" 英文翻译 : reserves for losses on mutual loan accounts
- "备付款项" 英文翻译 : provision
- "备付税款" 英文翻译 : provision for tax
- "备付税项" 英文翻译 : provision for taxation
- "备付所得税" 英文翻译 : provision for income tax
- "备付帐户" 英文翻译 : successor account
- "给付金额" 英文翻译 : payout amount
- "交付金额" 英文翻译 : delivery amount
- "交付金玲木" 英文翻译 : e00f
- "未付金额" 英文翻译 : unpaid amount
- "现付金额" 英文翻译 : down payment
- "议付金额" 英文翻译 : negotiated amount
- "应付给付金" 英文翻译 : accrued mutual loan account proceeds
- "应付金额" 英文翻译 : amount due; amount payable
- "预付金额" 英文翻译 : advance payment; amount advanced; prepaid amount; prepaid sum
- "支付金额" 英文翻译 : payment amount
例句与用法
- Return on loans , advances and provisions
贷款垫款及备付金申报表 - Provision for maintenance and repairs
维修及修理备付金 - In the first and second chapter , we briefly review the history and background of the vault cash optimal management problem
第一、二章对现金备付金优化管理问题研究的综述。 - From the optimal analysis and data mining , we give an empirical study of that bank ' s vault cash management problem
在工作1 、 2基础上,对该银行备付金优化管理进行了实证研究。 - Funds for inter - bank lending should be restricted to those idle funds after fully paying the deposit reserve funds , standing funds and the due loans to the people ' s bank of china
拆出资金限于交足存款准备金、留足备付金和归还中国人民银行到期贷款之后的闲置资金。 - Article 32 a commercial bank should pay a certain amount of deposit reserve funds to the people ' s bank of china and keep adequate payment funds in accordance with the latter ' s stipulations
第三十二条商业银行应当按照中国人民银行的规定,向中国人民银行交存存款准备金,留足备付金。 - In the third and fourth chapter , we give the numerical method of calculating the cash demand function , and we set up the optimal management model of the atm and counter operation
第三、四章建立了atm和银行柜台业务现金备付金优化管理模型,给出了模型参数估计和备付金需求函数数值求解的方法。 - 2 . from the bank ' s practical vault cash demand of the atm and counter operation , we structure the stochastic inventory model using ( s , s ) policy . on the base of the optimal object function , we completely study the vault cash optimal management problem of bank ' s atm and counter operation
2 、根据atm和银行柜台业务的现金备付金需求,给出了符合银行实际的损溢函数,建立了现金备付金优化管理的( s , s )策略模型,对于atm和银行柜台业务的现金备付金优化问题进行了比较彻底的分析。 - We study the bank ' s vault cash optimal management problem in this paper . following the existing research , our contribution is on : 1 . continuing the research of the reference [ 12 ] , we give the numerical methods of calculating the cash demand and the net payout , furthermore we give the method of data mining in the practical calculating
本文研究了银行现金备付金优化管理问题,在前人研究的基础上,本文的贡献主要在于: 1 、继续了文献12的研究,提出了计算现金净支付函数、现金需求函数等的数值计算方法,以及模型参数估计中的数据挖掘方法。
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