Supervise all General Cashier and Income Audit Transactions. Balance cash clearanceaccount.
管理总收银及收入审计的所有事项,平衡现金结算帐户。
2
Clearance Period The number of days required to settle a check deposited into an account. Generally 3 to 4 days.
偿付期限偿付支票并将金额存入账户需要的天数。通常为3到4天。
3
A securities registrar and clearance institution shall, in accordance with relevant regulations, open a securities account for the investor in the investor's own name.