银行账户信息英文编辑
北京银行明细英文模板
北京银行明细英文模板Beijing Bank Statement English Template1. Account Holder Information:- Name: [Account Holder's Name]- Account Number: [Account Number]- Account Type: [Account Type]2. Statement Period:- Start Date: [Start Date]- End Date: [End Date]3. Transaction Details:- Date: [Transaction Date]- Description: [Transaction Description]- Amount: [Transaction Amount]- Balance: [Account Balance]- Date: [Transaction Date]- Description: [Transaction Description]- Amount: [Transaction Amount]- Balance: [Account Balance]- Date: [Transaction Date]- Description: [Transaction Description] - Amount: [Transaction Amount]- Balance: [Account Balance]- Date: [Transaction Date]- Description: [Transaction Description] - Amount: [Transaction Amount]- Balance: [Account Balance]- Date: [Transaction Date]- Description: [Transaction Description] - Amount: [Transaction Amount]- Balance: [Account Balance]- Date: [Transaction Date]- Description: [Transaction Description] - Amount: [Transaction Amount]- Balance: [Account Balance]- Date: [Transaction Date]- Description: [Transaction Description]- Amount: [Transaction Amount]- Balance: [Account Balance]- Date: [Transaction Date]- Description: [Transaction Description]- Amount: [Transaction Amount]- Balance: [Account Balance]- Date: [Transaction Date]- Description: [Transaction Description]- Amount: [Transaction Amount]- Balance: [Account Balance]- Date: [Transaction Date]- Description: [Transaction Description]- Amount: [Transaction Amount]- Balance: [Account Balance]4. Total Transactions: [Total Number of Transactions]5. Total Deposits: [Total Deposits Amount]6. Total Withdrawals: [Total Withdrawals Amount]7. Ending Balance: [Ending Account Balance]北京银行明细英文模板1. 账户持有人信息:- 姓名:[账户持有人姓名]- 账号:[账号]- 账户类型:[账户类型]2. 结算期间:- 开始日期:[开始日期]- 结束日期:[结束日期]3. 交易明细:- 日期:[交易日期]- 描述:[交易描述]- 金额:[交易金额]- 余额:[账户余额]- 日期:[交易日期]- 描述:[交易描述] - 金额:[交易金额] - 余额:[账户余额] - 日期:[交易日期] - 描述:[交易描述] - 金额:[交易金额] - 余额:[账户余额] - 日期:[交易日期] - 描述:[交易描述] - 金额:[交易金额] - 余额:[账户余额] - 日期:[交易日期] - 描述:[交易描述] - 金额:[交易金额] - 余额:[账户余额] - 日期:[交易日期] - 描述:[交易描述]- 余额:[账户余额] - 日期:[交易日期] - 描述:[交易描述] - 金额:[交易金额] - 余额:[账户余额] - 日期:[交易日期] - 描述:[交易描述] - 金额:[交易金额] - 余额:[账户余额] - 日期:[交易日期] - 描述:[交易描述] - 金额:[交易金额] - 余额:[账户余额] - 日期:[交易日期] - 描述:[交易描述] - 金额:[交易金额]4. 总交易笔数:[总交易笔数]5. 总存款金额:[总存款金额]6. 总取款金额:[总取款金额]7. 期末余额:[期末账户余额]。
单位银行结算账户申请书 英文版
单位银行结算账户申请书英文版Unit Bank Settlement Account ApplicationDear Sir or Madam,I am writing to apply for a settlement account for our unit bank with your esteemed financial institution. Our unit bank, named XYZ Bank, was established in 2010 and has been providing various banking services to our customers in the local community.We have decided to open a settlement account with your bank in order to streamline our financial transactions and better manage our funds. As a unit bank, we need a secure and reliable settlement account to handle our daily banking activities, including receiving deposits, processing payments, and making transfers.We have carefully reviewed the services and benefits offered by your bank and believe that your institution is well-equipped to meet our banking needs. We are impressed with your advanced online banking system, competitive interest rates, and excellent customer service. We are confident that opening a settlement account with your bank will be a wise decision for our unit bank.Enclosed with this letter are the necessary documents required for opening a settlement account with your bank, including our company registration certificate, tax identification number, and proof of address. We have completed the application form provided by your bank and have signed it in accordance with your requirements.We kindly request that you process our application for a settlement account at your earliest convenience and inform us of the next steps required to finalize the account opening process. We are eager to start a beneficial relationship with your bank and look forward to a successful partnership in the future.Thank you for considering our application. If you require any further information or have any questions, please feel free to contact me at (123) 456-7890 or via email at*****************.Yours sincerely,[Your Name]XYZ Bank。
account name翻译
account name翻译"Account name"的中文翻译是“账户名称”。
这个术语通常用于指代一个特定账户的名称或标识符,无论是在电子账户、银行账户、社交媒体账户还是其他各种在线或线下服务上。
以下是一些关于“account name”的用法和中英文对照例句:1. 在银行账户中,账户名称是用来标识账户所有人的姓名或公司名称。
In a bank account, the account name is used to identify the account holder's name or company name.2. 在电子邮件账户中,账户名称是指电子邮件地址的一部分,通常是用来识别用户的个人或组织身份。
In an email account, the account name refers to a part of the email address, typically used to identify the user's personal or organizational identity.3. 在社交媒体平台上,账户名称是用户在平台上注册时选择的独特名称,用来表示用户的个人或品牌身份。
On social media platforms, the account name is the unique name chosen by a user during registration, used to represent their personal or brand identity on the platform.4. 请提供您的账户名称和密码以登录您的在线账户。
Please provide your account name and password to log in to your online account.5. 如果您忘记了账户名称,请点击“忘记账户名称”链接以进行账户恢复操作。
账户变更函英文范文
账户变更函英文范文I am writing to inform you of the recent changes to my account information. 我写信是要通知您我的账户信息最近发生了变化。
After careful consideration, I have decided to update my contact information and banking details. 经过仔细考虑,我决定更新我的联系信息和银行详情。
This decision was not made lightly, but rather after much thought and consideration of my personal circumstances. 这个决定不是轻率做出的,而是经过了深思熟虑和考虑我的个人情况。
I believe that these changes will improve the security and efficiency of my account management. 我相信这些变化将会提高我的账户管理的安全性和效率。
I want to assure you that these changes will not affect the service I receive from your institution. 我想向您保证,这些变化不会影响我从贵机构那里收到的服务。
I appreciate your understanding and cooperation in updating my account information. 我感谢您理解和合作更新我的账户信息。
If there are any further documents or steps required to complete this process, please let me know as soon as possible. 如果还需要进一步的文件或步骤来完成这个过程,请尽快告诉我。
银行客户资料表格范本-中英文
□ 天行聯合證券有限公司 United Simsen Securities Limited香港九龍旺角彌敦道636號永隆銀行中心19樓19/F., Wing Lung Bank Centre, 636 Nathan Road, Kln., HK.電話 TEL :(852) 2179 8888傳真 FAX :(852) 2782 1872客戶資料表格 (個人/聯名帳戶)只供內部使用 Acknowledgment in respect of SEOCH Margining on a portfolio basisI/We the undersigned Customer, hereby authorize the company to submit a claim with the SEHK Options Clearing House Ltd. (“SEOCH”) in respect of my/our open positions to the effect that SEOCH will calculate and collect margin in respect of such position on a portfolio basis. The Customer acknowledges that it was invited to read the reporting requirement and the responsibilities of reporting set out in the Rules of the HKEx and in the Securities and Futures (Contracts Limits and Reportable Positions) Rules and related guidance notes issued by the SFC.關於SEOCH 基於證券組合的按金確認我/我們(在下方簽署的客戶)在此授權公司向香港聯合交易所期權結算所(簡稱“期權結算所”)提交關於我/我們之持倉由期權結算所以組合基礎計算及收取有關之按金。
Dict Reference-Banking银行英语
账户属性 外汇现钞账户 外汇结算账户 外汇储蓄账户 资本项目外汇账户 经常项目外汇账户 存本取息 开户日 补存 违约 教育储蓄 挂牌公告利率 整存整取 积数计息法 逐笔计息法 个人不动户 单位不动户 活期一本通 定期一本通 久悬户 约定支取日 通知编号 通知金额 通知建立日期 自动转存 通知取消日期 零存整取 库房 现金调拨 现金领入 上缴 内部往来 现金碰库 明细账 额度管理 账务处理 业务纠错 长短款 账实相符 协约税率 税收协定缔约国 代扣代缴 代收代缴 现钞买入价 基本税率 减免税率 币种管理 机构出入库管理 柜员出入库管理 残币兑换 假币没收 库存 现金尾箱
英文
Account Attributes FX Notes A/C FX Settlement A/C FX Savings A/C FX Capital Item A/C FX Current Item A/C Scheduled Interest WDR A/C Opening Date Supplimentary Deposit Default Education Savings Quoted Interest Rate Time Deposit Balance Accumulated Point Method (BAPM) Time Weighting Method (TWM) Personal Inactive A/C Corporate Inactive A/C Demand All-in-one Passbook Time All-in-one Passbook Dormant A/C Scheduled WDR Date Notice Seq. No. Notice Amount Notice Setup Date Automatic Renewal Notice Cancel Date Scheduled Deposit Vault Internal Cash Reallocation Internal Cash Transfer-in Internal Cash Transfer-out Internal Current TXN Cash Count Subsidiary Ledger Limit Management Accounting Process TXN Correction Cash short/over Reconciliation Conventional Tax Rate Contracting Country of the Taxation Agreement Withhold and Remit Collect and Remit FX Note Bid Price Basic Tax Rate Redeemed Tax Rate Currency Management Cash Vault Management Teller Cash-box Management Damaged Currency Exchange Counterfeit Currency Confiscation Inventory Cash-box
银行业单词
银行业单词以下是一个关于“银行业单词”的简单文档示例,这里假设是一个Word文档:银行业单词一、常用银行业单词汇总1. Account(账户)Savings account(储蓄账户):这是一种银行账户类型,主要用于存储个人或企业的闲置资金,银行会根据一定的利率支付利息。
Checking account(支票账户):也被称为活期存款账户,用户可以频繁地进行取款、存款和支票支付等操作。
2. Deposit(存款)Initial deposit(初始存款):在开设新账户时需要存入的第一笔资金。
Fixed - deposit(定期存款):将资金存入银行一段固定的期限,如3个月、6个月、1年等,通常利率比储蓄账户高。
3. Loan(贷款)Mortgage loan(抵押贷款):借款人以房产等固定资产作为抵押向银行申请的贷款,常用于购房。
Personal loan(个人贷款):银行向个人提供的用于各种个人消费目的(如购买家电、旅游等)的贷款。
4. Interest(利息)Annual interest rate(年利率):以年度为单位计算的利息比率,是衡量存款或贷款收益/成本的重要指标。
Compound interest(复利):除了最初的本金产生利息外,之前产生的利息也会加入本金继续产生利息。
5. Bankruptcy(破产)When a bank or a customer faces severe financial distress and is unable to meet its financial obligations, it may be declared bankrupt.(当银行或客户面临严重的财务困境并且无法履行其财务义务时,可能会被宣布破产。
)6. Credit(信用)Credit score(信用评分):银行等金融机构根据个人或企业的信用历史、还款能力等因素给出的一个数值,用于评估信用风险。
银行术语的中英文对照
银行术语的中英文对照引用:银行卡类型Card Type银行卡号Card No借记卡Debit Card贷记卡Credit Card电话银行IVR证件号码I.D. No注册Enrollment证件I.D.新密码New Password确认密码Confirm Password密码重置Ret Password账户管理Account management账户查询Account enquiry账户概览Account summary账户详情Account detail交易明细查询Transaction detail enquiry 转账Transfer定期存款Time deposit定期账户Time deposit活期账户Savings Account活期一本通Passbook of Current Savings 普通活期存折Regular Passbook saving定期一本通Passbook of Time Deposit零存整取Installment Time Deposit教育储蓄Education Saving存本取息Interest Withdraw Time Deposit 准贷记卡Quasi Credit Card账号Account No./Acc. No.别名Nickname账号状态Acc. Status开户网点Acc. Open网点Branch开户日期Open Date卡号Card No.卡状态Card Status起始日期Start Date结束日期End Date交易日期Transaction Date币种Currency钞/汇Cash/Remit当前余额Current Balance可用余额Available Balance余额Balance余额查询Balance Enquiry存单序号CD No.收入金额credit支出金额Debit业务摘要Memo人民币RMB美元USD乙钞B Cash转账明细Transfer details预约转账管理Scheduled transfer management 转出账号Transfer Out Acc.转出账号地区Transfer Out Region转入账号Transfer In Acc.转入账号地区Transfer In Region钞汇标志Cash/Remit转账金额Transfer Amount即时转账Immediate (Transfer)指定日期转账Sehedule (Transfer)转账日期Transfer Date备注Memo港币HKD英镑GBP欧元EUR日元JPY加拿大元CAD澳大利亚元AUD瑞士法郎CHF新加坡元SGD现钞Cash现汇Remit手续费Service Charge转账类型Transfer Type转账状态Transfer Status定期存款支取Time deposit withdraw整存整取Lump-sum Time Deposit通知存款Call Deposit零存整取续存Renew Time Deposit教育储蓄续存Renew Education Saving定活两便Consolidated Time Savings转存Repeating转存方式Transfer Type储种Type存期Period自动转存Repeating业务品种Class续存金额Renew Amount信用额度Credit Limit可用额度Available Credit预约日期Submit Date指定转账日期Schedule Date提交Submit整存整取支取Lump Sum Time Deposit Withdraw通知存款支取Call Deposit Transfer存折Passbook存单CD存本取息(利息)支取Transfer interest from interest withdraw time deposit 定活两便支取Consolidated time&Savings transfer信用卡查询Credit card enquiry信用卡概览Credit Card Summary信用卡详细信息Credit Card Detail信用卡未出账单明细Credit Card unsettled bills信用卡交易明细Credit Card Transaction Detail信用卡月结单查询Credit Card Monthly Statement Enquiry查询月份Equiry month结单日期Statement Date贷记利息Interest Rate本币上月余额RMB Previous month balance本币本月余额RMB Current month balance美元上月余额USD Previous month balance美元本月余额USD Current month balance本币最低还款额RMB Minimal Payment本币全额金额RMB Total amount due外币最低还款额Foreign Currency Minimal Payment外币全额金额Foreign Currency Total Payment账户信用额度Credit limit可用额度Available Credit原交易金额Original Amount交易地点Transact at本币存入合计RMB total Credit外币存入合计Foreign Currency total Credit本币支出合计RMB total Debit外币支出合计Foreign Currency total Debit上一结单日Previous Settlement Date还款到期日Next Payment Date信用积分Credit Point上次未还金额Previous Period unpaid amount上次还款金额Previous Period paid amount需立即缴交的过期款项/超额款项Overdue/Overlimit amount 全额还款总额Total due amount最低还款总额Minimum Payment Amount全额购汇还款总额Total foreign currency due amount最低购汇还款总额Mini foreign currency payment amount购汇牌价(人民币/美元) Exchange Rate (RMB/USD)人民币还款RMBPayment美元还款USD Payment还款方式Payment method记账日期Booked Date上次结算日Previous settlement Date信用卡还款Credit card payment自助还款服务Self Service Payment到期还款日Due Date全额还款金额Total Due最低还款金额Minimal Payment Amount还款种类Payment Type付款账号Payment acc no.付款金额Payment amount申请信用卡Credit card application美元、人民币双币种卡USD、RMB dual currency card称谓Title姓名拼音Name(Pingyin)出生日期Date of Birth证件类别I.D. Type证件号码I.D. NO.国籍Nationality婚姻状况Marital Status教育状况Education住宅性质Resident Type住宅地址Address居住年限Period of Resident住宅邮编Zip Code住宅电话Resident Phone区号Region电话号码Phone no.分机号ext手机号码Mobile Phone电子邮箱Email供养人数House hold父亲姓名Father's name母亲姓名Mather's name公司名称Company name公司地址Company add.公司邮编Company Zip Code公司电话Company phone行业性质Industry经济类型Organization职位Position现职年限Years employed现职固定月收入Monthly Salary年收入总额Year Income储蓄账户saving account个人资产信息Personal asset data账单缴付Bill Payment缴费地区payment region缴费类型payment type缴费日期payment Date缴费详细信息payment detail截止日期Due Date交费日期Transfer Date机主姓名owner name手机正常话费basic fee信息费Information fee交费总额Total amount缴费账号Payment acc. No.财经资讯Financial Information浏览金融信息browse financial information金融信息设置financial information setting个人设定Personal Setting账户维护Account maintenance会话超时设置Session timed setting更新个人资料Update personal data更改密码Change password个性化session超时时间Customizing session inactivity time limit 超时时间Limit原密码original password网上客服Customer sevices安全电子邮件security email收件箱Inbox发邮件Send mail发件箱Outbox标题subject发信人sender接收日期receive date删除delete邮件详细内容mail content发送日期send date网上挂失online Suspend account账户挂失Suspend account挂失多个账户Suspend multiple accounts 退出Logout。
请用中英文填写
Organization Information/机构信息:
Name of Organization:
机构名称(必须与项目申请单位名称完全一致):
Mailing address:
通信地址:
LegalRepresentative:
法人或法人授权代表姓名:
Title:
法人职务:
Tel:
电话:
Fax:
传真:(capitalize surname)
Email:
邮箱地址:
Bank Wire Information/付款信息:
Organization bank account name:
银行账户名称:
OrganiБайду номын сангаасation bank account(RMB)#:
银行账号(人民币):
Bank name of organization(sub-branch):
本人为上述机构授权负责人,确认上述机构信息及银行信息准确无误。
Grantee authorized signatureDate/日期
法人或法人授权代表签字
Print Name/Title
姓名(拼音、打印或工整书写)/及职务
开户行名称(包括分行):
I am an authorized representative of the organization listed above and confirm the contact and banking information represented here is accurate and remains unchanged.
中国建设银行(上海)个人流水模版——英文
105330173990081 105330173990081
105330173990081
105330173990081
105330173990081 105330173990081 105330173990081 Print Agency: CCB Shanghai **** Branch [31078****]
Service 33001616735059111***Shanghai***
Co.,Ltd 33001616735059111***Shanghai***
Co.,Ltd 33001616735059111***Shanghai***
Co.,Ltd
33001616735059111***Shanghai*** Co.,Ltd
-6,000.00 -600.00 -208.50
Print Date: 2022-02-24 13:46:37
Note: Above content are all the details between start date and end date. Please contact personel of our bank if you have any question.
-Page 1-
Card/Account No: 6217001******* * Start Date: 20200701
Abstract Reimbursement
Salary Consumption Other fee of China Merchant
Bank Reimbursement
Consumption Consumption
Reimbursement
Consumption Consumption
银行账户信息英文编辑
capitally
The currency of account
USD
The Bank Of China Limited by Share LtdOpen aForeignExchangeAccountApplicationMechanism
The belowcontent is written by open account bank after auditing
Depositor (seal)
Yearmonthday
The open bankaudition opinion: agree
Operator(seal):
Reviewer(seal):
The bank (seal )
Yearmonthday
310114677854008
Affiliated company:
The information of affiliated company should written in theassociation of enterprise/shareholderregistration form
The account character:
The unit charger:
Name:
ng bin
The certificate validation:
2030-09-19
Type of certificate:
ID
ID NO:
330222197807070016
Industry classification:
A( ) B( ) C( ) D( ) E( ) F( ) G( )H( )I( ) J( )
K( )L( )M( )N( )O( )P( )Q( )R( )S( )T( )
英文版个人开户申请书
英文版个人开户申请书Personal Bank Account Opening Application.To Whom It May Concern:I am writing to express my desire to open a personal bank account with your esteemed institution. I have been thoroughly impressed with the level of service and professionalism demonstrated by your bank, and I am confident that my banking needs will be met with the utmost care and attention.Firstly, I would like to introduce myself. My name is [Your Name], and I am a resident of [Your City/Town]. I am employed as a [Your Occupation] at [YourCompany/Organization], and I have been in this position for the past [Number] years. My current employment status is stable, and I am confident that my income will continue to support a personal bank account.In my research, I have found that your bank offers a range of services that align with my personal and financial goals. Specifically, I am interested in the [Type of Account, e.g., savings account, checking account, etc.] as it offers competitive interest rates and convenient access to funds. Additionally, the online banking and mobile applications offered by your bank will allow me to manage my account seamlessly, ensuring that I am always up-to-date with my financial transactions.Moreover, I appreciate the security measures taken by your bank to protect customer information. In this day and age, it is crucial to have peace of mind when it comes to the confidentiality of personal and financial details. I am confident that my information will be safeguarded with the utmost care by your institution.To facilitate the account opening process, I have attached a copy of my identification documents, as requested. I am also willing to provide any additional information or documentation that may be required to complete the application process.I understand that opening a bank account is a serious commitment, and I am ready to uphold my responsibilities as a customer. I promise to maintain a positive balance in my account, to make timely payments, and to abide by all the terms and conditions of the account agreement.In conclusion, I am looking forward to becoming a valued customer of your bank. I am confident that your institution will provide me with the tools and support necessary to achieve my financial goals. Thank you for considering my application, and I look forward to hearing from you soon.Sincerely,。