平衡固定资产的分类帐余额。更正固定资产账簿中的差错。在相关帐户中提供正确的信息。
Balancing the ledger account balance for fixed assets. Correct errors in the books of fixed assets. Provide correct information in relevant accounts.
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PCF ID | 10834 |
名称(英文) | Reconcile fixed-asset ledger |
指标可用 | N |
级别 ID | 9.3.3.7 |