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音標(biāo)為:k??, b??l??nz
基本翻譯為“現(xiàn)金余額”
速記技巧:cash(現(xiàn)金)+ balance(余額)
例句:The company"s cash balance has been depleted. 公司的現(xiàn)金余額已經(jīng)用盡。
Cash balance這個(gè)詞的詞源可以追溯到拉丁語(yǔ)和英語(yǔ),它指的是個(gè)人或組織持有的現(xiàn)金余額。這個(gè)詞在英語(yǔ)中的使用已經(jīng)有一百多年的歷史了。
cash balance的變化形式主要是復(fù)數(shù)形式cash balances,它通常用于描述一個(gè)組織或個(gè)人持有的現(xiàn)金余額的總和。
相關(guān)單詞:
1. cash flow - 現(xiàn)金流量,這個(gè)詞指的是一個(gè)組織或個(gè)人在一段時(shí)間內(nèi)現(xiàn)金流入和流出的總額。
2. balance sheet - 資產(chǎn)負(fù)債表,這個(gè)詞指的是一個(gè)組織或個(gè)人在特定時(shí)間點(diǎn)上的資產(chǎn)、負(fù)債和所有者權(quán)益的總結(jié)。
3. balance - 平衡,這個(gè)詞在很多語(yǔ)言中都有使用,它指的是在兩個(gè)或多個(gè)事物之間的平衡狀態(tài)。
4. balance-sheet - 資產(chǎn)負(fù)債表,這個(gè)詞是cash balance的衍生詞,它指的是一個(gè)組織或個(gè)人在特定時(shí)間點(diǎn)上的資產(chǎn)、負(fù)債和凈資產(chǎn)的總結(jié)。
5. cash-in-hand - 現(xiàn)金在手,這個(gè)詞指的是個(gè)人或組織持有的現(xiàn)金余額,但不包括銀行賬戶中的余額。
以上這些單詞都與cash balance有密切的聯(lián)系,它們都涉及到現(xiàn)金、余額、平衡和總結(jié)等概念。這些單詞的出現(xiàn)和發(fā)展也反映了現(xiàn)代經(jīng)濟(jì)活動(dòng)中對(duì)現(xiàn)金管理的重視和需求。
常用短語(yǔ):
1. cash in hand
2. cash balance sheet
3. cash flow
4. cash on hand
5. cash reserve
6. cash balance account
7. cash flow statement
例句:
1. We need to pay the bills before the end of the month, so we need to keep some cash in hand.
2. The company"s cash balance sheet showed a significant increase in the bank balance.
3. The company"s cash flow statement showed a significant decrease in expenses and an increase in revenue.
4. The cash reserve account has been used up, so we need to make a payment with our cash balance.
5. We need to maintain a cash reserve to cover unexpected expenses.
6. The cash balance account is used to track the company"s cash flow and ensure it is properly managed.
英文小作文:
Title: Managing Cash Balances
Managing cash balances is crucial for any business, as it ensures that the company has enough funds to cover its expenses and meet its financial obligations. A healthy cash balance can help the company avoid overdraft fees and other financial difficulties.
To maintain a healthy cash balance, it is essential to carefully monitor cash flow and manage expenses effectively. It is also important to regularly review the company"s cash reserves and ensure that they are sufficient to cover unexpected expenses.
In addition, it is vital to regularly update the cash balance sheet and cash flow statement to ensure that the company"s financial position is accurately reflected. This helps the company make informed decisions about its financial resources and ensures that it has enough funds to meet its objectives and goals.
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