"未分配账户"的翻译 使用英语:
字典 中国人-英语
未分配账户 - 翻译 :
例子 (外部来源,未经审查)
配置账户 | Configure Account |
博客账户配置 | Blog Account Configuration |
已为未知的GnuCash账户建立孤立账户 | Orphan created from unknown gnucash account |
专题方案分账户 和 项目分账户 | (b) The Project Sub Account. |
专题方案分账户 项目分账户 和 | (b) The Project Sub Account, and |
项目分账户 和 专题方案分账户 | The possible sources of finance for the Special Account may be |
未选择账户 | No account selected |
未提供账户名 | QIF imported, no account name supplied |
未提供账户名 | No account name supplied |
然而 大会授权分配以前各期维持和平账户的未支配余额贷项 其中有过去分摊给前南斯拉夫的经费 | The Assembly has, however, authorized the allocation of credits in respect of the unencumbered balances of a number of peacekeeping accounts for prior periods, for which assessments had been issued for the former Yugoslavia. |
行政工作分账户 和 主要政策工作分账户 | (b) The key Policy Work Sub Account. |
行政工作分账户 和 主要政策工作分账户 | (a) The Administrative Work Sub Account, and |
未选择支付账户 | No amount for payment selected |
此账户不支持配额信息 | This account does not have support for quota information. |
未创建账户 您得在发布状态前创建一个账户 | No account created. You have to create an account before being able to make posts. |
项目分类账账户余额 | Project ledger account balances |
配置和管理您的 Ubuntu One 账户 | Configure and manage your Ubuntu One account |
1. 应在特别账户之下设立两个分账户 | (a) The Thematic Programmes Sub Account and |
1. 应在特别账户之下设立两个分账户 | (a) The Thematic Programmes Sub Account |
1. 应在特别账户之下设立两个分账户 | The Project Sub Account, and The Thematic Programmes Sub Account. |
账户分界符 | Account delimiter |
(a) 行政账户 和工作方案分账户 (欧洲联盟) | (a) The Administrative Account and the Work Programme Sub Account (EU) |
1(新增). 应在行政账户下设立两个分账户 | 1. (new) There shall be established two sub accounts under the Administrative Account |
1. (新增) 在行政账户下应设立两个分账户 | 1. (new) There shall be established two sub accounts under the Administrative Account |
未指定金融机构的账户 | Accounts with no institution assigned |
交易 按账户分类 | Transactions by Account |
但工时分配调查尚未纳入住户调查 | However time use surveys have not yet become a part of the household surveys. |
您还没有配置有效的新闻组账户 | You have no valid news accounts configured. |
列出您账户中的全部 Konqueror 配置文件 | Lists all the Konqueror profiles in your account. |
42. 账户中未提供这笔数额 | There is no provision in the accounts for the above amount. |
此投资账户是否有一个对应的托管账户 选中该项 如果此投资账户有一个对应的账户用于保存未投资资金 不选该项 如果您不用此账户来管理活跃的股票投资代理 如果此账户并未被银行或者经纪人托管 也不选该选 | Does this investment account have a brokerage account? Check the mark if this investment account has an associated account for money that is not invested. Uncheck it if you do not use this account for active stock brokerage. You should also uncheck it if the account is not maintained by a bank or broker. |
房舍管理特别账户产生的利息收入贷记该账户 最后考虑到设在维也纳的各组织所缴资金和该账户收到这类资金的日期 按比例分配给这些组织 | Interest income arising from the special account for Buildings Management is credited to that account, and finally prorated to the Vienna based organizations taking into account the funds contributed by them and the date of receipt of such funds in the account. |
10. 在项目分账户或专题方案分账户之下所收到的与具体项目前工作 项目和活动相关的款项应归入所涉分账户 | All receipts pertaining to specific pre projects, projects and activities under the Project Sub Account or the Thematic Programmes Sub Account shall be brought into the respective Sub Account. |
9. 在项目分账户或专题方案分账户之下所收到的与具体项目前工作 项目和活动相关的款项应归入所涉分账户 | All receipts pertaining to specific pre projects, projects and activities under the Project Sub Account or the Thematic Programmes Sub Account shall be brought into the respective Sub Account. |
账户类型 POP 账户 | Account Type POP Account |
账户类型 Maildir 账户 | Account Type Maildir Account |
账户类型 IMAP 账户 | Account Type IMAP Account |
账户余额 按类型分类 | Account Balances by Type |
所持投资 按账户分类 | Investment Holdings by Account |
错误 未为此文件夹定义 IMAP 账户 | Error no IMAP account defined for this folder |
未能在该银行找到合适的账户 | No suitable accounts were found at this bank. |
账户类型 本地账户 | Account Type Local Account |
(d) 出售剩余设备的收益应记入有关方案的账户 前提是该账户尚未关闭 | (d) when the proceeds from the sale of surplus equipment shall be credited to the relevant programme account, provided that it has not been closed |
无法自动迁移您的配置 所以请检查您的账户配置 Unknown subject. | It was not possible to migrate your configuration automatically so please check your account configuration. |
( 三 ) 未 按照 规定 将 证券 自营 账户 或者 证券 资产 管理 客户 的 证券 账户 报 证券 交易所 备案 | (3) Where a securities firm does not report its security self operation accounts or portfolio accounts of its clients to a security exchange for file according to provisions |
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