每月储户应准备一个银行存款余额调节表,用于鉴定各自独立的记录的正确性。
Each month , the depositor should prepare a bank reconciliation to verify that these independent sets of records are in agreement .
关于银行存款余额调节表的编制方法的见解
Comment on " the method of drawing up a readjustment table for the remaining sum of the bank deposit "