問題已解決
應(yīng)付款的核對流程是怎樣的,是不是財務(wù)部門根據(jù)倉庫送交的入庫單和供應(yīng)商的對賬單進(jìn)行比對呢?還是專門由財務(wù)部門先行與倉庫核對,再與供應(yīng)商對賬呢?
![](https://member.chinaacc.com/homes/resources/images/home/avatar/7.jpg)
![](/wenda/_nuxt/img/iconWarn.60bd4fe.jpg)
![](https://pic1.acc5.cn/009/82/43/73_avatar_middle.jpg?t=1651203384)
你好!
財務(wù)先和倉庫核對,相符后,再和供應(yīng)商核對
2018 10/15 22:42
![](http://member.chinaacc.com/homes/resources/images/home/avatar/7.jpg)
84784957 ![](/wenda/_nuxt/img/reply1.d92ea43.png)
![](/wenda/_nuxt/img/reply1.d92ea43.png)
2018 10/15 22:44
也就是說每日的入庫單和出庫單倉庫有責(zé)任及時送交財務(wù)部門?
![](https://pic1.acc5.cn/009/82/43/73_avatar_middle.jpg?t=1651203384)
蔣飛老師 ![](/wenda/_nuxt/img/reply2.28c7604.png)
![](/wenda/_nuxt/img/reply2.28c7604.png)
2018 10/15 22:45
你好!
對的。
![](http://member.chinaacc.com/homes/resources/images/home/avatar/7.jpg)
84784957 ![](/wenda/_nuxt/img/reply1.d92ea43.png)
![](/wenda/_nuxt/img/reply1.d92ea43.png)
2018 10/15 22:46
財務(wù)并不用過多介入倉庫的工作,只需盯緊倉庫是否有及時把單據(jù)送交上來?對么?
![](http://member.chinaacc.com/homes/resources/images/home/avatar/7.jpg)
84784957 ![](/wenda/_nuxt/img/reply1.d92ea43.png)
![](/wenda/_nuxt/img/reply1.d92ea43.png)
2018 10/15 22:48
那么從嚴(yán)格意義上來說,原材料的進(jìn)銷存賬是由倉庫做還是由財務(wù)來做?
![](https://pic1.acc5.cn/009/82/43/73_avatar_middle.jpg?t=1651203384)
蔣飛老師 ![](/wenda/_nuxt/img/reply2.28c7604.png)
![](/wenda/_nuxt/img/reply2.28c7604.png)
2018 10/15 22:51
你好!
賬由財務(wù)做,然后監(jiān)督倉庫就可以了
![](http://member.chinaacc.com/homes/resources/images/home/avatar/7.jpg)
84784957 ![](/wenda/_nuxt/img/reply1.d92ea43.png)
![](/wenda/_nuxt/img/reply1.d92ea43.png)
2018 10/15 22:54
老師,您的意思是不是說財務(wù)根據(jù)倉庫提交的單據(jù)入賬,后面根據(jù)賬面數(shù)量與倉庫進(jìn)行賬實核對?
![](https://pic1.acc5.cn/009/82/43/73_avatar_middle.jpg?t=1651203384)
蔣飛老師 ![](/wenda/_nuxt/img/reply2.28c7604.png)
![](/wenda/_nuxt/img/reply2.28c7604.png)
2018 10/15 22:55
你好!
對的,
你理解的很對!
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