A.現(xiàn)金日記賬的賬面余額每日應(yīng)與現(xiàn)金實(shí)際庫(kù)存數(shù)核對(duì)相符
B.銀行存款日記賬的賬面余額與開戶銀行對(duì)賬單相核對(duì),每月至少核對(duì)一次
C.各種財(cái)產(chǎn)物資明細(xì)分類賬的賬面余額與財(cái)產(chǎn)物資的實(shí)存數(shù)核對(duì)相符
D.各種應(yīng)收、應(yīng)付款項(xiàng)的明細(xì)分類賬的賬面余額應(yīng)與相對(duì)應(yīng)的總賬余額核對(duì)相符