A.人民銀行營業(yè)部門將收到的紙質(zhì)對(duì)賬單在日終前轉(zhuǎn)交事后監(jiān)督部門業(yè)務(wù)監(jiān)督員;
B.事后監(jiān)督部門業(yè)務(wù)監(jiān)督員根據(jù)紙質(zhì)回單在對(duì)賬系統(tǒng)中輸入對(duì)賬余額,以確認(rèn)該開戶單位對(duì)賬結(jié)果;
C.紙質(zhì)對(duì)賬單無法保證當(dāng)日完成傳遞的,可采取傳真等方式先行完成對(duì)賬,日后傳遞紙質(zhì)對(duì)賬單原件。紙質(zhì)對(duì)賬單原件應(yīng)于兩個(gè)工作日內(nèi)送交事后監(jiān)督部門;
D.故障期間已通過紙質(zhì)對(duì)賬完成賬務(wù)核對(duì)的,不必通過對(duì)賬系統(tǒng)重復(fù)對(duì)賬。