A.賬務(wù)中心兩名票據(jù)管理人員每周共同清點(diǎn)中信銀行持有的紙質(zhì)銀行承兌匯票實(shí)物,與票據(jù)生命周期登記簿核對(duì)相符
B.賬務(wù)中心及支行應(yīng)每周對(duì)發(fā)出托收憑證、收到托收票據(jù)與托收登記簿進(jìn)行賬實(shí)核對(duì)
C.賬務(wù)中心及支行應(yīng)每月對(duì)票據(jù)庫(kù)業(yè)務(wù)、暫存票據(jù)、質(zhì)押票據(jù)等涉及的票據(jù)實(shí)物進(jìn)行賬實(shí)核對(duì)
D.分行運(yùn)營(yíng)管理部每季應(yīng)對(duì)票據(jù)實(shí)物進(jìn)行盤(pán)點(diǎn),并與票據(jù)生命周期登記簿核對(duì)相符