A.各行參加票據(jù)交換時(shí),應(yīng)分別填制“票據(jù)交換借方匯總表”、“票據(jù)交換貸方匯總表”一式兩聯(lián),一聯(lián)與所提出的票據(jù)一并提出交換,另一聯(lián)留存作憑證或憑證附件
B.在提出票據(jù)的同時(shí),也從他行提入本行票據(jù)
C.將提出票據(jù)與提入票據(jù)分別加總后并軋算差額,應(yīng)收票據(jù)總金額大于應(yīng)付票據(jù)總金額為應(yīng)付差,反之為應(yīng)收差
D.應(yīng)付差額行須開(kāi)具存放央行款項(xiàng)支款憑證,各應(yīng)收差額行需填制存款憑證,連同票據(jù)交換差額清單交票據(jù)交換所