1. Consumption records between two accounting days are summarized on the accounting day to generate monthly bills payable. Save in the unbilled list before summary. At this time, you can also repay according to the consumption records in the unpaid bill, and the repayment will not appear in the bills payable this month. The bank will confirm that the consumer bill has been settled.
2. The bills generated this month should be repaid before the repayment date. If the repayment date is exceeded, there is a risk of overdue.