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Is it real money if there is money in the account balance of the Douyin rebate scam?

No

Generally, after being defrauded, the money will be transferred directly by the scammer.

The account balance, referred to as "balance", refers to the difference after the total balances of the two parties in the account are offset. It is divided into two types: the first is the account balance using the debit accounting method. It includes: (1) Debit balance of asset account. The calculation formula is as follows: debit balance at the beginning of the accounting account + debit balance for the current period + credit balance for the current period = debit balance at the end of the accounting account. (2) Negative and equity-related cargo balances, the calculation formula is as follows: the balance of cargo at the beginning of the accounting account, the amount of futures, the debit balance of the first period = the balance of cargo at the end of the accounting period. The second is to increase or decrease the account balance using the accounting method. The calculation formula is as follows: Accounting account's opening balance of additional parties + current period's additional parties' occurrence amount of this period's current period = accounting account's ending balance of additional parties. When the increase and decrease accounting method is adopted, the balance of an accounting account is generally an increase balance, and a decrease balance may also occur under certain conditions. The account balance adopts different calculation methods according to different situations: (1) Balance of each settlement. Register every economic transaction. Request balance calculation on a transaction-by-transaction basis. (2) Daily balance settlement. When the account records require daily clearing and daily settlement, the balance should be calculated daily. (3) Calculate the balance on each page. Some accounts do not need to calculate the balance on a transaction-by-transaction and daily basis. The balance should be calculated when the last line of the account page is recorded so that it can be passed to the next page. (4) Periodic settlement of balance: In the case of customized summary and registration, the balance of Shude must be calculated regularly for account verification. (5) Monthly balance settlement. In order to simplify settlement, the balance of some accounts can be calculated at the end of the month.