Wis. Admin. Code Department of Financial Institutions DFI-Bkg 9.01

Current through October 28, 2024
Section DFI-Bkg 9.01 - Retention of records; reproduction thereof; destruction of obsolete records
(1) Section 220.285, Stats., provides that all records kept may be copied or reproduced by any photostatic, photographic or miniature photographic process which correctly, accurately and permanently copies, reproduces or forms a medium for copying or reproducing the original record on a film or other durable material. That section also provides that such photographic, photostatic or miniature photographic copy or reproduction or copy reproduced from a film record made from a bank record is deemed to be an original record for all purposes and shall be treated as an original record in all courts or administrative agencies for the purpose of its admissibility in evidence. The schedule following sets forth the minimum retention period for records in either their original form or reproduced form, in order to ensure the preservation of such records so long as there is a reasonable possibility they may be required to establish a claim on behalf of the bank or to defend the bank from a claim made against it.
(2) The consent from the administrator of the division of banking for the destruction of obsolete records after the minimum retention period is permissive and is not to be interpreted as requiring destruction at the end of the period. The administrator of the division of banking hereby gives this blanket consent for the destruction of records in accordance with the following schedule:

PERIOD IN YEARS

P-Permanent

AC-After Closing

AP-After Payment

Auditing and Accounting

Audit Reports (by outside auditors)..........

10

Bank Call Reports .......................

20

Bank Examination Reports ................

P

Branch or Station Daily Reports to

10

Main Office ...........................

Cash Reserve Computation Sheets ..........

2

Daily Financial Statements ................

20

Earnings & Dividends Reports .............

20

Monthly Reports to Directors (and

10

Executive Committee)....................

Reconcilements of Bank (due to)

10

deposits ..............................

Reconcilement Register, due from banks ......

10

Tax Returns and Tax Audit Reports..........

20

Capital

Dividend Checks ........................

15 AP

Dividend Register .......................

15

Proxies ................................

3

Receipts for Stock Certificates

P

(recommended that receipts obtained

be affixed to certificate book stubs) .........

Stock Certificate Books, and Stubs ..........

P

Stock Ledger ...........................

50

General Ledger

Daily Statement of Condition .................

20

General Journal

(a) If a byproduct of posting general ledger ......

2

(b) If an original book of entry, with descriptions

20

General Ledger Sheets.......................

P

General Ledger Debit & Credit Tickets ..........

10

Insurance

Blanket Bonds .............................

6

Other Policies (after expiration) ................

3

Records of Policies in Force, Premium

3

Payments and sums recovered................

Investment

Bond Ledger Records .......................

20

Broker's Confirmations ......................

10

Broker's Invoices...........................

10

Broker's Statements.........................

5

Buy and Sell Orders ........................

5

Descriptive Literature on Issues

Optional

Disposed of ..............................

Loans

Applications...............................

1 Yr. After Last

Scheduled Payment or

1 Yr. AP in full,

whichever is sooner

Collateral Margin Cards......................

Optional

Collateral Register and Receipts ...............

10

Credit Files (Closed) ........................

3 AC

Debit and Credit Tickets .....................

10

Journal

(a) If a byproduct of posting liability ledger

2

(b) If an original book of entry, with descriptions.

20

Liability Ledger............................

10

Loan Committee Minutes .....................

20

Note or Discount Register ....................

(a) If a byproduct of posting liability ledger

2

(b) If an original book of entry, with descriptions.

20

Note and Discount Tickler ....................

Optional

Resolutions ................................

7 AP

Minute Books

Minutes of Directors' Meetings ................

P

Minutes of Stockholders' Meetings .............

P

Personnel

Retention of personnel records should be

in conformity with regulations of

Federal and State Agencies

II Cash

Due from Banks

Advices from Correspondents .................

2

Bank Statements ............................

5

Drafts (Paid) ...............................

5 AP

Draft Register ..............................

10

Reconcilement Register ......................

10

Proof Clearings & Transit

Clearing House Settlement Sheets..............

1

Proof Sheets or Tapes for Deposits,

1

Departmental or Teller Totals,

Incoming & Outgoing Clearings and

Transit Items ...............................

Tellers

Cash Items Records (Register).................

5

Cash Variation Records ......................

10

Return Items Records........................

5

Tellers Cash Book (or sheets) .................

5

Tellers Cash Tickets.........................

1

Tellers Blotter, Journal or Proof................

2

Deposits

Certificates of Deposit

Certificates, after payment....................

10

Certificate Ledger ..........................

15

Certificate Register .........................

15

Computer (EDP) Trial Balance &

15

Journal Records ...........................

Computer (EDP) Monthly or Weekly

5

Reports..................................

Commercial Deposits (Subject to Check)-individuals & Firms

Computer (EDP) Records:

Conversion (initial entry) Run.................

1

Customers' Statements.......................

10

Daily Journals & Trial Balances ...............

1

Daily Reports on Changes in Master Files,

1

Large Balances, New & Closed Accounts, Service

Charges, Overdrafts, Unposted Items, Uncollected

Funds, Exceptions, etc.

Deposit Tickets (or duplicates) ................

10

Ledger Journals (or bookkeeper's daily

1

list of checks charged in total) ................

Ledger Sheets ..............................

10

Overdraft Register or Record ..................

5

Resolutions ................................

10 AC

Returned Checks Records ....................

5

Service Charge Records ......................

3

Signature Cards ............................

10 AC

Stop Payment Orders ........................

2

Trial Balances ..............................

2

Unclaimed Balances Record ..................

20

Undeliverable Statements &

10

Cancelled Checks ..........................

Club Accounts (Christmas, Vacation, etc.)

Checks, after Payment .......................

10

Check Register .............................

15

Coupons ..................................

1

Journal ...................................

5

Ledger Cards ..............................

5

Withdrawn Receipts.........................

15

Due to Banks

Bank Ledger Sheets .........................

10

Cash Letter Memos for Credit .................

5

Cash Letters for Remittances ..................

5

Reconcilement Register ......................

10

Official Checks (Cashier, Certified, Expense, Money Orders, etc.)

Checks ...................................

15 AP

Check Registers ............................

15

Computer (EDP) Journal & Trial

5

Balance ..................................

Computer (EDP) Weekly or Monthly

5

Reports ..................................

Receipts Issued for Certified Checks ............

10 AP

Savings

Computer (EDP) Records:

Daily Journal & Trial Balances ................

1

Pyramidal Journal & Trial Balance .............

15

Semiannual Statements to Depositors ...........

15

Proof Listing, Account, Exceptions

1

and Maintenance Reports ....................

Deposit Tickets .............................

10

Journal (or Machine Control Tapes) ............

5

Ledger Cards or Sheets ......................

10

Resolutions ................................

10 AC

Signature Cards ............................

10 AC

Unclaimed Balances Record ..................

20

Withdrawal Receipts ........................

10

IV Miscellaneous

Collections

Coupon cash letters, outgoing .................

5

Incoming collection letters ....................

5

Receipts ..................................

5

Register ..................................

15

Returns ...................................

5

Customer Services

Brokers' invoices, confirmations and

15

statements ................................

Letters of credit applications ..................

20

Letters of credit ledger accounts ...............

20

Night depository (after hour) Agreements or

10

contracts .................................

Night depository (after hour) Receipts ...........

10

Safe Deposit Vault: ..........................

Access or entrance records ....................

20

Cancelled signature cards or leases .............

5 AC

Contract or lease agreement records ............

5 AC

Rental records .............................

5

Safekeeping records and receipts ...............

20

Securities buy and sell orders

20

( customer's) .............................

Travelers' Checks applications ................

3

General

Attachments, court orders,

10

garnishments & releases .....................

Correspondence-Routine

Optional

Covering commitments, policies

or decisions ..............................

Escrow account records ......................

10

Foreign Exchange remittance records ...........

10

Paid bills, invoices & statements

10

(for expenses, etc.) .........................

Protest notices .............................

1

Stenographers' notebooks ....................

1

Telegrams, cables & radiogram copies ..........

10

Vault records; openings & closing..............

5

Withheld taxes accounts; deposit

10

tickets, receipts & remittances ................

Registered Mail

Incoming and outgoing records ................

5

Return receipt cards .........................

5

V Trust Department

Approval Files of Co-Trustees ................

10

Brokers' Purchases and Sales

2 AC

Confirmations .............................

Cancelled Stock Certificates ..................

P

Correspondence:

Routine ..................................

Optional

Important (covering commitments,

10

decisions or policies) .......................

Debit and Credit Tickets and

10

Other Posting Media .......................

Dividend Checks Issued as

20

Distributing Agent .........................

Document Files ............................

20 AC and Release

Expense Vouchers ..........................

20

General Journal ............................

P

General Ledger.............................

P

Investment Reviews and Analyses ..............

10

Ledger Records-Trust ......................

P

Ledger Records-Common Trusts ..............

P

Stock Ledgers as Transfer Agents ..............

7 Yrs. after Individual

Account Closed

Tax Returns, Federal and State:

Estate ...................................

P

Gift .....................................

20 Yrs. after Final

Accounting

Income ..................................

20 Yrs. after Final

Accounting

Trust Checks ...........................

14

Trust Committee Minutes .....................

P

Trust Investment Committee Minutes ...........

P

Voucher Receipts or Records..................

6

Wis. Admin. Code Department of Financial Institutions DFI-Bkg 9.01

1-2-56; am. Register, July, 1963, No. 91, eff. 8-1-63; am. Register, July, 1968, No. 151, eff. 8-1-68; am. (4), Register, August, 1971, No. 188, eff. 9-1-71; am. Register, September, 1973, No. 213, eff. 10-1-73.