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