Nev. Admin. Code § 665.020

Current through November 8, 2024
Section 665.020 - List of business records to be retained

Every state bank shall retain its business records for the periods prescribed in the following schedule:

Type of Record Period of Retention
Months Years Permanent
Administration:
Articles of incorporation P
Charter P
FDIC certificate P
Bylaws and amendments P
Bank examination report P
Charge-off asset record 7
Insurance:
1. Expired casualty and liability policies 2
2. Record of policies in force 3
3. Banker blanket bond 6
Minutes of meeting
(Stockholders, directors, committees) P
Accounting and auditing:
Abandoned property records
Accounts P
Official checks P
List of contents of forced safe deposit boxes P
Accrual and amortization record 2
Audit report 2
Call report 3
Daily branch statement 2
Consolidated financial statement P
Daily reserve computation 3
FDIC assessment computation 5
Income and dividend report 5
Report to directors 6
Report to executive committee 6
Tax records 7
Bills, statements, invoices 3
Capital:
Capital stock certificates, record of or stubs of P
Capital stock ledger P
Capital stock transfer register P
Shareholders' ballots and proxies P
Receipts for stock certificates P
Collections:
Collection receipt 6
Collection register 6
Coupon cash letter (outgoing or incoming) 6
Correspondence 2
Protest or notice of protest 6
Installment collection instruction and receipt 6
Installment collection ledger 6
Advice of payment 6
Commercial loans:
Collateral receipt 7
Credit file (closed) 6
Debit and credit tickets 2
Liability ledger 5
Loan application 5
Minutes of loan committee meeting 10
Resolution 6
Statement of borrower under federal regulation (U, W) 6
Consumer credit:
Application for credit 25
Credit file 25
Loan payment coupon 1
Loan ledger card 6
Loans made journal 6
Resolution 6
Credit cards:
Application 3
Statement 6
Closed account 2
Demand deposits:
Microphotographic reproduction of front and back of paid check 6
Deposit ticket 6
Resolution 6
Power of attorney 6
Signature card 6
Stop payment order 1
Undelivered statements and canceled checks 6
Returned items register 1
Statement or ledger 6
Due from banks:
Advice from correspondent 6
Statement 2
Reconcilement 1
Due to banks:
Reconcilement 1
Resolution 6
Signature card 6
General:
Application for traveler's checks 2
Attachment or garnishment 2
Court case record 2
General correspondence 3
Night depository agreement 6
Night depository receipt 1
Securities buy and sell order 6
Telegram, cable or radiogram 3
Report of treasury tax and loan payment received 8
Wire transfer, debit and credit entry 2
General ledger:
Daily statement of condition 5
Journal 2
General ledger sheet P
General ledger ticket (debit or credit) 5
International:
Cable copy 6
Cable requisition 6
Foreign collection register 6
Foreign draft carbon 6
Foreign exchange remittance sheet 6
Foreign mail transfer application 6
Foreign mail transfer carbon 6
Letter of credit application 6
Letter of credit ledger 6
Investments:
Bond ledger P
Broker's confirmation 2
Broker's invoice 2
Broker's statement 3
Official checks and drafts:
Cashier's check 6
Cashier's check register 6
Dividend check 6
Dividend check register 6
Christmas club check 2
Christmas club check register 2
Domestic draft 6
Domestic draft register 6
Escrow check 6
Escrow check register 6
Expense check 6
Expense check register 6
Money order 6
Money order register 6
Trust check 6
Affidavit and indemnity agreement-lost instrument 6
Personnel:
Attendance record 5
Records of employee (after termination) 6
Application of person not employed 3
Salary ledger 5
Salary receipt 5
Proof, clearings and transit:
Deposit proof sheet or tapes 2
In-clearings envelope, proof sheet or tape 2
Microphotographic reproduction of checks 6
Real estate loans:
Application 3
Journal 2
Ledger 6
Credit file 6
Payment ticket 2
Registered mail:
Registered mail record 3
Return receipt card 3
Safe deposit:
Signature card 6
Copy of rent receipt 2
Court order 6
Contract card 6
Record of forced entry P
Order to forward contents P
List of contents forced box P
Entry ticket 6
Box history card P
Savings and time deposits:
Affidavit of lost passbook 6
Certificate of deposit 6
Christmas club coupon 2
Deposit ticket 6
Ledger 6
Resolution 6
Trial balance 6
Statement 6
Withdrawal 6
Power of attorney 6
Trust department:
Buy and sell orders 1
Corporation trust ledger P
Correspondence:
1. Corporate trust (bond issue) 3
2. Dividend 3
3. General 3
4. Irregular transfer 3
Cost card, securities 6
Coupon collection record 2
Daily statement of trust department 3
Dividend record card (closed) 8
Dividend and interest disbursement check 6
Journal sheet, accounting division and stock transfer 5
Ledger record, asset ledger, cash ledger, investment ledger, stock transfer ledger and mutual income foundation ledger 6
Listing for Form 1099 1
Minutes, trust committee and trust investment committee P
Original trust entry (daily debit and credit) 5
Paid invoices to tradesmen or professional persons (excluding attorneys) 3
Rent collection, mortgage and land 6
Contract collection (file accountant's copy) 6
Stock transfer receipt 6
Supporting papers for transfer 10
Surety bond 10
Tax return 6
Estate tax return 15
Intangible tax return 2
Social security return 5
Transfer instructions 5
Transfer journal tape 2
Voucher, probate trust 3
Canceled bond or coupon:
1. Receipt from issuing corporation P
2. Certificate of cremation P
United States savings bonds:
Transmittal letter for bonds redeemed, sold or spoiled 4
Stub, Series E bond 4
Application, Series E bond 4

Nev. Admin. Code § 665.020

Banking Div., Retention of Records Reg., eff. 12-14-78