Ledger of petty cash and deposit
Balance of temporary payment (unsettled balance) on YR2014 end and YR2015 end
Regulations for petty cash, check and deposit
Book of company receipts, with records of the issued
Regulations for issuing company receipt
Passbook of bank deposit
Details of bank deposit by bank account, for last month, Balance of bank deposit by bank account, as of Y2014 end and Y2015 end
Budgets and actual records each on major journals, yearly and monthly in YR2015
Reports for the expense compared with the results and budget, previous period,
Regulations for bank accounts (※ If had)