Description | Although these records were used by an office within the Secretary's Department - Accounts and Bank Note - it was decided that it was more convenient to list them with Cashier's Department material in the catalogue (alongside other entries relating to the mechanics of the issue of notes and bills). Item numbers 278-281 were not allocated. C96/1-107: each October (on 'Abstract Night') the Bank's total liability for outstanding note issues was reconciled (balanced) against the individual records maintained by denomination and series, including the Clearers. |