Statement of clothing and necessaries purchased and isssued from date of formation to 30 June 1916, together with 'Additional statement ...,
Miscellaneous regimental requisitions for cash,
Trial balance sheets,
Schedule of cash issues to Units,
Balance sheets,
Order 250. Cheque Book nos. 201-450. nd.
Receipts and distribution of issues,
Quantities of Contractors' accounts, noting source, price, and deployment of items,
Ledger,
Articled Account Quantities, Nov. 1914-1915, [articles, contractors and distribution]. 1914-15,
Ledger, index only, (virtually unused),
Ledger of purchases and payments,
Article ledger,
Bank account ledger,
Day book,
Cash book,
Despatch book, postage account, Oct.-Dec,
Bank account, petty cash etc., ledger,
Insurance account, Office account and Carriage account,
Ledger, including names of principal shareholders, April-Aug,