Federal Reserve Bank of New York Circulars
Each Federal Reserve Bank issues circulars to their member banks that address community relations, bank services, and supervision and regulation, and describe the Bank's procedures and processes. These circulars were issued by the Federal Reserve Bank of New York to member banks in the Second District.
- 1910s
- Index of Bank Circulars on the Operations and Activities of the Federal Reserve Bank of New York Including Its Operations as Fiscal Agent of the United States Government, Index v1-22, 1914-1945
- 1. First Installment for Capital Stock
- 1a. Installment Payments
- 2. Progress Organizing the Federal Reserve Bank of New York
- 2a. Requesting Statement of Condition from Member Banks
- 3. Specimen Signatures from Member Banks
- 4. Bank Prepared to Receive Deposits
- 7. Check and Draft Collection
- 5. Procedure for Obtaining Discount
- 8. Rates of Discount
- 6. Revision of Reserves Calculation
- 9. Facsimile Signatures
- 11. Rates of Discount
- 10. Update on Organizing the Federal Reserve Bank of New York
- 12. Deferral of the Operation of Regulation No. 4
- 13. Rates of Discount
- 14. Consideration of Check and Draft Collection
- 15. Second Installment for Capital Stock
- 16. Rates of Discount
- 17. Official Signatures
- 18. Rates of Discount
- 19. Regarding Binders for Holding Circulars
- 21. Third Installment for Capital Stock
- 20. Request to File Applications for Stock Quarterly
- 22. Preparation for Inauguration of Check and Draft Collection
- 23. Currency Shipments
- 24. Inauguration of Collection System
- 25. Eligible Paper
- 26. Rates of Discount
- 27. Official Signatures
- 28. Advisement of Matters of Interest
- 29. Forms to Assist Member Banks
- 30. Trade Acceptances
- 31. Nomination and Election of Directors
- 32. Member Banks which have Joined the Collection System
- 33. Next Installment of Reserves
- 34. Nominated Candidates for Director
- 34a. District Reserve Electors
- 35. Relating To Applications To Sell U.S. Bonds
- 36. Election Results for Directors
- 37. Designation of the Federal Reserve Bank of New York as a Depositary and Fiscal Agent of the United States
- 38. Purchase of United States Bonds
- 39. Official Signatures
- 40. Next Installment of Reserves
- 42. Removal to Equitable Building
- 41. Principles of Establishing Collection and Clearing System
- 43. Details of the Collection and Clearing System
- 44. Leave of Absence of Governor Strong
- 46. Plan to Overcome Loss to Member Banks Caused by Collection System
- 45. Official Signatures
- 47. Confusion Caused by Opening Collection System
- 48. Amendment to Section 13 and Rates of Discount
- 49. Official Signatures
- 51. Regarding Amendments to the Federal Reserve Act
- 50. Form of Vote for Authorization of Discount of Notes
- 52. Nomination and Election of Directors
- 53. Next Installment of Reserves
- 54. Insurance of Currency Shipments
- 56. Nominated Candidates for Director
- 55. Checks Restricted as to Payment
- 57. Option to Carry Vault Reserves With Federal Reserve Banks
- 58. Election of Class A and Class B Directors
- 59. Telegraphic Transfers
- 60. Relating to Applications to Sell U.S. Bonds
- 61. Statement of Condition
- 62. Penalties for Deficient Reserve Balances
- 60a. Supplemental Information Relating to Applications to Sell U.S. Bonds
- 63. United States Certificates of Indebtedness
- 64. Rates of Discount
- 65. Collateral Security for Government Deposits
- 66. Collection of Trade Acceptances
- 68. Application for Designation as Depositary
- 67. Exchange and Transfer Drafts
- 69. Amounts of Subscriptions by Cities and Towns
- 70. Official Signatures
- 71. Bond Issue Division Managers/Government Deposit Department
- 72. Special Rates of Discount
- 73. Interim Certificates for Liberty Loan Bonds
- 74. Reserve Requirements under the Amended Federal Reserve Act
- 75. Facsimile Signatures
- 76. Amendment to the Federal Reserve Act, Approved June 21, 1917
- 75a. Amendment to the Federal Reserve Act, Approved June 21, 1917
- 77. Certificates of Indebtedness, Offering of August 28, 1917
- 78. Plan for the Collection of Maturing Notes, Bills and Other Collection Items
- 79. Charter and Statutory Rights of State Banks
- 80. Commercial Paper
- 81. Federal Reserve Board to Approve Exports of Bullion, Coin, and Currency
- 82. Rates of Discount
- 83. Election of Class A and Class B Directors
- 86. Application for Designation as Depositary, etc.
- 85. Officers as of October 11, 1917
- 84. Appointment of J. H. Case; Other Officers, Etc.
- 87. Information for State Banks and Trust Companies
- 88. Conversion of Interim Certificates for Liberty Loan Bonds
- 89. Payment of Second Liberty Loan by Certificates of Indebtedness
- 90. Election of Class A and Class B Directors
- 91. Currency Shipments
- 92. Stamp Tax on Promissory Notes
- 93. No Tax Liability on Rediscount of Notes
- 94. Election of Class A and Class B Directors. Includes Certificate of Indebtedness Dated December 18, 1917.
- 95. Rates of Discount
- 96. Third Annual Statement, for Year 1917
- 96a. Third Annual Statement, for Year 1917
- 97. Eligibility of Bankers Acceptances
- 98. Amount of Currency Held by Reporting Money Pool Banks
- 99. Signature Cards for Government Deposit Department
- 100. Rates of Discount. Includes Certificate of Indebtedness Dated April 13, 1918.
- 101. New Currency
- 102. Temporary Retirement of Silver Certificates
- 104. Special Government Deposits of Receipts of Income and Excess Profits Taxes
- 103. Check Collection System
- 105. National War Savings Campaign
- 106. Regulations Regarding Foreign Exchange and Related Transactions
- 107. Re: Payment Coupons British Government Bonds
- 108. Changes in Official Staff
- 110. Application for Advances and Rediscounts
- 109. Re: Report of County Directors Meeting
- 111. Time Limit on Telegraphic Transfers
- 113. Resale of Certificates to Customers of the Banks
- 114. Tax Certificates of Indebtedness
- 112. Trade Acceptances
- 115. Federal Reserve Exchange Drafts
- 116. Handling Certificates of Indebtedness
- 117. Subscriptions to Certificates of Indebtedness by Savings Banks
- 118. Alliance with Liberty Loan Organization and War Savings Organization
- 119. Classification of Registrants Under the Act of May 18, 1917
- 120. Information Regarding the Fourth Liberty Loan
- 121. Election of Directors
- 122. Important Information with Respect to Registered Bonds of the Liberty Loans
- 123. Changes in Reserve Requirements
- 124. Change in Method of Sorting Two-day Items
- 125. New Issue of U.S. 4 1/2% Certificates of Indebtedness
- 126. Prepayment of Certificates of Indebtedness
- 127. Group 3 List of Class A and Class B Directors Nominated
- 129. Prepayment of Certificates of Indebtedness
- 128. Use of Gold for Christmas Presents
- 131. Prepayment of Certificates of Indebtedness Due January 2, 1919
- 130. Election of Directors
- 132. United States Treasury Certificates of Indebtedness
- 133. United States Treasury Certificates of Indebtedness
- 134. The A B C of the Federal Reserve System
- 135. British Government Securities and War Expenditure Certificates
- 137. United States Treasury Certificates of Indebtedness
- 136. Announcement of Series T2 4 1/2% Certificates Acceptable in Payment of Taxes
- 138. Disposition of Certificates of Indebtedness Due January 16, 1919
- 139. Changes in Official Staff
- 141. Disposition of Certificates of Indebtedness Due January 30, 1919
- 142. United States Treasury Certificates of Indebtedness
- 140. Fourth Annual Statement, for Year 1918
- 143. Departmental Directory
- 145. Close of Subscription Books to Tax Certificates
- 144. United States Treasury Certificates of Indebtedness
- 148. U.S. Treasury Certificates Acceptable in Payment of Taxes
- 147. Schedule Showing When Proceeds of Bankers Acceptances Will Be Available
- 146. Deductions Allowed in Computing Reserves of Member Banks
- 150. Exchange of Series T2 for Series T3 Tax Certificates
- 149. Remittance for Checks Drawn Upon Your Bank
- 151. Collection of Checks Drawn Upon Remitting Banks
- 152. United States Treasury Certificates of Indebtedness
- 153. Federal Reserve Bank Notes
- 154. Closing of Subscriptions to Tax Certificates of Indebtedness Series T3
- 155. Redemption of Series 5A, U.S. Treasury Certificates
- 156. Postponement of Offering of U.S. Certificates of Indebtedness
- 157. Postponement of Next Issue of U.S. Certificates of Indebtedness
- 158. War Finance Corporation Series A 5% Gold Bonds
- 159. Reserve Provisions for Member Banks
- 160. United States Treasury Certificates of Indebtedness
- 163. Victory Liberty Loan
- 161. Government Deposits
- 162. United States Treasury Certificates of Indebtedness Series 5K
- 164. Stolen Government Checks
- 165. Opening of Buffalo Branch
- 166. Disposition of Certificates of Indebtedness Due May 20, 1919
- 167. The Federal Reserve Act as Amended
- 168. Second Installment of Income and War Profits and Excess Profits Taxes
- 170. Conversion of 4% First Liberty Loan Converted Bonds
- 169. United States Treasury 4 1/2% Certificates of Indebtedness
- 173. Redemption of United States Treasury 4 1/2% Certificates of Indebtedness
- 172. Victory Liberty Loan - Conversion Privilege
- 171. Restrictions Relaxed on Exportation of Gold and Foreign Exchange Operations
- 175. Reconcilement of "Float" Account
- 174. Authorized Signatures
- 176. United States Treasury Certificates of Indebtedness
- 177. United States Treasury Certificates of Indebtedness
- 178. Redemption in Cash at Holder's Option of Certificates of Indebtedness
- 179. Supplemental Regulations Governing Extension of Conversion Privilege of 4% Liberty Loan Bonds
- 180. United States Treasury Certificates of Indebtedness
- 181. Foreign Exchange Transactions and Exportation of Coin, Bullion and Currency
- 183. Optional Redemption Series 5F Certificates of Indebtedness
- 182. United States Treasury 4 1/2% "Tax" Certificates of Indebtedness
- 184. Victory Liberty Loan Conversion Privilege
- 186. New Counterfeit Federal Reserve Notes
- 185. United States Treasury 4 1/2% "Tax" Certificates of Indebtedness
- 187. 366-Day Basis for Calculation of Interest, Series T8 "Tax" Certificates
- 188. New Counterfeit $5 Federal Reserve Note
- 189. United States 4 1/2% Treasury Certificates of Indebtedness
- 191. Subscription Books Close July 31, 1919 for Certificates of Indebtedness
- 190. United States Treasury Certificates of Indebtedness
- 192. Subscription Books Close August 7, 1919 for Certificates of Indebtedness
- 194. United States Treasury Certificates of Indebtedness
- 193. United States 4 1/2% Treasury Certificates of Indebtedness
- 195. Subscription Books Close August 21, 1919 for Certificates of Indebtedness
- 196. Currency in Circulation and Its Relation to High Prices
- 197. United States 4 1/2% Treasury Certificates of Indebtedness
- 198. United States Treasury Certificates of Indebtedness
- 200. Organization Chart
- 199. Official Signatures
- 202. United States Treasury Certificates of Indebtedness
- 201. Redemption on September 15, 1919 of Certificates of Indebtedness
- 205. Redemption in Cash of Unites States Treasury Certificates of Indebtedness
- 204. Closing of Transfer Books of the Various Liberty Loans
- 203. Offering of United States Treasury Certificates of Indebtedness
- 206. United States Treasury Certificates of Indebtedness
- 207. New Method of Reporting Reserves Effective October 1, 1919
- 208. Subscription Books Closed for "Tax" Certificates of Indebtedness
- 209. Exchange and Conversion of 4% Coupon Liberty Bonds
- 210. New Counterfeit $10 and $20 Federal Reserve Notes
- 211. Resale of Certificates of Indebtedness of Present Outstanding Issues
- 212. New Counterfeit $1 Silver Certificate
- 213. Counterfeit 1919 War Savings Stamps
- 214. Authorized Signatures
- 215. New Counterfeit $50 Federal Reserve Note
- 216. Retirement of Robert H. Treman
- 217. Collection of Checks Drawn on Private Bankers
- 219. Rates of Discount
- 218. Dealings in Liberty Bonds
- 220. Election of Directors
- 221. Treasury Savings Certificates
- 222. Exchange of Temporary for Definitive Liberty Loan Bonds
- 225. Nominations for Directors
- 224. Offering of United States Treasury Certificates of Indebtedness
- 223. Offering of United States Treasury Certificates of Indebtedness
- 226. New Issues of 4 1/4% United States Treasury Certificates of Indebtedness
- 227. Closing of Subscription Books for Certificates of Indebtedness
- 228. Closing of Subscription Books for Certificates of Indebtedness
- 229. New Method of Reporting Reserves
- 230. Exchange of Temporary 4% and 4 1/4% Coupon Liberty Bonds for Permanent Bonds
- 231. Offering of United States Treasury Certificates of Indebtedness
- 233. United States Treasury 4 1/2% Certificates of Indebtedness
- 232. Redemption in Cash of United States Treasury Certificates of Indebtedness
- 234. Rates of Discount
- 235. Suppression of Note Raising Operations
- 236. Exchange Privilege Closed for Certificates of Indebtedness
- 237. Results of Election of Directors
- 238. Closing of Subscription Books for Certificates of Indebtedness
- 239. Retirement of William Boyce Thompson
- 240. Offering of United States Treasury Certificates of Indebtedness
- 243. Rates of Discount
- 242. Redemption in Cash of United States Treasury Certificates of Indebtedness
- 241. New Counterfeit $100 Federal Reserve Note
- 244. Subscriptions Now Being Received for Certificates of Indebtedness
- 1920s
- 1930s
- 1940s
- 1950s
- 1960s
- 1970s
- 1980s
- 1990s
In order to aid in the retrieval of information from this publication, significant tables, charts, and/or articles have been extracted and can be viewed individually or across a span of issues.
Circulars for 1996-present are available from the website of the New York Fed: http://www.newyorkfed.org/banking/circulars/.
1914-1997
- oclc: 12386162
Federal Reserve Bank of New York. Federal Reserve Bank of New York Circulars. 1914-1997. https://fraser.stlouisfed.org/title/466, accessed on November 23, 2024.