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E IG H T H A N N U A L REPORT
OF THE

BANK COMMISSIONER
OF THE

S tate of A r k a n s a s

For the Y ear Ending December 31, 1921




C H A S . M cK E E
CO M M ISSIO N ER




C E N T R A L
P R I N T I N G
C O M P A N Y

L IT T L E

ROCK

A R K A N S A S




C H A S . M cK E E
State Bank Commissioner

F.

LEE M AJO R

Assistant Commissioner

R. G . D IC K IN S O N
Assistant in Charge of Investment Companies

B A N K E X A M IN E R S
O L IV E R PHILLIPS

F. G. REDW INE

C. W . B A U G H M A N

J. C. DACU S

H. H. COOPER

J O H N S. L IP S C O M B
Chief Clerk

L IL L IA N R A N K IN , G R A C E V . FO STE R
Secretaries




CONTENTS
New Banks Chartered....................................................................................................

9

Amendments Changing Ti.tle, Corporate Powers, Number of Directors..............

9

Amendments Increasing Capital Stock......................................................................

10

Special Improvement Districts.....................................................................................

10

Receipts and Disbursements of Department............................................... 1...............

12

Report of Condition of Banks in Hands of Commissioner for Liquidation..........

13

State Banks and Trust Companies Members of Federal Reserve System.................

27

Statement of Condition of All Banks, Trust Companies and Savings Banks
Under Supervision of Bank Department at Close of Business Dec. 31, 1921...• 29
Report of Condition of Building & Loan Associations at Close of Business
Dec. 31, 1921........................................................................................................... 207
Report of Investment Companies................................................................................. 225
Receipts and Disbursements of BlueSky Department.................................................. 228




6

R eport

of

B a n k C om m issioner

STATE OF ARKANSAS

OFFICE OF BANK COMMISSIONER
Little Rock, December 31, 1921.
TO HIS EXCELLENCY, HON. T. C. McRAE, GOVERNOR OF ARKANSAS:
Agreeable to provisions of sections 9 and 59 of Act 113 of the Acts of the
General Assembly of 1913, entitled, “ An Act for the Organization and Control of
Ranks, Trust Companies and Savings Banks,” approved March 3, 1913, I have
the honor to submit herewith the Eighth Annual Report of the Bank Department
of Arkansas for the year beginning January 1, 1921, and ending December 31, 1921.
This report embraces a statement of all receipts and expenditures, the name,
officers, directors, domicile, capital, surplus, net profits and deposits of each bank,
trust company and savings bank in the State at close of business December 31,
1921; new banks organized, banks closed, liquidated and consolidated, also state­
ment showing progress of those banks now being liquidated by the Department, as
well as a statement of all building and loan associations under the supervision of
fhe Department and also a list of the special improvement districts as provided
for under section 30, Act 279 of the Acts of the General Assembly of 1909.
GENERAL SUM M ARY AND

REPORTS

For the first time is given below the result of the administration of the Banking
Law, which was passed by the General Assembly of 1913.
By the terms of the law creating the Banking Department the law did not go.
into full effect until January 1, 1914.
Since the organization of the State Bank Department in 1913 one hundred
and fifteen banks have been liquidated, merged or converted into National banks.
Of this number fifteen have voluntarily liquidated without loss to creditors;
thirty-fivq have been liquidated through other banks without loss to their creditors;
twenty-two have been merged without loss to creditors; twelve have been converted
intd National banks.
Nineteen banks have been liquidated through the Bank Department with a loss
of 914 per cent to creditors; of these, nine paid their creditors 100 per cent.
Twelve are now in process of liquidation by the Department.
The result of the operations of the law illustrated by the above figures seemg
to more than justify the hopes of those who were instrumental in its passage. It
should be remembered that at the beginning of the Avar in 1914 the country passed
through a near panic and the value of many securities and properties suffered a
rapid and severe decline. Again, after the high prices of all securities and prop­
erties occasioned by the great Avar, prices and values declined severely. The de­
clines in \ralues, especially in cotton, sorely tried the resources of the banks through­
out the country. It is gratifying to this Department and to the people that the
Arkansas State Banks have stood the test so well. ElseAA'here is given the record
of closed loanks for the year ending December 31, 1921.
C O -O P E R A T IO N

G IV E N

DEPARTM ENT

It is a pleasure to record in this report the fullest and most cheerful co-operation
with this Department of the banks under its supervision. It is the policy of this?
Department to render constructive sendee, ne\rer to be hypercritical. However, the
Commissioner knows, and bankers know, that small errors, and small irregularities
often groAv into larger ones, and it is the policy to point out all errors and irregu­
larities though they may seem trivial.
The cordial co-operation given the Department by the financial institutions of
the State is of great assistance in the administration of the law and is freely ac­
knowledged by the Commissioner.




S tate

of

A rkansas

7

D IR E C T O R S

It seems that the great aim of my predecessors was to impress on the directors
elected to manage the affairs of the banks, their duties and obligations and their
liabilities for failure of duty. The present administration of the Bank Department
will continue to urge that the best men be Selected as directors, and that when
selected they shall give sufficient time to the affairs of the bank to intelligently
manage its affairs. The one man bank must go.
N E W BANKS

Eight new banks were chartered in the year 1921, with a capital of $500,000.00,
surplus $130,000.00. Two applications wrere refused.
D E P A R T M E N T A C T IV I T IE S

The work of the Banking Department might well be divided for the purpose
of a discussion, into four general heads— Organization, Regulation, Rehabilitation,
and Liquidation.
O R G A N IZ A T IO N

Under the head of organization comes the wrork in connection with the estab­
lishment of new banks, the consolidation and transfer of the assets from one
bank to another and the increasing of capital stock.
During the year ended eight State banks were chartered by the Department.
A careful examination of each application was made in accordance with law. An
investigation as to the financial responsibility of the proposed stockholders, the
fitness of the officers and directors, and an examination as to the necessity for the
establishment of the bank, together with a close scrutiny as to compliance with all
State laws.
It will be seen by this report that twenty-two banks increased their capital
stock. This increase of capital amounted to $325,000.00.
The work considered under the head of organization requires great care on the
part of the Department in order that the interests of depositors and stockholders
may be safeguarded.
R E G U L A T IO N

The Department is called upon to supervise the operation and management of
every State bank to the extent that is necessary to enforce compliance with the
laws governing them and the regulations of the Banking Department.
Under this head comes the big work performed by our force of examiners.
On the reports of these examinations we must base our judgment as to whether the
officers and directors are managing the institution in their charge in accordance
wTith the law and according to safe banking principles.
R E H A B IL IT A T IO N

Under this comes those subjects wdiich, although of the greatest important,
can not be openly discussed and published to the world lest injury be done.
The work which we call rehabilitation calls for banking skill, tact, good judg­
ment, 'and a knowledge of the law.
Perhaps the Department has accomplished as much along this line for the"
good of the State as in any other phase of its activities.
In a number of cases the capital of a bank has been seriously impaired by
poor management or by defalcations, and with the aid and council of the Depart­
ment and the co-operation of the directors, the bank has been put in a sound and
safe condition.




8

R eport

of

B a n k C om m issioner

L IQ U ID A T IO N

This subject has been discussed in another part of this report. The Commis­
sioner has thought best wherever it is possible to liquidate closed banks through
other institutions.
The Department has no more important duty than to see to it that estates of
the defunct banks shall be liquidated as early as possible, consistent with the con­
servation of the assets and at as small an expense as possible.
S P E C IA L I M P R O V E M E N T D IS T R IC T S

Act No. 279 of the General Assembly of 1909 placed certain special improve­
ment districts under the Bank Commissioner.
This act provides that the books and accounts of these special improvement
districts, of which there are now seventy, shall be audited by the Bank Examiner.
The Department did not have the appropriated funds to make these examinations
during the year 1921, and for the same reason can not do so for the year 1922.
BL U E SKY D E P A R T M E N T

An Assistant Commissioner is in charge of the administration of the Blue Sky
laws. To discriminate between the good and the bad companies applying for per­
mits to sell stock is a most difficult task.
The policy of this Department will be to exercise the utmost caution in granting
permits to sell stock.
The Blue Sky Department has been considerably handicapped on account of
the limited appropriation made by the Legislature of 1921, out of the funds received
as fees for permits and examinations.
It will be noted from the report of the Blue Sky Department that these fees
amounted to $11,327.70 in 1921. Yet only the salary of the Assistant Commissioner,
$3,000.00, and the sum of $1,950.00 was appropriated. Out of the $1,950.00 all of
the expenses of the office must be met, including as it does, the expense of examin­
ing fifty-four building and loan associations.
■ There were a number of other examinations and investigations that should have
been made but were not made for the lack of funds.
To properly carry out the intent of the law, and to discriminate between the
good eompanites seeking permits and those which would work a fraud on the pub­
lic, the Assistant Commissioner often should conduct exhaustive investigations.
The company seeking permits under the law must pay for these examinations and
investigations, but the Department can not order them unless the funds are appro­
priated by the Legislature.
Respectfully submitted,
CHAS. MeKEE,
Bank Commissioner.




S tate

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9

N E W BANKS CH ARTERED

Name— Location—Date.

Capital

Drew County Bank & Trust Co., Montieello, Union
County, January 7, 1921................................... .$200,000.00
Arkansas County Bank, Stuttgart, Arkansas
County, January 22, 1921................................. .

Surplus

No.

$100,000.00

517

50,000.00

5,000.00

518

Peoples Bank, Mammoth Spring, Fulton County,
February 8, 1921................................................ . 10,000.00

1,000.00

519

Bank of Marshall, Marshall, Searcy County, Feb­
ruary 14, 1921.................................................... . 10,000.00

1,000.00

520

Planters Bank & Trust Company, Forrest City,
St. Francis County, April 15, 1921................. .

50,000.00

5,000.00

521

Exchange Trust Company, Little Rock, Pulaski
County, April 25, 1921..................................... . 100,000.00

10,000.00

522

Guaranty Bank & Trust Company, El Dorado,
Union County, May 18, 1921............................ .

60,000.00

6,000.00

523

Bank of Judsonia, Judsonia, White County, De­
cember 20. 1921.................................................. .

20,000.00

2,000.00

524

B A N K S L IQ U ID A T E D T H R O U G H O T H E R B A N K S
January 1, 1921, to December 31, 1921.

Bank of Cane Hill, Cane Hill, by Bank of Lincoln, Lincoln.
Bank of Grannie, Grannis, by Planters State Bank, Mena.

A M E N D M E N T S C H A N G IN G T IT L E
January 21, 1921, to December 31, 1921.

Farmers State Bank, Rogers, Benton County, to Farmers State Bank & Trust
Co., Rogers, Benton County.

A M E N D M E N T S C H A N G IN G CO R P O R A T E POW ERS
January 1, 1921, to December 31, 1921.

Farmers State Bank, Rogers, Benton County, adding trust powers.
Bank of Eastern Arkansas, Forrest City, St. Francis County, adding trust
powers.

A M E N D M E N T S C H A N G I N G N U M B E R O F D IR E C T O R S
January 1, 1921, to December 31, 1921.

From
To
Bank of Lowell, Lowell......................................................................................5
7
W. B. Worthen Co., Little Rock.....................................................................4
7
Citizens Bank, Mammoth Spring..............................
7
8
Planters Bank, Forrest City...............................................................................7
11
Bank of Waldo, Waldo...........................................................................Not less than 5
Bank of Cane Hill, Cane Hill.......................................................................... 5
7
Bankers Trust Company, Little Rock............................................................. 15
18




R eport

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A M E N D M E N T S IN C R E A S IN G C A P IT A L STOCK
January 1, 1921, to December 31, 1921.

Increased from
Van Buren County Bank, Clinton, Van Buren County......$ 10,000.00
Luxora Banking Company, Luxora, Mississippi County... 15,000.00
Kelley Trust Company, Fort Smith, Sebastian County...... 500,000.00*
5,000.00
Bank of Cherry Valley, Cherry Valley, Cross County..........
State Bank, Siloam Springs, Benton County......................... 25,000.00
Twin City Bank, North Little Bock, Pulaski County.......... 35,000.00
Como Trust Company, Hot Springs, Garland County.......... 50,000.00
Citizens Bank, Yellville, Marion County............................. 25,000.00
Bank of Horatio, Horatio, Sevier County............................ 25,000.00
Bank of Leachville, Leachville, Mississippi County.......... 10,000.00
Bank of Hhvassi, Hiwassi, Benton County.........................
5,000.00
Bank of Brookland, Brookland, Craighead County.............. 14,800.00
Bank of .Blevins, Blevins, Hempstead County....................... 15,000.00
Bank of Bauxite, Bauxite, Saline County........................... 10,000.00
Merchants & Planters Bank, Humphrey, Arkansas County.. 15,000.00
Bank of Ratcliff, Batcliff, Logan County............................ 10,000.00
Merchants & Planters Bank, Eudora, Chicot County.......... 25,000.00
Arkansas Bank & Trust Co., Newport, Jackson County...... 100,000.00
Bank of Mineral Springs, Mineral Springs, Howard
County .............................................................................. 10,000.00
Farmers State Bank, Comvay, Faulkner County.................. 30,000.00
Bank of Cane Hill, Cane Hill, Washington County.............
7,500.00
Dairymen’s Bank, Carlisle, Lonoke County......................... 15,000.00
Farmers & Merchants Bank, Judsonia, White County........ 15,000.00

To
$ 20,000.00
50,000.00
50,000.00
10,000.00
37,500.00
50,000.00
60,000.00
30,000.00
35,000.00
15,000.00
10,000.00
19,500.00
21,500.00
20,000.00
20,000.00
15,000.00
50,000.00
200,000.00
20,000.00
60,000.00
15,000.00
21,000.00
17,500.00

*Decrease.
S P E C IA L I M P R O V E M E N T D IS T R IC T S T O B E E X A M I N E D
A s Provided by Section 30, A ct 279, of the Acts of the General Assem bly of 1909.
Drainage Districts.

Arkansas County—
Olena Drainage District No. 1.
Fish Lake Drainage District No. 4-—J. R. Wvdlf Drainage District No. 4.
Crockett’s Bluff Drainage District No. 5.
Stuttgart and King Bayou No. 6.
-Buffalo Drainage District No. 7.
Big Island Drainage District No. 8.
Gillett Drainage District No. 11.
Mills Bayou Drainage District No. 12.
Tarlton Drainage District No. 15.
Crandall Drainage District No. 16.
Murrell Drainage District No. 17.
Drainage District No. 18.
Ashley County— .
Drainage District No. 1.
Dermott Drainage District, Chicot, Drew and Ashley counties.
Clark County—
Terrenoir Drainage District.
Boss Drainage District.

4

Clay County—
Big Gum Drainage District, Clay and Greene counties.
Clay County-Western Clay Drainage System, Sub-Districts Nos. 1, 2, 3, 4, 5, 6.




S tate

of -A rkansas

Craighead County—
Drainage
Drainage
. Drainage
Drainage
Drainage
Drainage

District
District
District
District
District
District

No.
No.
No.
No.
No.
No.

9.
10.
12.
14.
15.
16.

Crittenden County—
Drainage District No. 2.
Drainage District No. 3.
Drainage District No. 5.
Drainage District No. 6.
Drainage District No. 7.
Drainage District No. 8.
Blackfisli Drainage District.
Tri-County Drainage District of Crittenden, Cross and St. Francis counties.
Desha County—
Drainage District No. 4.
Greene County—
Village Creek Drainage District No. 1.
Swan Pond District No. 2.
Independence County—
Drainage District. No. 2.
Drainage District ..No. 3.
Jackson County—
Cock Slough Drainage District.
Cow Lake Drainage District.
Maple Slough Drainage District.
Overeup Slough Drainage District, Jackson and Woodruff counties.
Jefferson County—
Drainage District No. 2.
Drainage District No. 3.
Bradley Slough Drainage District.
Five Forks Drainage District.
Upper Grassy LakeDrainage District.
Waterloo Drainage District.
Lawrence County—
Caney Creek Drainage District.
Lee Kellow Drainage District No. 23.
New Flat Creek and War-Pond Drainage District.
Lincoln County—
Grady Drainage District, Lincoln and Jefferson Counties.
Grassy Lake Drainage District No. 1.
Lonoke County—
Indian Bayou Drainage District.
Indian Bayou Drainage District No. 2.
Drainage District No. 2.
Drainage District No. 3.
Drainage District No. 5.
England Drainage District No. 4.




R eport

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Miller County—
Drainage District No. 1.
Drainage District No. 2.
Homan Drainage District.
Mississippi County—
Drainage District No. 7.
Carson Hake Drainage District No. 8.
Grassy Lake and Tyronza Drainage District No. 9.
Golden Lake Drainage District No. 11.
Osceola Drainage District No. 12.
Dead Timber Drainage District No. 18.
Drainage District No. 16.
Randolph County—
Little Running Water Drainage District.
Tupelo Drainage District.
City Water and Light Company, Jonesboro.

R E C E IP T S A N D D IS B U R S E M E N T S O F T H E S T A T E B A N K D E P A R T M E N T

The following is a statement showing the receipts and disbursements of the
State Bank Department from January 1, 1921 to December 3, 1921.
RECEIPTS.
Balance on hand January 1, 1921........................ ..................... .„................... $ 3,436.29
Examiners’ fees..................................................................................................... 32,431.31
Amendment fees.....................................................................................................
700.20
Corporation fees.................................. :............................................................... 1,040.00
Refund for expense of investigation..................................................................
114.39
Certified copies.............................. .......................................................................87.50
Drainage district fees..........................................................................................
176.00
Miscellaneous fees................................................................................................
249.85
Total .......................................................................................

$38,235.54

DISBURSEMENTS.
Salary Commissioner .......................................................................................... $ 3,999.98
Salary of Assistant Commissioner........................................................................ 3,000.00
Salary of bank examiners.................................................................................. 12,587.50
Salary of office force............................................................................................ 4,800.00
Salary special drainage district examiner..........................................................
176.00
Expenses bank examiners..................................................................................... 7,433.33
Current expense ................................................................................................... 3,259.73
Balance on hand December 3, 1921................................................................... 2,979.00
Total ............................................................................................................. $38,235.54




S tate

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13

REPORT OF CONDITION OF BANKS IN THE HANDS OF
THE COMMISSIONER FOR LIQUIDATION

Banks placed in the hands of the Commissioner for liquidation January 1, 1921,
to December 31, |921:
Name.

Location— County.

Date Closed.*

Belleville Bank, Belleville, Yell County.................................................... March 16,
Bank of Black Rock, Black Rock, Lawrence County................................ March 4,
Dermott Bank & Trust Co., Dermott, Chicot County..................... December 12,
MeGehee Valley Bank, MeGehee, Desha County................................ December 12,
Bank of Mineral Springs, Mineral Springs, Howard County..................... June 2,

1921
1921
1921
1921'
1921

O T H E R B A N K S I N P R O C E SS O F L I Q U I D A T I O N

Name.

Location.

Bigelow State Bank.................................................................................................. Bigelow
Bank of Blytheville..............................................................................................Blytheville
Farmers State Bank................................................................................................... Beebe
LaFayette County Bank..........................................................................................Buckner
Bank of Richland...................................... .....................................................Drakes Creek
Bank of Mountainburg..................................................................................Mountainburg
Farmers & Merchants Bank...........................................................................Murfreesboro
Pangburn State Bank...........................................................................................Pangburn
Citizens Bank.............................................................................................................. Rogers

B A N K S P R E V I O U S L Y C L O S E D R E O P E N E D D U R I N G 1921

Name.

Location.

Belleville Bank........................................................................................................Belleville
Bank of Hunter.........................................................................................................Hunter
Luxora Banking Co...................................................................................................Luxora

L I Q U I D A T IO N S C O M P L E T E D D U R IN G

1921

McRae State Bank.......................................................................... McRae, White County
Bank of Pine Bluff................................................................ Pine Bluff, Jefferson County




R eport

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B a n k C om m issioner

B E L L E V IL L E B A N K — IN S O L V E N T
Belleville, Y e ll County, Arkansas.

This bank was placed in the hands of the Bank Commissioner March 15, 1921.
An inventory of the assets as tiled with the Yell Chancery Court showed $64,489.29.
On April 4, this bank was reopened under orders of the Yell Chancery Court
after having paid in a new capital of $10,000.00. Statement of condition of bank
of March 15f 1921, date bank closed, follows:
RESOURCES
Loans and discounts ............................................................................................ $58,254.69
Overdrafts ............................................................................................................
5.63
Due from banks......................................................................................................
336.28
Cash .........................................................................
2,407.55
Cash items .............................................................................................................
975.12
Furniture and fixtures.......................................................................................... 1,690.00
Total ..............................................................................................................$63,672.17
,
LIABILITIES
Capital stock ........................
$10,000.00
Surplus ........ :....................................................................................................... 1,025.00
Undivided profits ................................................................................................. 1,215.22
Certificates of deposit..........................................................................................
500.00
Individual deposits ............................................................................................. 31,039.72
Cashier’s checks................................................................................................... 2,069.62
Overdraft American Bank of - Commerce & Trust Co.......................................
163.42
Reserve for taxes...................................................................................................
74.93
Bills payable ......................................................................................................... 17,584.25
Total ............................................................................................................. $63,672.17

B A N K O F B L A C K ROCK— IN S O L V E N T
Black Rock, Lawrence County, Arkansas.

This bank was placed in the hands of the Bank Commissioner March 2, 1921.
Mr. W. N. Steadman was appointed Special Deputy Bank Commissioner for the
purpose of liquidating said bank. An inventory of the assets, filed with the Law­
rence Chancery Court showed total assets $130,250.77.
Statement of condition of this estate at close of business December 31, 1921,
follows:
ASSETS
Loans and d iscou n ts....................
$ 83 ,28 9 .4 0
O verd rafts ................................................
3 ,555.41
E xpense ..........................
2 ,585.38
U. S. b on d s ................................................
400.00
C ounty s crip .............................................
1,623.03
B ank b u ild in g ........................................
2 ,0 0 0.00
O ther real estate....................................
5 00.00
F urnitu re and fixtures..........................
1,000.00
Cash item s................................................
321.30
Cash on hand...........................................
1,279.03
T otal

........................... -........................$ 96 ,45 3 .5 5

L IA B IL IT IE S
Capital ........................................................$20 ,00 0 .0 0
Surplus .....................................................
1,000.00
In terest ..............................
1 ,455.16
R ents ..........................................................
141.30
In d ivid u a l d ep osits............................... 31,8 55 .5 7
Tim e d ep osits.........................
13,507.78
C ashier’ s ch eck s...............................
1 ,835.57
B ills p a ya b le ......................................... 2 6,6 57 .9 7

T otal

.....................................................$96 ,45 3 .5 5

Receipts and disbursements from March 11, 1921, to December 31, 1921.
R E C E IP T S
C ollected on n otes ............ .................... $ 24,831.11
In terest co lle cte d .........................
1,448.02
R ents co lle cte d ...............
141.30 In terest cou pon s collected ......
1.06
Cash item s c o lle cte d ..................
15.95
C ollected on stock assessm ents.........
175.00
T ax refu n d s...... ......................................
72.78
O verd rafts c o lle cte d ......... ....................
35.77
Cash on hand when bank closed .... 1 ,173.76
T otal

................................................*...$27,894.75




D IS B U R S E M E N T S
E xpenses p a id ........................................ $ 2,585.38
P aid L ib erty Central T ru st Co. on
b ills p a ya b le...... .................................. 16,148.02
P a id B ank o f Com m erce & T ru st
Co. on b ills pa ya b le........................ 7,825.52
P aid Farm ers & M erchants Bank,
Kensett, on certificates o f d e­
p osit ................................................................ 234.90
Cash on hand........................................
1,100.93
T otal

.....................................................$ 27 ,89 4 .7 5

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D E R M O T T B A N K & T R U ST C O M P A N Y — IN S O L V E N T
Dermott, Chicot County, Arkansas.

This bank was placed in the hands of the State Bank Commissioner Decem­
ber 12, 1921. An inventory of the assets as filed with the Chicot Chancery Court
follows:
Loans and discounts not hypothecated..................................................

$207,522.43

Notes in hands of John Baxter, for collection...............................................

752.00

Loans and discounts hypothecated with American Bank of Commerce
& Trust Co., Little Rock...........................................................................

55,109.10

Loans and discounts hypothecated with First National Bank, St.
Louis, Mo......................................................................................................

46,370.00

Loans and discounts hypothecated withHerman Carlton, treasurer................................ 61,550.00
Loans and discounts hypothecated with Desha Bank & Trust Co., Ark­
ansas City, Ark.............................................................................................

58,462.46

Loans and discounts hypothecated with Merchants & Planters Bank,
Pine Bluff, Ark...................................................................................

60,437.47

Overdrafts...........................................................................................................

1,925.80

Stocks and bonds not hypothecated.................................................................

1,446.12

Stocks, bonds and other securities hypothecated with Desha Bank &
Trust Co....................................... '...............................................................

17,372.10

Bonds hypothecated with Herman Carlton,treasurer......................................

2,000.00

Cash on hand........................................................................................................

1,244.75

Cash items........... ...............................................................................................

670.36

Banking house.....................................................................................................

14,000.00

Other real estate.................................................................................................

10,071.84

Furniture and fixtures.......................................................................................

1,950.00

Due from First National Bank, St. Louis, Mo............................................

65.76

Total....:..................................................................................

$540,950.19

STATEMENT OF CONDITION AT CLOSE OF BUSINESS
DECEMBER 10, 1921.
A SS E T S
Loans and discou n ts.......................... $476 ,2 0 3 .4 6
O verdrafts .............................................
1,925.80
B onds and secu rities.......................... 20,818.22
B an king hou se..............
14,000.00
Other real estate.................................
10,071.84
Furniture and fixtures.....................
1,950.00
Savings ban k s......................................
54.51
Due from ban ks.................................
65.76
Cash item s.............................................
670.36
Cash .........................................................
1,244.75
T otal

.................................................. $527 ,0 0 4 .7 0




L IA B I L I T I E S
Capital ..................................................... $ 100,000.00
S u r p l u s '..................................................
50,000.00
U ndivided p rofits.................................
8,817.86
In d ivid u a l d ep osits............................ 1 29,349.56
S avings d ep osits.................................
62,856.08
Tim e d ep osits.....................................
37,781.52
C ash ier’ s ch eck s.................................
2,295.92
B ills p a ya b le........................................ 127,412.47
O verdrafts due b an ks........................
8,493.29
T otal

.................................................. $ 52 7,004.70

R eport

16

of

B a n k C ommissioner

M cG E H E E V A L L E Y B A N K — IN S O L V E N T
McGehee, Desha County, Arkansas.

This bank was placed in the hands of the State Bank Commissioner Decem*ber 12, 1921. An inventory of the assets as filed with the Desha Chancery Court
follows:
<Loans and discounts not hypothecated...................... .'..................................... $204,225.55
Loans and discounts hypothecated with National Bank of Commerce,
St. Louis, Mo...............................................................................................

98,055.90

Loans and discounts hypothecated with W. B. Worthen Co., Little
Rock, Ark.....................................................................................................

51,441.65

Loans and discounts hypothecated with Merchants & Planters Bank,
Pine Bluff, Ark............................................................................................

38,182.25

Loans and discounts hypothecatedwithHerman Carlton, treasurer................................. 4,000.00
Tranist account ....................................... .'.........................................................

15.00

Taxes paid for customers...................................................................................

412.59

Overdrafts ..........................................................................................................

2,149.46

U. S. bonds not hypothecated............................................................................

616.92

Other bonds and securities nothypothecated............................

20,327.37

McGehee city warrants hypothecated with Desha Bank & Trust Co., Ark­
ansas City, Ark.................................................................

22,700.00

Warrants hypothecated with McGeheeestate......................................
Warrants hypothecated with W. B.Worthen Co....................................

9,078.33
26,900.51

Cash on hand.......................................................................................................

6,103.04

Cash items ............................

1,114.92

Checks on other banks........................................................................................

531.01

Furniture and fixtures.........................................................................................

2,000.00

Banking house ....................................................................................................

9,700.00

Other real estate........................................ - ...................................,..................

7,500.00

Total............................................................................................................. $505,054.50
STATEMENT OF CONDITION AT CLOSE OF BUSINESS
DECEMBER 10, 1921.
A SS E T S
L oans and d iscou n ts.......................... $ 38 4 ,2 4 0 .2 6
B ond s and w arran ts.......................... 69,867.81
B an kin g h ou se......................................
9 ,700.00
O ther real estate..... *..........................
7,500.00
F urnitu re and fixtures........................
2,000.00
O verd rafts .............................................
2,146.33
T ra n sit a ccou n t....................................
15.00
Due from b an k s..... ..............................
859.83
Cash and cash item s..........................
7,543.44
T otal

.................................................. $ 4 8 3 ,8 7 2 .6 7




L IA B I L I T I E S
Capital ....................................... .............$ 70,000.00
Surplus ..................................................
20,0 00 .0 0
U nd ivid ed p rofits..... ...........................
20,0 67 .5 1
In d ivid u a l d ep osits............................ 1 5 9 ,6 6 2 .7 6
Tim e d e p o s it s .......................................
57,262.11
Savings d ep osits.................................
29,0 10 .7 0
B ills p a ya b le........................................... 1 03,050.00
R ed iscoun ts ...........................................
7,426.11
O verd rafts w ith b an ks---- ------14,192.83
C ash ier’ s ch eck s.................................
3 ,201.67
T otal

........................ .........................$ 4 8 3 ,8 7 2 .6 7

S tate

of

17

A rkansas

B A N K O F M I N E R A L S P R IN G S — I N S O L V E N T
Mineral Springs, Howard County, Arkansas.

This bank was placed in the hands of the Bank Commissioner May 27, 1921.
Mr. T. J. Dillard was appointed Special Deputy Bank Commissioner for the purpose
of liquidating said bank. An inventory of the assets filed with the Howard Chan­
cery Court showed total assets $235,142.26.
State of condition of this estate at close of business December 31, 1921, follows:
A SS E T S
L oans and discou n ts.......................... $ 11 9 ,9 3 7 .0 5
O verdrafts ....................*........................ 33,6 55 .4 1
Cash item s.............................................
862.10
U. S. b on d s............ •............................
350.00
703.50
S chool w arran ts......................
County w arran ts.................................
*3 ,4 4 6.97
R eceivers certificate M. D. & G.
R y ..........................................................
500.00
Cash, Planters Bank &T ru st C o...
4 3,3 00 .8 9
F urnitu re and fixtures.....................
1,283.58
E xpenses .......
2 ,271.70
T arrant & W est cash item s..............
11,971.49
In terest p a id ........................................
304.61
40.69
L oss <m liberty b on d s....................... ^
Total

.$218,627.99

L IA B IL IT IE S
Capital s to ck ........................................ $ 20,0 00 .0 0
Surplus ..................................................
2 ,000.00
U ndivided p rofits................................
76.30
In d ivid ual d ep osits............................
37,2 29 .6 0
P u b lic fu n d s........................................... 1 36,187.63
Certificates o f d ep osit........................
1,398.49
C ashier’ s ch eck s.................................
1,338.09
C ollections not rem itted ...................
2,981.68
In terest .......
3,763.33
D rafts outstand ing...............
2,0 8 0.95
Other lia b ilitie s....................................
3,271.92
S tock assessm ents...............................
8,300.00

.$218,627.99

T otal

Receipts and disbursements from January 1, 1921, to December 31, 1921:
R E C E IP T S
O verdrafts collected ............................ $ 3 ,279.95
Cash item s................................................
24.34
U. S. b on d s........................ .-...................
2,900.00
W ar savings stam ps............................
90.40
S ch ool-w a rra n ts......................................
861.12
County w arran ts...................................
20.00
3,763.33
In terest ....................................................
C orresponding ban ks............................
472.75
S tock assessm ents......................-..........
8,300.00
L oans and discou n ts............................ 26,2 06 .0 0
T otal

$45 ,91 7 .8 9

E xpense
In terest
Loss on
B alance
Bank

D IS B U R S E M E N T S
................................... ................ $ 2 ,271.70
p a id ...........................................
304.61
sale liberty b o n d s...... .........
40.69
on hand w ith Planters
& T ru st C o........... ................. 43,3 00 .8 9

T otal

.$45,917.89

B IG E L O W S T A T E B A N K — IN S O L V E N T
Bigelow, Perry County, Arkansas.

This bank was closed by Assistant Bank Commissioner, P. Lee Major, December
22, 1920. Mr. R. G. Dickinson was appointed Special Deputy Bank Commissioner
for the purpose of liquidating said bank. On April 20, 1921, Mr. George Vollman
was appointed Special Deputy Bank Commissioner to succeed Mr. Dickinson. An
inventory of the assets filed with the Perry Chancery Court showed total assets of
$86,638.84.
Statement of condition of this estate at close of business December 31, 1921,
follows:
A SS E T S
L oans and d iscou n ts.............................$48,62 3 .5 6
O verdrafts ......
665.83
B onds and secu rities............................
8,280.98
Furniture and fixtures..............„ ....... 2,000.00
B an king "house........................................
1,000.00
Other real estate.................................... 8,152.53
C ounty S crip ...........................................
115.00
L ib erty bonds .........................................
100.00
E xpense ..................................................... 2,687.08
Short a ccou n t...........................................
1,911.52
Due from Central B an k........................ 4 ,7 7 4.84
Cash and cash item s............................
614.16
T otal

.................................................... $78 ,92 5 .5 0

L IA B I L I T I E S
Capital ........................................
$ 10,000.00
In terest colle cte d ....................................
196.22
9,549.37
B ills p a ya b le.........................
A ccou n ts p a ya b le...................................
2 ,768.67
Dem and d ep osits................ - ................. 33,5 85 .7 7
Tim e d ep osits...........................................
5,915.06
C ashier’ s ch eck s.................................... 15,975.03
U npaid d ra fts ...........................................
935.38

T otal

.....................................................-$78,925.50

Receipts and disbursements from January 1, 1921, to December 31, 1921:
R E C E IP T S
Jan uary 1, 1921, cash and cash
item s on hand................................... $
900.26
General a ccou n ts................................... 28,855.89
D ep osit adjustm en t..............................
8,150.36
O verdrafts ..................
10,229.64
L oan adjustm en t................................... 11,520.47
Interest collected ...................................
196.22
Total




.$59,852.84

D IS B U R S E M E N T S
General a ccou n ts....................................$35,188.49
D ep osit adjustm en t............................... 13,709.53
O verdraft A d ju stm en t.................
10,190.66
Loan A d ju stm en t.................
150.00
Cash and cash item s D ecem ber
31, 1 92 1 ................................................
614.16
T otal

.$59,852.84

R eport

18

of

B a n k C om m issioner

B A N K O F B L Y T H E V IL L E — IN S O L V E N T
Blytheville, Mississippi County, Arkansas

This bank was closed by Assistant Bank Commissioner, F. Lee Major, on
March 10, 1920. Mr. B. A. Lynch was appointed Special Deputy Bank Commis­
sioner for the purpose of liquidating said bank. An inventory of the assets filed
with the Mississippi Chancery Court showed total assets $1,205,093.69.
Statement of condition of this estate at close of business December 31, 1921,
follows:
ASSETS
L oans and d iscou n ts.......................... $ 2 3 9 ,9 0 2 .9 8
B onds and w arran ts..........................
400 .04
O verd rafts ........- ................................... 609,89 7 .5 2
D illard & C offin Co...........................
25,0 00 .0 0
D eficit a ccou n t...................................... 111 ,90 7 .4 4
E xpense a ccou n t..........................
19,169.30
Due from b an k s................................... 103,66 7 .9 2
Cash and cash item s................
804.20

L IA B IL IT IE S
R eal estate............................................. $ 15,000.00
F urnitu re and fixtures.....................
1,573.31
In d ivid u a l d ep osits...............
7 02,104.88
O utstanding d ra fts.............................
9 42.34
L ed ger differen ce.................................
72,204.30
.In terest a cco u n t.................................... 35,8 12 .4 1
R ent a ccou n t.........................................
4 ,168.70
6 ,737.34
P rofit and loss......................................
B. H . W ilh ite p rop erty so ld .........
624.34
W . O. A nthony p rop erty so ld ......
10,160.29
W ilh ite & B la y lock p rop erty sold
15,772.34
W ilh ite & A nthony p ro p e rty sold
84,704.98
John F. W ilh ite ....................................
13,977.88
Jas. A. R eese...........................
925.52
F oreign claim s......................................
3 9,0 83 .7 7
30,250.00
S tock assessm ents co lle cte d ...........
C apital ..........................................
4 0,0 00 .0 0
25,0 00 .0 0
Surplus .....................................
U nd ivid ed p rofits...............
8,707.00

T otal ...............................................$1 ,1 1 0 ,7 4 9.40

T otal ................................................$ 1 ,1 1 0 ,7 4 9 .4 0

DIVIDENDS PAID.
October 9, 1920—
Paid on preferred claims............................................................................ $ 24,484.92
15 per cent dividend on common claims................................................... 163,837.89
April 1, 1921—
7 per cent dividend on common claims....................................................

77,106.03

Receipts and disbursements from January 1, 1921, to December 31, 1921:
R E C E IP T S
^
Cash and cash items on harm
Jan uary 1, 192 1 ...............................$ 2 ,4 2 5.06
Cash in hanks January 1, 192 1 ....... 53,2 76 .8 8
L ib e rty bon d s sold and coupons
collected .............................................
110.56
B ap tist Church paym ent o f d eficit
329.83
In terest collected .................................... 8 ,094.70
N otes c o lle cte d ........................................ 5 3,2 01 .6 7
O verd rafts collected ............................
3 ,403.78
W . O. A n th on y prop erty s o ld ...........
1 ,525.14
B . H . W ilh ite p rop erty sold ...........
103.02
W . E. C ooper, bankrupt divid en d ..
500.00
R ents c o lle c t e d -......................................
3 ,473.70
W ilh ite & A nthony p rop erty sold .. 10,051.18
John F. W ilh ite p rop erty sold .........
3 ,500.00
Jas. A . R eese collected on accou nt
9 25.52
S tock assessm ents collected ...... .......
1,000.00
D illa rd & C offin Co., on purchase
o f n o t e s ............................................... 50,000.00
F ederal R eserv e Bank balance
collected ......
46.75
U nion & Planters Bank & T rust
C o.............................................................. 2 ,0 0 0.00
T otal

.................................................. $ 19 3 ,9 6 7 .7 9




D IS B U R S E M E N T S
E xpenses ................................................$
7,233.47
W . O. A nthony m ortgage and
taxes ..................................................
2 ,7 6 4.49
W ilh ite & B la y lock taxes p a id —.
170.34
W ilh ite & A nthony, expense of
handling p ro p e rty ______
306.00
John F. W ilh ite taxes and interest
on m ortgage.................. „..................
1 ,254.74
7 p er cent d ividend paid A pr. 1....
77,106.03
Cash item s charged in to notes....
124.30
L loy d E ngland paid on cou rt o r ­
der on claim ....................................
236.63
H uffin & Co. p a id on cou rt order
on claim ....................................
83.01
M rs. J. D. Johnson p a id on cou rt
ord er on claim .................................
216.66
Cash and cash item s on hand
D ecem ber 31, 1 92 1 ........................
804.12
Cash in banks D ec. 31, 1 92 1 ....... 103,66 7 .9 2

T otal

.................................................. $ 1 9 3 ,9 6 7 .7 9

S tate

of

A

rkansas

19

F A R M E R S S T A T E B A N K — IN S O L V E N T
Beebe, W hite County, Arkansas.

This bank was placed in the hands of the Bank Commissioner on June 4, 1917.
Mr. T. A. Watkins was appointed Special Deputy Bank Commissioner for the purpose
of liquidating said bank.
Dividends to claimants have been paid as follows:
Preferred dividends ............................................................................................$ 3,158.70
December 24, 1917, 25 per cent........................................................................... 22,896.33
March 29, 1918, 25 per cent................................................................................ 23,069.09
December 31, 1918, 25 per cent........................................................................... 23,069.09
May 22, 1919, 10 per cent................................................................................... 9,225.59
April 20, 1921, 10 per cent................................................................................ 9,225.59
Total ...............................;............................................................................. $90,644.39
Statement of condition of this estate at close of business December 31, 1921,
follows:
A SS E T S
Loans and d iscou n ts............................ $12 ,09 5 .0 0
O verdrafts ................................................ 9 ,385.81
R eal estate................................................ 3 ,771.77
500.00
F urniture and fixtures.......................
U ndivided profits as o f June 4,
1917
291.32
Cash item s .....................
158.55
E xpense ....................................................
7,159.29
Bank o f Searcy— b alance................... 1,369.26
D ividen ds p a id ........................................ 90,644.39
T otal

.................................................. $ 125,375.39

L IA B I L I T I E S
Capital s to c k ........................................... $ 10,000.00
Ind ivid u al d ep osits............................... 70,026.03
Tim e d ep osits...........................
15,981.88
C ashier’ s ch eck s....................................
572.50
Bank o f Com m erce O -D .....................
3,7 5 7.24
Central N ational O -D .......................... 4 ,254.71
Interest ..................................................... 5,983.03
B onds, C. W . R en a k er........................ 10,000.00
S tock assessm ents.................................
4 ,800.00
Total

.................................................. $ 125,375.39

L A F A Y E T T E C O U N T Y B A N K — IN S O L V E N T
Buckner, Lafayette County, Arkansas.

This bank was placed in the hands of the Bank Commissioner December 17, 1920.
Mr. Lloyd L. Tidwell was appointed Special Deputy Bank Commissioner for the
purpose of liquidating said bank. ' An inventory of the assets as filed with the
LaFayette Chancery Court showed total assets $128,069.15.
Statement of condition of this estate at close of business December 31, 1921,
follows:
ASSETS
L oans and d iscou n ts............................$ 72 ,93 9 .4 5
S crip and w arran ts...............................
18.00
B an king house..........................
1,400.00
Furniture and fixtures........................ 1,500.00
Due from ban k s......................................
223.34
Cash item s............................
296.80
Cash on hand..............................
2 ,1 5 3.54
D eficit ................................... - ................
4,434.00
T otal

....................................................$82,965.13

L IA B IL IT IE S
Capital ..............
$10,00 0 .0 0
Surplus ..........................................
10,000.00
B ills p a ya b le ........................—............... 9,848.53
Dem and d ep osits.................................... 35,709.30
Tim e d ep osits...........................................
4,520.80
B ills payable d ep osits..........................
6,665.60
C ashier’ s ch eck s................ - ................
4 ,238.07
Other lia b ilitie s...................................... 1,982.83
T otal

.....................................................$ 82,965.13

Receipts and disbursements from December 17, 1920, to December 31, 1921:
R E C E IP T S
Cash as per in v en tory..........................$
226.13
B alance A m erican Bank o f Com ­
m erce & T ru st C o.............................
29.93
B alance B ankers T ru st C o...............
14.08
Cash item s collected ............................
131.81
Notes collected ........................................
183.29
C ollected on hypoth ecated n o te s ..- 50,0 40 .2 6
C ollected on w arrants hypoth ecated
2,378.90
C ollected on w arran ts..........................
82.95
Incom e tax refu n d .................................
24.00
Interest on liberty b on d s...................
23.10
L ib erty bonds sold ...............................
20b.00
S tock assessm ent.................................... 4 ,900.00
T otal

.................................................... $58,23 4 .4 5




D IS B U R S E M E N T S
Salary o f dep uty com m ission er...... $ 2,4 6 6.67
General expen se........................
421.60
Insurance and taxes...................
793.92
P aid State N ational B an k ................ 30,094.41
P aid B ankers T ru st C o................... 14,000.00
P aid A m erican Bank o f Comm erce
& T ru st C o.............................
1,678.85
In terest p a id ...........................................
632.36
Legal s e r v ic e s .........................
698.10
F or trustees equities in collateral
held .....................................
5,295.00
Cash on hand D ec. 31, 192 1 ...........
2 ,153.54
T otal

.....................................................$ 58,234.45

R eport

20

of

B a n k C om m issioner

B A N K O F R IC H L A N D — IN S O L V E N T
Drakes Creek, Madison County, Arkansas.

This bank was closed by Assistant Bank Commissioner, F. Lee Major, April 27,
1920. Mr. J. S. Combs was appointed Special Deputy Bank Commissioner for the
purpose of liquidating said bank. An inventory was filed with the Madison Chan­
cery Court showing total assets of $49,534.17.
Statement of condition of this estate at close of business December 31, 1921,
follows:
A SS E T S
L oans ..........................................................$9,6 38 .0 1
O verd rafts .................................................. 2,34&.90
B an kin g hou se........................................... ' 900.00
F urnitu re and fixtures............................
375.00
Cash on hand............................................. 1,273.28
T otal

................................................. $14,33 5 .1 9

L IA B I L I T I E S
Capital ..........................................................$ 6,2 00 .0 0
D ep osits ...........................
6 ,9 7 1.06
Other lia b ilitie s......................................... 1,164.13

T otal

.....................................................$14,33 5 .1 9

Receipts and disbursements from January 1, 1921, to December 31, 1921:
R E C E IP T S
Cash on hand Jan 1, 1 9 2 1 ................. $ 9,0 80 .9 0
N otes co lle cte d ........................................... 2 ,563.00
S tock assessm ents collected ............... 3,400.00
C ollected on surety b on d ..................... 3,800.00
Sale o f sa fe..... ..........................................
425.00
C ollected from F irst N ational Bank,
St. L ouis, M o .......................................
476.80
T otal

.....................................................$ 19,745.70

BANK

D IS B U R SE M E N T S
D ividen ds p a id ......................................... $ 16 ,806.54
Salary p a id ................................................
1,200.00
E xpenses p a id .........................................
465.88
1,273.28
Cash on hand D ec. 31, 192 1 ...........

T otal

.....................................................$ 19 ,74 5 .7 0

O F M O U N T A IN B U R G — IN S O L V E N T

Mountainburg, Crawford County, Arkansas.

This bank was placed in the hands of the Bank Commissioner June 13, 1920.
Mr. J. S. Holt was appointed Special Deputy Bank Commissioner for the purpose
of liquidating said bank. An inventory of the assets filed with the Crawford Chan­
cery Court showed total assets of $66,451.53.
Statement of condition of this estate at close of business December 31. 1921,
follows:
A SS E T S
L oans and d iscou n ts.............................$ 11 ,79 0 .0 6
W a r savings stam ps............................
160.00
Due from J. A. H arsh........................
500.00
Cash on h a n d ..................................... A 1,280.10
D ivid en ds p a id and d eficit....... ,....... 2 5,9 19 .5 1
T otal

.$ 39,649.51

L IA B I L I T I E S
Claims filed .......................................... $ 39 ,31 9 .5 1
A u d ito r’ s fe e s ........................................
330.16

T otal

.$39,649.51

Receipts and disbursements from June 13, 1920, to December 31, 1921:
R E C E IP T S
Cash and cash item s...........................
O verdrafts c o lle c t e d ...........................
C ollected on loa n s...............................
L ib erty bon d s sold .............................
Surety b on d settlem ent......................
S tock assessm ent^ collected ..... I.....
R e fu n d incom e tax.............................
Sale hank house, furnitu re and
fixtures ..............................................
T otal




!

49.25
206.71
7,320.21
204.90
3 ,0 0 0.00
4,0 2 4.33
4.59

D IS B U R S E M E N T S
Claims p a id ............ ................................ $ 13 ,51 4 .3 9
P aid special d ep u ty................................
1,400.00
G eneral expen se.......................................
435.60
Insurance and taxes.............................
229.90
A ttorn ey fees .........................................
150.00
B alance cash on hand D ecem ber
31, 1921 .............................................
1,280.10

2 , 200.00
$17,00 9 .9 9

T otal

.$17,009.99

S tate

of

A rkansas

21

F A R M E R S & M E R C H A N T S B A N K — IN S O L V E N T
Murfreesboro, Pike County, Arkansas

This bank was closed by State Bank Examiner, A. E. Bailey, on June 20, 1917.
Mr. J. C. Pinnix was appointed Special Deputy Bank Commissioner for the purpose
of liquidating said bank. An inventory filed with the Pike Chancery Court showed
total assets of $78,943.11.
DIVIDENDS PAID.
18 per cent October 1, 1917.....
................................... $9,434.10
20 per cent November 1, 1917...
................................... 9,535.25
20 per cent December 15, 1917.
.................................. 9,535.25
10 per cent May 1, 1918...........
................................... 4,767.62
12 per cent July 1, 1918...........
................................... 5,643.15
R E C E IP T S
Loans and other securities co l­
lected .....................................................$ 44 ,96 4 .4 6
Sale o f furnitu re and fixtures.........
1,050.00
S crip sold ..................................................
4 4 .f o
German N ational B ank.......................
406.23
M erchants & Planters B an k ..............
62.50
P ostoffice m oney ord er.......................
.50
2 ,456.75
State N ational B an k............................
V olu n tary stock assessm ent.............. 3 ,937.50
German Savings In stitu tion ..............
13.96
Cash on hand when bank c l o s e d -601.53
T otal

.................................................... $ 53,537.53

D IS B U R S E M E N T S
B ills p ayable p a id ...................
$ 12,020.12
E xpenses ...................................
1,045.84
D ividen ds p a id ........................................ 38,1 11 .6 2
Cash on hand...........................................
2 ,359.95

T otal

....................- ..............................$ 53,537.53

P A N G B U R N ST A T E B A N K — IN S O L V E N T
Pangburn, W hite County, Arkansas.

This bank was placed in the hands of the Bank Commissioner April 1, 1919.
Pursuant to a court order and in accordance with a contract, the assets of said
bank were sold to A. B. Banks, he paying the creditors of the bank 66 2-3 per cent
on May 9, 1919, and having twenty months from date of purchase of assets to
liquidate them and make final distribution in accordance with contract.
Statement of condition of this estate at close of business December 31, 1921,
follows:
A SS E T S
Loans and d iscou n ts............................ $ 45 ,95 9 .2 5
O verdrafts . . . - .......................................... 1,923.56
R eal estate........... .................................... 30,926.40
Loss .........................
17,548.41

T otal

..........- ........................................$96,357.62

L IA B I L I T I E S
$10,00 0 .0 0
Capital stock ..............................
Surplus .....................................................
600.00
In d ivid u a l d ep osits............................... 18,019.39
Tim e d ep osits...........................................
2,231.33
C ashier’ s ch eck s....................................
849.25
Due B ank o f P a n gbu rn ....................... 64,657.65
T otal

.....................................................$96,357.62

Receipts and disbursements from January 1, 1921, to December 31, 1921:
R E C E IP T S
Notes collected ........................................... $2,788.35
Interest collected ......................................
228.96
L ib erty bonds sold ....................................
674.79
T a x refu n d ed .............................................
4 .65
R ents collected ...........................................
20.31
D eficit ......................................................... 3,055.61
Total




.$6,772.67

D IS B U R S E M E N T S
E xpenses .................................................... $1,6 37 .6 7
In terest p a id ............................................. 5,135.00

T otal

.$6,772.67

R eport

22

of

B a n k C om m issioner

C I T IZ E N S fe A N K — I N S O L V E N T
Rogers, Benton County, Arkansas.

This bank was merged with the Bank of Rogers, but after the Bank of Rogers
was placed in the hands of the State Bank Commissioner for liquidation, the two
institutions were segregated and are being liquidated separately by an order, and
under the jurisdiction, of the Benton Chancery Court.
Mr. L. H. McGill was appointed Special Deputy Bank Commissioner on August
28, 1914. On October 18, 1915, Mr. Perry N. Clark was appointed Special Deputy
Bank Commissioner to succeed Mr. McGill. In November, 1918, Mr. Clark died and
the liquidation of the affairs of this bank have been continued by the Bank Com­
missioner without the services of a special deputy.
DIVIDENDS PAID.
16 2-3 per cent June, 1915......................................................... :........................$16,086.06
12 1-2 per cent January, 1919............................................................................. 10,881.92
20 per cent July, 1920.....................................,.................................................... 17,627.67
Receipts and disbursements- from January 1, 1921, to December 31, 1921:
R E C E IP T S
B alance Jan uary 1, 192 1 ..................... $ 4,8 21 .1 0
C ollection o f ju d gm en ts........................ 1,417.01
C orrection e n t r y ......................................
23.07

T otal

....................................................... $ 6,2 61 .1 8




D IS B U R S E M E N T S
E xpenses in F elker suit........................$ 292 .80
145.54
E xpenses fo r attending cou rt............
L egal n otice s.........., ..................................
5.40
P a id E. H . T hom as............. .................
250.00
P a id L. H . M cG ill....................................
250 .00
100.00
Court cos ts ..................................................
B alance D ecem ber 31, 1 92 1 ................ 5 ,2 1 7.44
T otal

....................................................... $ 6,2 61 .1 8

S tate of A r k a n s a s

23

MERCHANTS & MECHANICS BANK
Argenta, Arkansas.
List of unclaimed dividends:

D ividend N o. 1.
........$5.87
........ 2.95

Frank Terry......................................... .$ 3.75
Mrs. H. E. Sibeck................................ . 14.45

D ividend No. 2.

W.

Henry Drinker.

W . P. Stanley..

Marie Wood.........
A. H. Brown, Jr.
J. S. Kerr..
Marion Sharpe.....
E. O. Manees.........
Mrs. Emily Roots..

..... $ 2.30
..... 2.50
..... 1.17
..... 4.00
..... 15.00
............. 30
..... 3.14
..... 15.90
..... 3.49
...... 1.20
..... 10.00
..... 1.66
..... 2.11
..... 1.80
..... 4.21
..... 1.24
.............29
..... 4.50
.............75
............ 75
..... 2.25
..... 26.60
.............24
.............06
.... 1.00
............ 18
..... 1.02
.............10
............ 09
.............70

W . M. Bell............................................. .$ .20
Oscar Bottom........................
2.00
A. Brown...............................
. 1.19
Geo. C. Crews......................................... . 19.49
J. B. Didier........................................... .
.53
L. J. Falls......................
1.80
D. Haehnel............................................. . 12.50
Maude Jenkins...................................... . 1.50
Walter Kolinski..................................... . 4.00
Thelma Lawson....................
.......
.50"
W . H. Lee.............................................. .
.31
W . L. McKay.......................................... 2.13
T. G. Handle .............................
1.34
Ada Rogers........................................
.90
Helen Sibeck........................................ ;. 2.89
Fred Somerson.....................................
.41
John Skretkowiez.................................. 2.40
E. M. Smith........................................... . 8.70
St. Paul Temple...................... ............. 4.87
W . D. Walker....................................... 25.76
Floyd A. White..............................
.42
D. C. Wood....................................... ...... 3.07
Vernon Wood.........................................
.29
Nellie Chapman................................
.30
E. B. Johnson.........................................
.59
D. A. Kerr.........................................
9.32
Jas. Sharpe.................................
.40
Noble Sharpe.....................................
.10
Mrs. W . A. Miller.................................
.47

58 of Act No. 113 of the Acts of 1913, the above
American Bank of Commerce & Trust Co., Little
Rock, Ark.




24

R eport of B a n k

C o m m is s io n e r

BANK OF HICKORY RIDGE
List of unclaimed dividends:

D ividend N o. 1.
Peter Brachtendorf.....
Artie Browning, Treas
C. J. Hinkley..................
L. A. Jackson................
Russell McComber.......
W . E. Moliason.............
Ed Purcell......................
Frank Vowels.................
B. D. Wing....................

.$ .02
. 1.75
.01
. .03
.05
. .03
.01
.25

Stephen Brachtendorf...........................$ .29
R. A. Ferrell..................................................08
Geo. W . Hubbard...........................................02
E. M. Garnison............................................... 02
A dr. of S. C. McRay Est.............................40
Blalock Norvell.. ........................................34
E. I. Smith....................................................... 68
J. W . Willis..................................................... 31

.12
D ividend N o. 2.
...$ .04
...
.36
...
.04
...
.04
...
.42
...
.12
...
.06
... .26
...
.06
...
.04
...
.04
...
.10
...
.58
........68
...
.88
...
.18
... .62

Mrs. Lizzie Farley.......
E. I. Smith.....................
C. A. Acton'...................
Peter Brachtendorf.......
Ed Brown.......................
Liland E. Bushby........
O. W . Daly.... .................
Ernest Glenn.................
Oby Green.....................
Geo. W . Hubbard.........
E. M. Gamison..............
Russell McComber........
H. L. Mifford, Special.
Blalock Norvell.............
Ossian Stave Co............
W . L. Slocum................
J. W . Willis...................

T hird

and

R. A. Ferrell............................................$ .16
B. D. W ing...................................................... 24
Dr. M. Allen................................................... 42
Stephen Brachtendorf..................................58
Artie Browning, Treas.................................50
Bud Cogle and wife....................................62
C. Dodd.............................................................. 04
J. W . Goss.......................................... .*.... .32
O. J. Hinkley...................................................02
L. A. Jackson.................................................06
Ladies’ Aid Society...................................... 24
Adr. of S. C. McRae Est......................... 80
W. E. Moliason...............................................06
Samuel B. Ogden........................
72
Ed Purcell.........................................................02
H. F. Wells.......................................................04

F inal D ividend.

Hickory Ridge Luceum......................... $2.00
Geo. R. Waggoner....................................... 14
Dr. M. Allen.................................................. 21
L. C. Ball........................................................ 32
Peter Brachtendorf ..................................... 02
Ed Brown.........................................................21
Liland E. Brushby.......................................06
C. Craig...........................................................25
O. W . Daly......................................................03
R. S. Dennis................................................... 43
Adm. R. A. Ewen Est............................ 1.98
R. A. Ferrell................................................. 08
J. W . Goss......................................................16
O. J. Hinkley................................................ 01
L. A. Jackson............................................... 03
Ladies’ Aid Society............................. 1.52
Adm. S. C. McRae Est.................................40
W . E. Moliason............................................. 03
Blalock Norvell............. •..............................34
Ossian Stave Co............................................44
B. V. Rogers.................................................. 26
David Shaw.................................................... 07
Frank Vowels............................................... 25
J. W . Willis................................................... 31

E. L. Smith...............................................$ .68
C. A. Acton.................................................... 02
W. G. Ball........................................................ 04
S. C. Ball.......................................................... 11
Stephen Brachtendorf.................................29
Artie Browning, Treas.......................... 1.75
Bud Cagle and wife..................................... 31
Roy Day...........................................................25
A. L. Davis................................................ 1.40
C. Dodd...........................................................02
■Mrs. Lizzie Farley....................................... 02
Ernest Glenn................................................ 13
Oby Green........................................................ 03
Geo. W . Hubbard......................................... 02
E. M. Gamison................................................02
Russell McComber.........................................05
H. L. Mefford, Special.............................. 29
Emmett M iller.............................................. 25
Samuel B. Ogden......................................... 36
Ed Purcell..............................................!.. .01
J. A. Sanders............................................ 1.43
W . L. Slocum.................................................09
H. F. Wells....................................................02

In compliance with section 58 of Act 113 of the Acts of 1913, the above funds
are on deposit with the Bank of Jonesboro, Jonesboro, Arkansas.




S ta te of A r k a n s a s

25

BANK OF HUNTINGTON
List of unclaimed dividends:
Bennett Brown........................................ $ .69
J. S. Lewis, Tr........................................ 3.68
W . W . Ford.............................................. 1.92
Bennett Brown ............................................. 11
Miss Pablo Bios..................................... 1.00
C. Atkinson, Tr..............................................13
Flora Lewis, Tr............................................51
R. M. Long................................................ 1.81
Geo. Watula.............................................. 5.00
Wm. Waddell........................................... 2.00
Freeman Nimrod..................................... 1.72
Fedro Tonlymonch...............
6.97
P. M. Nance................................................... 05
J. M. Lentz................................................... 18
Mrs. E. W. Buffum............................... 1.12

C. W . Young............................................ $ .54
Huntz-Bread Bk.— D. J. Kelly.......... 8.32
Cora Ford.................................................. 1.25
Josie Beed........................................................ 12
Mrs. L. Theo Cook................................. 5.55
C. Atkinson............................................... 11.00
Zack Thompson....................................... 2.50
Joe Pinter........................................................ 75
J. S. Waddell............................................ 1.05
Tom Lewis..........................................
1.27
Bess Leroy................................................ 1.12
Geo. Green...................................................... 87
J. M. Glass.................................................... 24
E. D. Card......................................................37
Mrs. A. Woodwrard......................................21

In compliance with section 58 of Act No. 113 of the Acts of 1913, the above
funds are on deposit with the Huntington State Bank, Huntington, Arkansas.

BANK OF LEOLA
List of unclaimed dividends:

D ividend No. 1.
Arlev Caplinger...................................... $ .09
W . G. Davis.............................................. 1.80
W . H. Harshall, Tr.............................. 3.62

Kennedy & Marshall............................. $8.64
Lillian Lee Camp........................................ 36

D ividend No. 2.
C. W. Bumpass.......................................$ .03
W. G. Davis.................................................... 70
Oma L. Hall................................................. 12
D. S. Harrison............................................. 06
Kennedy & Marshall............................. 3.36
W. H. Marshall, Tr............................... 1.40
E. R. Shugart............................................... 07
L. C. Smart....................................................52

Arley Caplinger....................................... $ .03
O. S. Golden.............................
2.10
J. H. Harris.......................................... 7.68
G. A.
Jones........................................... 1.30
Luther Lee Camp.........................................14
Lula Miller................................................ 4.40
W . L. Slaughter.............................................13
Mrs. Allie Stiles...............................
06

In compliance with section 58 of Act No. 113 of the Acts of 1913, the above
funds are on deposit with the American Bank of Commerce & Trust Company, Little
Rock, Arkansas.

U nclaimed D eposits.
Homer Ault.............................................. $ .48
E. L. Black......................................................01
Mrs. Mytle Clark......................................... 01
Ernest Davis..................................................03
S. E. B. Fitzhugh........................................ 29
H. G. House..................................................01
H. King............................................................ 04
W . H. Marshall............................................. 07
C. R. Pedigo................... :...............................51
Mac. S. Smith.................................. „..........03
W. F. Worrell............................................... 21
John Phillips..................................................25

R. L. Bailey.............................................. $ .02
Will L. Buzan............................................... 36
G. W . Crowder..............................................03
Tessie Dial, Tr. SS..................................... 01
T. C. Heard.................................................... 14
J. H. House.............................................. 1.28
Fred Lewis, Jr.............................................. 62
Mrs. Alice L. Naylor.................................. 02
Willis A. Phillips, Tr............................... 16
Mike Wookledge...........................................01
Fred Lewis, Jr........................................ 4.34
C. W . Lowden................................................31

In compliance with section 58 of Act No. 113 of the Acts of 1913, a reserve
has been set aside against the above unclaimed deposits amounting to $9.24, said
reserve is represented by Savings Account No. 6781 with the American Bank of
Commerce & Trust Company, Little Rock, Arkansas.




26

R eport of B a n k

C o m m is s io n e r

BANK OF PERRYVILLE
List of unclaimed dividends:
T. J. Ashby.................................................................................................................................... $1.50
Baptist B. Y. P. II............................................................................................................................. 20
Baptist Ladies’ Aid Society...........................................................................................................68
J. L. Belk............................................................................................................................................... 10
Annie Bowen .........................................................................................................................................03
J. A. Brazil..............................................................................................................................................65
Civic League .........................................................................................................................................50
Jesse Henry........................................................................................................................................... 4 1
Mrs. T. L. Henry... ......................................................................................................................... 5.32
E. Jessup.........................................................
25
.25
Green L. Johnson.................................................
I. R. Lawrence.............................................................................................................................. 2.77
A. D. Little........................................................................................................................................... 10
L. J. Murray...........................................................................................................................................25
Jack Shelton...................................................................
1.00
In compliance with section 58 of Act No. 113 of the Acts of 1913, the above
funds are on deposit with the Union & Mercantile Trust Company, Little Rock,
Arkansas.
_____________

CITIZENS BANK & TRUST COMPANY
Prescott, Arkansas.
List of unclaimed deposits:.
A. J. Davis..................................................................................................................................... $20.00
T. W . Doll.................................................................................................................................... 58.30
B. F. Green.......................................................................................................................................... 19
Mrs. Mary Ross...................................................................................................................................02
C. C. Wood..................................................................................................................................... 25.00
In compliance with section 58 of Act No. 113 of the Acts of 1913, the above
funds are on deposit with the Bank of Prescott, Prescott, Arkansas.

BANK OF WYNNE
List of unclaimed deposits:
A. M. Boyce...................................................................................................................................$ .08
H. A. Bradford.................................................................................................................................. 38
Charity Fund................................................................................................................................. 6.59
A. B. Duke.............................................................................................................................................. 40
Mrs. J. N. Garrett..................\...t........................................................................................................ 12
Graveyard Association............................................................................................
17.47
Mary Janies.........................................................
4.00
T. J. Lewellen..................................................................................................................................... 69
Bruce Lunsford.................................................................................................................................... 06
Mayo & Robinson...............................................................
01
Mary Mebane.....................................................
25
Mrs. M. J. Monchan............................................................................................................................22
Mt. Moriah Baptist Church............................................................................................................. 36
W . C. Murrah....................................................................................................................................... 20
H. C. Nitchetz..................................................
26.00
Ester Robinson.............................................................................................................................
2.00
E. P. Seaman............................................................................................................. -.........................07
C. H. Shelton.......................................................................................................................................... 81
Texas & Co..............................................................................................................................................40
Lelia Turner............................................................................................................................................ 12
Union Grove Cemetery................................................................................................................. 2.00
W . H. White..........................................................................................................................................45
Mrs. Lucy Williams............................................................................................................................. 21
J. C. Wilson........................................
115.00

In compliance with section 58 of Act No. 113 of the Acts of 1913, the above
funds are on deposit with the Cross County Bank, Wynne, Arkansas.




27

S t a t e oP A r k a n s a s

STATE BANKS AND TRUST COMPANIES, MEMBERS OF FEDERAL
RESERVE SYSTEM
Desha Bank & Trust Co.................................
Citizens Bank & Trust Co.............................
Union Bank & Trust Co....................................
Farmers Bank & Trust Co..............................
Monroe County Bank........................................
Peoples State Bank.............................................
Farmers State Bank...........................................
Crittenden County Bank & Trust Co..........
Dardanelle Bank & Trust Co........................
Merchants & Farmers Bank... .........................
Bank of Commerce.............................................
Crittenden County Bank & Trust Co.......
Bank of- Commerce.............................................
Citizens Bank & Trust Co..............................
Arkansas Valley Bank.......................................
Bank of Eastern Arkansas...............................
Security Bank & Trust Co............................
Bank of Jonesboro.............................................
Jonesboro Trust Co..............................*..............
American Bank of Commerce & Trust CoBankers Trust Co................................................
Southern Trust Co_.............................................
Union & Mercantile Trust Co........................
W . B. Worthen Co...............................................
Chicot Bank & Trust Co....................................
Columbia County Bank.....................................
Farmers Bank & Trust Co.............................
Crittenden County Bank & Trust Co............
Bank of Marvell.................................................
Arkansas Bank & Trust Co..........................
American Bank & Trust Co.............................
Cotton Belt Savings Bank & Trust Co....
Peoples Savings Bank & Trust Co.............
First State Bank................................................
Bank of Russellville.........................................
Merchants & Planters Bank...........................
Bank of Waldron................................................
Warren B ank......................................................




.Arkansas City
..........Batesville
......... Batesville
....... Blytheville
............Brinkley
..................Cabot
..............Conway
.Crawfordsville
........Dardanelle
................Dumas
.................. Earle
.................. Earle
.......El Dorado
............England
......Fort Smith
....Forrest City
...............Helena
......... Jonesboro
......... Jonesboro
......Little Rock
......Little Rock
..... Little Rock
......Little Rock
......Little Rock
...Lake Village
.......... Magnolia
.......... Magnolia
............... Marion
..............Marvell
............ Newport
.................. Paris
.......Pine Bluff
....... Pine Bluff
............. Prescott
.......Russellville
........Texarkana
.............Waldron
.............. Warren




Statement of the Condition
OF

A ll Banks, Trust Companies and Savings Banks
Under Supervision of the State Bank Department




AT

Close of Business December 31, 1921

30

R eport of B a n k

C o m m is s io n e r

ALICIA
Lawrence County

FARMERS BANK

Charter No. 345. Date of Charter, August 8, 1911.
O fficers— P. H. Schwegman, President; J. G. Richardson, Vice President; C. Bush, Cashier;
Rolph Bush, Assistant Cashier.
D irectors— J. W. Moseley, J. T. Bottorff, J. G. Richardson, Jno. M. Lester, G. R. Bush, E. T.
Fife, P. H. Schwegman.
STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
'L oans and d iscou n ts......................... !
L oans on real estate..........................
L oans on cotton ...................................
O v erd ra fts ....................... ...................
U . S. b on d s............ ................................
O ther bonds and secu rities...........
F urnitu re and fixtures.....................
B an kin g hou se......................................
Item s in tra n sit............................ .......
Cash item s.............- ......... —.................
D ue from reserve bank^...................
C urren cy .............- ................................
G old ..............-..........................................
S ilv er .......................................................

Total cash and Ex.........$34,050.33

O ther

3 5 ,6 34 .0 4
11,9 46 .7 6
3 0,0 00 .0 0
112.46
46.50
2 ,2 2 3.26
1,318.80
1 ,850.00
143.75
70.65
2 1,8 70 .2 8
10.713.00
55.00
1,197.65

resou rces...................................

T otal

L IA B IL IT IE S
Capital stock .........................................$ 10,000.00
Certified surplus....................................
2 ,000.00
U n divided p rofits.................................
1,820.11
88,3 01 .4 7
In d ivid u a l d ep osits............................
P u b lic fu n d s...........................................
10,999.11
C ertificates o f deposit, tim e...........
3 ,029.46
C ash ier’ s c h e c k s -...............................
1,212.00

Total deposits...............$103,542.04

180.00
$ 11 7 ,3 6 2 .1 5

T otal

$ 11 7 ,3 6 2 .1 5

ALMA.
Crawford County

BANK OF ALMA
Charter No. 87.

Date of Charter, March 12, 1902.

O fficers—-J. D. Byars,, President; T. H. Renfro, Vice President; J. C. Alexander, Cashier; J. F.

Alexander, Assistant Cashier.
D irectors— W. L. Shull, C. A. Starbird, W. B. Smith, L. S. Lewers, C.* A. Starbird, T. H. Renfro,

J. C. Alexander.
STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts.......................... $ 1 0 4 ,6 3 4 .2 6
L oans on real estate.......................... 4 0,4 50 .0 0
L oans on co tto n .................................... 2 0,9 14 .5 4
O v erd ra fts —..........................................
I l l 13
65.43
U . S. b on d s.............................................
B an kin g h ou se................................
1,000.00
D ue from reserve ban ks................... 4 9 ,9 7 4 .3 4
Checks on other ban ks.....................
1,096.37
C urren cy ................................................
4,3 4 2.00
G old ..................■.......................................
520.00
S ilv er .....................................
3 ,568.31

L IA B IL IT IE S
Capital s to ck ........................................... $ 3 5,0 00 .0 0
Certified surplus....................................
15,000.00
1,380.4 i 2
U nd ivid ed p rofits.................................
P ostal savings a ccou n ts.....................
247.06
In d ivid u a l d ep osits............................ 147,17 9 .4 2
P u b lic fu n d s...... ....................................
1,075.80
C ertificates o f deposit, dem and—
25,7 18 .6 9
C ash ier’ s ch eck s....................................
1,074.99

Total deposits...............$175,295.96

Total cash and E x......... $59,501.02
T otal

$22 6 ,6 76 38

T otal

.$ 2 26,676.58

ALMA
Crawford County

COMMERCIAL BANK
Charter No. 297.

Date of Charter, January 3, 1910.

O fficers— J. H. Cole, President; R. L. Liles, Vice President; O. B. Ragon, Cashier; W. D. Patton,

Assistant Cashier; L. J. Ragon, Assistant Cashier.
D irectors— J. H. Cole, C. M. Adams, E. Bradley, O. B. Ragon, R. L. Liles, J. J. Cook, T. H. Kibler.

STATEMENT OF DECEMBER 31. 1921
R E SO U R C E S
L oans and d iscou n ts..........................$ 57,905.83
L oans on real estate.....................
13,361.78
U . S. b o n d s ...........................................
17,450.00
B an kin g hou se......................................
3,000.00
Due from reserve ban ks................... 14,5 11 .8 7
Checks on other ban ks...................
774.81
C urren cy ................................................
2 ,338.00
G old .....................................- ..................
97.50
S ilv er ...................................
732.30

L IA B I L I T I E S
Capital s to c k ........................................ $ 25,0 00 .0 0
C ertified surplus....................................
3,700.00
U n d ivid ed p rofits.................................
3 ,006.24
In d ivid u a l d ep osits............................
6 4,1 11 .8 7
P u b lic fu n d s.......................
742.47
C ertificates o f deposit, tim e.........
12,9 35 .5 6
C ash ier’ s ch eck s.................................
675.95

Total deposits................. $78,465.85

Total cash and E x......... $18,454.48
T otal




.$110,172.09

T otal

.$110,172.09

31

S tate of A r k a n s a s

ALMYRA
Arkansas County

R IC E P L A N T E R S B A N K
Charter No. 512. Date of Charter, July 15, 1920.
O fficers— A. B. Banks, President; I. M. Bennett, Vice President; Roy Hammond, Cashier.
D irectors— A. B. Banks, I. M. Bennett, D. O. Cox, H. D. Sebree, W. H. Knoll, M. G. Bennett,
Vann M. Howell.
STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
Loans and d iscounts.......................... ! 37,140.10
621.98
Other bonds and secu rities______
2.250.00
F urnitu re and fixtures.....................
B an king house......................................
1.250.00
24,0 89 .1 9
D ue from reserve ban ks..................
1.539.00
C urrency —...........................................
92.50
G old ........................................................
679.90
S ilver .......................................................

Total cash and Ex........ $26,400.59

Other

1 05,384.40

resou rces...................................

$ 17 3 ,0 4 7 .0 7

T otal

L IA B I L I T I E S
Capital s to ck ........................................ $
Certified surplus...................................
U n divided p rofits.................................
B ills p a ya b le...........................................
Notes red iscou n ted______„ .................
In d ivid u a l d ep osits................. #.........
P u b lic fu n d s.................. ........................
Certificates o f deposit, tim e.........
C ashier’ s ch eck s...... ..........................

Total deposits................ $73,079.54
Total

2 0 , 000.00
2 , 000.00
965.31
75,000.00
2 , 002.22
49,606.33
7,252.75
14,648.27
1,572.19

.$173,047.07

ALPENA PASS
Boone County

BAN K OF A LPE N A
Charter No. 227. Date of Charter, January 2, 1907.

O fficers— E. H. Wymo’re, President; J. S. Dalton, Vice President; J. W. Paul, Cashier; J. E. Paul,

Assistant Cashier.
D irectors— E. H. Wymore, J. S. Dalton, J. W. Paul, J. E. Paul.

STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
Loans and discou n ts............................ $ 33,474.33
Loans on real estate............................
15,000.00
172.07
O verdrafts .............................................
U. S. b on d s......................................
3,980.00
Other bonds and secu rities..............
67.41
Furniture and fixtures........................
1,940.00
B an king house......................................
2,000.00
Other real estate...................................
4 ,080.00
Due from non-reserve b an ks........
5,699.47
Cash item s................ ...................... —
78.22
8,854.92
D ue from reserve ban ks..................
1,300.00
C urrency ................................................
780.00
G old .........................................................
1,069.37
S ilver .......................................................

L IA B IL IT IE S
Capital s to ck ..........................................:
Certified surplus...................................
B ills p a ya b le..... ............................. .......
Notes red iscou n ted ..............................'
In d ivid u a l d ep osits...............................
Certificates o f deposit, tim e...........
C ashier’ s ch eck s.................................. .

Total deposits................ $60,778.15

10 , 000.00

1, 000.00
5,000.00
3,040.00
41,292.53
19,421.95
63.67

Total cash and Ex........ $18,281.98

Other resou rces......................................

822.36

Total

79,818.15

Total

79,818.15

ALTHEIMER
Jefferson County

B A N K O F A L T H E M IE R
Charter No. 177. Date of Charter, April 4, 1905.

O fficers— A. B. Banks, President; L. L. Phillips, Vice President; C. K. Wheeler, Cashier; Mrs.

C. K. Wheeler, Assistant Cashier.

D irectors— A. B. Banks, L. L. Phillips, E. L. Bowe, E. Sachs, C. E. Spann, Van M. Howell,

R. P. Woods.'
STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
Loans and d iscou n ts............................ $
Loans on real estate..........................
.L o a n s on co tto n ............ ... ...................
O verdrafts .......................................
U. S. b on d s...................................
Other bonds and securities.............
Furniture and fixtures...'....................
B an king hou se.............. .-.........
Other real estate.................................
Cash item s....:.......................................
Due from reserve ban ks.................
C urrency ...................
G old .........................................................
S ilver ........................ - .......................

Total cash and Ex.........$47,591.76
Total




78,211.45
36,694.49
12,413.29
190.42
142.29
1,036.03
4 ,581.00
10,000.00
1.00
456.23
39,418.07
6,528.00
615.00
574.46

$190 ,8 6 1 .7 3

L IA B I L I T I E S
Capital stock .......................................... $ 25,000.00
Certified surplus................................
7.850.00
U ndivided p rofits....................,............
3,217.20
Savings a ccou n ts.................................
4,817.42
In d ivid u a l d ep osits............................... 117,882.48
P u b lic fu n d s..... .............
12,763.51
Certificates o f deposit, dem and.... 16,250.15
C ashier’ s ch eck s..... ......
3,030.97

Total deposits..............$154,794.53

T otal

.$190,861.73

32

R eport of B a n k

C o m m is s io n e r

ALTUS
Franklin County

BAN K OF ALTU S
Charter No. 170. Date of Charter, October 3, 1904.

O fficers— J. N. Adams, President;

T. J. Karr, Assistant Cashier.

M. Musgrove, Vice President; L. F. Stephenson, Cashier;
•

D irectors— J. N. Adams, M. Musgrove, George Raible, A. Buergler, W. S. O’Kane, Father Placedus

Oechale, Hugh Bronson.
STATEMENT OF DECEMBER 31. 1921
R E SO U R C E S
L oans and d iscou n ts..........................$ 76,752.01
L oans on real estate................
19,5 16 .0 5
O verd ra fts .............................................
1,856.92
U. S. b on d s ...........................................
10,0 50 .0 0
O ther bonds and secu rities..............
2 03.30
B an kin g h ou se.*..................................
4 ,5 0 0.00
D ue from reserve ban ks...................
76,898.28
C urren cy .............
8 ,853.00
G old ..........................................................
2 45.00
S ilver ....................................
1 ,000.30

L IA B I L I T I E S
Capital s to ck ................................. r.....$ 2 5,0 00 .0 0
Certified surplus....................................
5,000.00
U n d ivid ed p rofits.................................
8 ,240.68
D ivid en ds u n p aid ........... ........
820.00
In d ivid u a l d e p o s it s ............................. 124,54 5 .0 4
C ertificates of deposit, tim e...... .
36,4 41 .1 5
C ashier’ s ch eck s............ .......................
205.99

Total deposits..............$162,012.18

Other

lia b ilitie s....................................

18.75

Total cash and Ex........ $80,996.58
O ther

396.75

resources.

.$ 2 00,271.61

T otal

T otal

.$200,271.61

AMITY
Clark County

B A N K OF A M IT Y
Charter No. 198. Date of Charter, November 30, 1905.

O fficers—W. C. Hays, President; G. W. Tolleson, Vice President; W. H. Olds, Cashier; B. W.

Fincher, Assistant Cashier.
D irectors— W. C. Hays, G. W. Tolleson, W. W. Watson, W. H. Olds, F. W. Murdock.

STATEMENT OF DECEMBER 31, 1921
RESOURCES
L IA B IL IT IE S
Capital s to ck ........................................ $ 25,0 00 .0 0
L oans and d iscou n ts.......................... $ 29 9 ,8 7 4 .0 2
L oans on real estate..........................
75,0 00 .0 0
C ertified surplus....................................
12,500.00
O verdrafts ............
906 .50
U n d ivid ed p rofits.................................
3,500.71
ills
Other bonds and secu rities....................................13,5B
81
.9 1 p a ya b le ......................................... 25,0 00 .0 0
F urnitu re and fixtures.......................
1,800.00
In d ivid u a l d ep osits............................. 2 24 ,14 0 .0 1
P u b lic fu n d s...........................................
567.51
B an k in g hou se......................................
3 ,150.00
C ertificates o f deposit, tim e......... 1 63 ,96 9 .2 7
O ther rea l estate.................................
1 ,377.70
Item s in tra n sit....................................
35.93
Total deposits ............$388,676.79
Cash item s.............................................
25.00
Due from reserve ban ks................... 4 8,9 70 .9 1
C urren cy ................................................
7,921.00
155.00
G old .....................................
S ilver .......................................................
1,588.52

Total cash and Ex.........$58,696.36
Other

resou rces....................................

T otal

291.01

.$ 454,677.50

Total

.$ 4 54,677.50

ARKADELPHIA
Clark County

ELK H O R N B A N K & TR U ST C O M P A N Y
Charter No. 142. Date of Charter, September 28, 1903.

O fficers— J. S. Cargile, President; R. B. F. Key, Vice President; Jno. J. Hardin, Vice President;

W. E. Barkman, Cashier; H- L. Petty, Assistant Cashier: A. P. Greene, Assistant Cashier.
D irectors—J. S. Cargile, R. B. F. Kev, Jno. J. Hardin, W. E. Barkman, R. H. Greene, J. W. Pat­

terson, Chas. Wallis, Jno. T. Daniels, Neill Sloan, D. Flanagin, Claude Phillips.
STATEMENT OF DECEMBER 31, 1921
•RESOU RCES
L oans and d iscou n ts.......................... $ 4 5 7 ,2 5 0 .1 1
L oans on real estate.......................... 1 79 ,33 5 .5 6
O verd rafts .............................................
33.50
9 ,500.00
U. S. b on d s.............................................
O ther bon d s and secu rities..... .'.......
6.0 6 7.47
F urnitu re and fixtures.....................
2 ,3 2 1.74
B an kin g h ou se......................................
8,480.00
Item s in tra n sit....... ...........................
47.00
Cash item s ...........................................
5,1 0 5.64
D ue from reserve ban ks................... 1 62,437.20
Checks on other ban ks.....................
3 ,439.13
C urren cy ................................................
16,482.00
G old ..........................................................
1,105.00
S ilv er ........................................................
2 ,971.12

L IA B IL IT IE S
Capital s to c k ........................................ $129 ,5 0 0 .0 0
Certified surplus............ ......................
30.0 00 .0 0
U nd ivid ed p rofits.................................
20,2 30 .9 3
S avings a ccou n ts................................. 302 ,80 5 .9 9
In d ivid u a l d ep osits............................ 308.43 9 .2 2
P u b lic fu n d s...........................................
34.4 57 .6 9
Due to n on -reserve b an k s................
58.35
33.320.21
C ertificates o f deposit, dem and....
C ertificates o f deposit, tim e...........
11,700.00
738.72
C ashier’ s ch eck s.................................

Total deposits..............$691,520.18

Total cash and Ex...... $191,587.09

O ther

resou rces....................................

T otal




1 6,6 75 .6 4

.$ 871,251.11

Total

.$871,251.11

33

S tate of A r k a n sa s

ARKADELPHIA
Clark County
M ERCHANTS & PLANTERS BANK
Charter N o. 341.

Date of Charter, June 15, 1911.

O fficers— Jas. G. Clark, President; Dougald 'McMillan, V ice President;
T . H. Ross, Assistant Cashier; L. McFarland, Assistant Cashier.

R. J. Dougan, Cashier;

D irectors— Jas. G. Clark, Dougald McMillan, R. J. Dougan, John H. McMillan, John B. Meador,
John B. Browne, Jack Ross, B. F. Condray, W . M . M oore.
STA T E M E N T O F DECEM BER 31, 1921
R ESO U R C E S
Loans and d iscou n ts.......................... $414 ,7 6 3 .3 5
Loans on real estate.......................... 20,0 00 .0 0
O verdrafts .....................
1,351.98
Other bonds arid securities..............
11,395.69
6,127.50
Furniture and fixtures................
B an king house......................................
18,000.00
Item s in transit........................
2,750.30
Cash item s......................................
156.70
Due from reserve ban ks..... .............
64,005.48
Checks on other ban ks...... ..............
4,104.60
7,507.00
C urrency ............................. ..................
G old ..................................................
1,680.00
S ilver ..................
1,656.85

L IA B IL IT IE S
Capital sto ck .......................................... $ 75,000.00
Certified s u r p lu s .................................
7,373.75
U ndivided p rofits............ .......,............ 23,0 41 .1 9
75,000.00
B ills p a ya b le........................................
Savings a ccou n ts............ ....................
89,1 56 .9 5
T rust fu n d s....... .....................................
71.51
Ind ivid u al d ep osits............................ 244,03 8 .0 6
228,84 0 .1 7
P u b lic fu n d s..... ..............
C ertificates o f deposit, tim e...........
10,070.13
C ashier’ s ch eck s..... ..............
972.69

Total deposits.............$373,149.51

Total cash and E x.........$81,860.93
Other

resou rces...................................

T otal

.........................

65.00
$553 ,5 6 4 .4 5

T otal

....................................... .......... $ 55 3 ,5 6 4 .4 5

ARKANSAS CITY
Desha County
DESH A BANK & TRUST C O M P A N Y
Charter N o. 132.

Date of Charter, July 2, 1903.

O fficers— H. Thane, President; Joe Demarke, V ice President; W . E. Thompson, Cashier; Mary
Howard, Assistant Cashier; J. H. Cotham, Assistant Cashier.
D irectors— H. Thane, Joe Demarke, W . E. Thompson, D._ A . Gates, G. W . Reese, Wm. M. Ogburn,
H. S. Roby.
S TA TE M E N T OF DECEM BER 31, 1921
R ESO U R C E S
Loans and discou n ts...................... $ 1,0 00 ,8 9 9 .5 4
Loans on real estate.......................
315 ,47 1 .6 6
Loans on cotton .............. ...............
58,600.00
O verdrafts ........................................
8,125.67
U. S. b on d s........................ ...............
102,400.00
Other bonds and secu rities........
96,6 24 .7 7
F urniture and fixtures..................
2 , 000.00
B an king house...................................
2 1 , 000.00
Other real estate..............................
1 02,094.61
Item s in tra n sit..............................
152.10
Due from non-reserve banks....
37,599.80
Cash item s..............................1______
13,632.08
Due from reserve ban ks............. .
8,549.89
C urren cy .................................... ......
4,883.00
G old ............ ....................... ...............
30.00
Silver ..................................................
2,622.59

L IA B I L I T I E S
Capital s to ck ................................ .....
Certified surplus............ .................
U ndivided p rofits............ ...............
B ills p a ya b le....................................
Notes red iscou n ted ...................... .
$B ills p ayable ‘ ‘ D ep osits on
w hich m ore than 4 per cent
interest is p a id ” .......................
Savings a ccou n ts..............................
In d ivid u a l d ep osits........... ..............
P u b lic fu n d s......................................
Certificates o f deposit, tim e......
C ashier’ s ch eck s..... .........................

111,436.45
40,7 72 .6 4
226,80 5 .1 6
2 72,195.34
1 24,774.14
3,733.47

Other lia b ilitie s............ ....................

82,697.66

Tct-l deposits..........$668,280.75

1 04 .00 0 . 00
1 52 .00 0 . 00
210.29
2 77.500.00
506,586.50

Total cash and Ex.... $67,469.46

Other resou rces...............................
Total

16,589.49
.$1,791,275.20

$This amount not added in totals.




T otal

.$1,791,275.20

34

R eport of B a n k

C o m m is s io n e r

ASHDOWN
Little River County
AR K AN SAS STATE BANK
Charter No. 453.'

Date of Charter, May 9, 1916.

O fficers— A. E. Waters, President; J. M. Sutton, Vice President; J. L. Martin, Cashier; C. M.

Sutton, Assistant Cashier.
D irectors-—A. E. Waters, A. D. DuLar.ey, J. M. Sutton, W. B. Prewitt, W. D. Waldrop, J. R.

Pietce, F. M. Graves, C. E.. Johnson, J. L. Martin.
STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
L oans and d iscou n ts.......................... $ 12 4 ,0 4 5 .4 5
L oans on real estate............................
79,2 13 .3 2
9 ,9 0 0.00
U . S. b o n d s...............
O ther bon d s and secu rities..............
6,5 2 0.73
F urnitu re and fixtures........................
1 ,700.00
Item s in tra n sit.................................... *
80.00
Cash item s...............................
379.60
D ue from reserve ban ks................... 18,6 39 .5 1
Checks on other ban ks...................
361.78
C urren cy
..........................................
6,1 0 6.00
G old ..........................................................
2 87.50
723.78
S ilv er .......................................................

L IA B IL IT IE S
C apital stock .........................................i
C ertified surplus .................................
U n d ivid ed profits ...............................
B ills p ayable .........................................
N otes red iscou n ted ............................
In d ivid u a l deposits ............................
P u b lic fun ds .........................................
C ertificates o f deposit, dem and....
C ash ier’ s checks ...............................

Total deposits................. $96,949.41
R eserv ed

fo r

taxes............................

2 5,0 00 .0 0
12.5 00 .0 0
735.22
9 7.4 00 .0 0
6 ,872.67
67,6 72 .9 9
11,692.50
16,204.42
1,379.50
8 ,500.37

Total cash and E x .......$26,578.17
T otal

.$2 4 7,95 7 .6 7

Total

$ 24 7 ,9 5 7 .6 7

ASH FLAT
Sharp County
BAN K OF ASH F LAT
Charter No. 369.

Date of Charter, February 20, 1912.

O fficers— R. E. Semple, President; J. M. Causbie, Vice President; C. W. Wilson, Cashier; S. P.

Wilson, Assistant Cashier.
D irectors— R. E. Semple, J. P. Hardin, J. M. Causbie, B. F. Ritchie, W. T. McJunkins, C. W.

Wilson.
STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts..........................$ 19,061.31
13,7 25 .8 0
L oans on real estate..........................
O verd ra fts .............................................
23.40
U . S. B on d s...........................................
300.00
F u rn itu re a n d fixtures.....................
1,800.00
B an kin g h ou se......................................
350.00
O ther real estate.................................
700.00
Cash item s.....................
45.00
D ue from reserve banks...................
10,2 40 .1 6
C hecks on other ban ks...................
115.06
C urren cy ................................................
498.00
G old ..........................................................
315.00
S ilv er .......................................................
55.78

L IA B I L I T I E S
C apital S to ck .........................................$
5,000.00
Certified surplus....................................
1,200.00
U n d ivid ed p rofits.................................
618.73
Ind ivid u al d ep osits............................
34,8 59 .8 8
C ertificates o f deposit, tim e.........
5,550.90

Total deposits................. $40,410.78

Total cash and E x......... $11,269.00
T o ta l

..................... ;............................$ 4 7,2 29 .5 1




T otal

.................................................. $ 4 7,2 29 .5 1

35

S tate of A r k a n s a s

ATKINS
Polk County
B A N K O F A T K IN S
Charter No. 35.

Date of Charter, September 19, 1895.

O fficers— J. M. -Barker, President; Ira Darr, Vice President; J. M. Barker, Jr., Assistant Cashier;

D. L. Barker, Assistant Cashier; C. A. Barker, Assistant Cashier.
D irectors— J. M. Barker, Ira Darr, J. E. Darr, W. M. Lemley, D. L. Jordan, C. Bell.

STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
Loans .and d iscou n ts.......................... $279 ,9 0 7 .5 2
Loans on real estate.......................... 107,144.99
L oans on cotton .................................... 61,5 06 .5 1
157.09
O verdrafts ...... ,.....................................
O ther bonds and secu rities.............. 23,7 62 .6 4
F urnitu re and fixtures.......................
3,599.82
Due front reserve banks................... 56,245.18
392.21
Checks on other banks.....................
C urrency ................. r............................
8,808.00
G old ................
1 ,732.50
S ilver ..............
584.46

Total cash and Ex........ $67,762.35
Other

resou rces...................................

T otal

L IA B I L I T I E S
Capital s to ck ........................................ $ 50,000.00
Certified surplus.................................... 50,000.00
U ndified p rofits.................................... 30,572.52
B ills p a ya b le..........................................
75,000.00
JBills payable “ D eposits on w hich
m ore than 4 p er cent interest
is p a id ’ ’ ........................................
4 2,5 53 .4 4
D ividen ds u n paid.................................
5,000.00
In d ivid u a l d ep osits....................
239 ,57 0 .0 7
P u b lic fu n d s...........................................
69,2 12 .8 4
Certificates o f deposit, dem and.... 24,6 30 .9 6

Total deposits...............$338,413.87
2,746.83

.................................................. $ 54 6 ,5 8 7 .7 5

R eserved fo r
T otal

tax es............................

2 ,601.36

.................................................. $546 ,5 8 7 .7 5

$This amount not added in totals.

ATKINS
Polk County
M ER CH AN TS & FARM ERS BANK
Charter No. 137.

Date of Charter, August 3, 1903.

O fficers— A. J. McCollum, President; W. A. Montgomery, Vice President; O. H. McCollum, Cashier.
D irectors— A. J. McCollum, W. A. Montgomery, O. H. McCollum.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts.......................... $124 ,1 3 2 .0 3
Loans on real estate..........................
13,398.16
O verdrafts ............................................. * 1,096.24
U. S. b on d s.............................................
17,8 07 .0 2
F urnitu re and fixtures.......................
1,850.00
B an king hou se......................................
2,350.00
Due from reserve banks...................
66,783.11
Checks on other banks...................
427.93
Currency ................................................ 12,959.00
G old .........................................................
1,310.00
S ilver ..................
2,191.28

L IA B I L I T I E S
Capital s to ck ........................................ $ 10,000.00
Certified surplus.................................... 10,000.00
U ndivided p rofits.................................
11,680.71
In d ivid u a l d ep osits............................ 147,479.95
P u b lic fu n d s...........................................
2,118.63^
C ertificates o f deposit, tim e..... — 6 3,0 25 .4 8

Total deposits...............$212,624.06

Total cash and E x......... $83,671.32
T otal




$244 ,3 0 4 .7 7

T otal

$ 244,304.77

36

R eport of B a n k

C o m m is s io n e r

AUGUSTA
Woodruff County
BANK OF A U G U ST A & TRUST C O M P A N Y
Charter No. 24.

Date of Charter, February 7, 1891.

O fficers—J. F. Summers, President; W. M. Sale, Vice President; A. H. Hamilton, Cashier; E. E.

Blalock, Assistant Cashier.
D icectors— J. H. Snapp, W. M. Sale, J. F. Summers. J. H. Dale, C. S. Airheart, W. C. Berry.

T. E. Stanley, W. L. Banks, J. H. Stanley, A. H. Hamilton.
STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts.......................... $ 16 1 ,6 2 6 .1 3
L oans on real estate..........................
70,8 20 .5 6
6 ,2 5 0.00
L oans on cotton ...................................
U . S. b on d s ...........................................
2 5,2 00 .0 0
O ther bonds and securities..............
6,841.36
Other real estate.................................
7,500.00
Item s in tra n sit....................................
3 ,294.00
Cash item s.............................................
70.73
D ue from reserve ban ks................... 139 ,84 2 .7 6
Checks on other ban ks ............r .............
22.90
10,5 73 .0 0
C urren cy ..............................
G old ..........................................................
600.00
S ilv er .......................................................
5 ,216.40

L IA B IL IT IE S
Capital s to c k ............................ ............$ 50,0 00 .0 0
Certified surplus.................................... 2 5,0 00 .0 0
U ndivided p rofits—..............................
10,946.01
T ru st fu n d s...................... .............—...
1,200.00
In d ivid u a l d ep osits............................ 2 88 ,57 7 .0 8
P u b lic fu n d s...........................................
3 8,7 47 .4 4
C ertificates o f deposit, tim e.........
25,3 87 .3 1

Total deposits...............$353,911.83

Total cash and E x.... $159,619.79
O ther

resou rces....................................

T otal

2 ,0 0 0.00
$ 43 9 ,8 5 7 .8 4

T otal

.$439,857.84

AUGUSTA
Woodruff County
W OODRUFF CO U N TY BANK
Charter No. 63.
O fficers— T. E. Bonner, President;

Date of Charter, November 15, 1900.
R. T. Harville, Vice President; J. C. McDonald, Cashier.

D irectors— T. E. Bonner, W. N. Gregory, R. H. Winfield, J. C. McDonald, R. T. Harville.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts.................. ......... $ 51,8 46 .4 5
L oans on real estate........................ 2 4,5 43 .0 0
L oans on co tto n ......................
2 ,409.63
O verd rafts '.............................................
71.87
U. S. b o n d s ..............................
5 ,000.00
Other bonds and secu rities..............
14,136.36
F urnitu re and fixtures........................
1,257.50
B an kin g h ou se....... ..............................
3 ,000.00
Item s in tra n sit..... ..............................
197.08
Cash item s.............................................
370.20
D ue from reserve ban ks................... 2 24 ,55 5 .7 4
C urren cy ................................................
18,818.00
G old ........................................................ "
160.00
S ilv er ........................
2,680.31

L IA B IL IT IE S
Capital stock ...........................................$ 4 0,000.00
Certified surplu s.............................
30,000.00
U n divided profits.................................
18,566.83
In d ivid u al d eposits....................
2 59 ,13 2 .1 6
C ertificates of deposit, tim e—.....
1,347.15

Total deposits.............. $260,479.31

Total cash and Ex...... $246,781.33
T otal

.................................................. $ 3 4 9 ,0 4 6 .1 4




T otal

.................................................. $ 34 9 ,0 4 6 .1 4

37

S tate of A r k a n sa s

BALD KNOB
W hite County
BALD KNOB STATE BANK
Charter No. 171.

Date of Charter, November 14, 1904.

O fficers— T. J. Campbell, President;

J. W. Coombe, Vice President; E. R. Wynne, Cashier;
G. W. Lamar, Assistant Cashier; T. W. Leggett, Assistant Cashier.

D irectors— T. J. Campbell, J. W. Coombe, W. H. Davidson,, E. R. Wynn, J. Collison, Geo. B.

Coleman, B. J. Parham.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and discou n ts..........................:
L oans on real estate..........................
Loans on cotton .................................
U. S. b on d s.............................................
F urnitu re and fixtures.......................
B an king house.....................................
Other real estate.................................
D ue from reserve ban ks...................
C urrency ................................................
G old .........................................................
S ilv er .......................................................

83,356.82
78,442.99
500.00
140.00
1.475.00
3.680.00
2 .800.00
24,8 38 .1 7
5,587.00
740.00
2 ,439.85

Total cash and E x......... $33,605.02
O ther

resou rces...................................

T otal

L IA B IL IT IE S
Capital s to ck ........................................ $ 15,000.00
Certified surplus........................... :.......
16,000.00
U ndivided p rofits.................................
2,350.80
In d ivid u a l d ep osits............................ 135,18 9 .3 4
P u b lic fu n d s...........................................
8,000.00
Certificates o f deposit, tim e...........
2 8,0 65 .7 1
1,008.58
C ashier’ s ch eck s.................................

Total deposits...............$172,263.63

1,614.60
$ 20 5 ,6 1 4 .4 3

T otal

.$205,614.43

BANKS
Bradley County
BAN K OF BANKS
Charter No. 502.

Date of Charter, December 27,, 1919.

O fficers— A. B. Banks, President; R. M. Childs, Vice President; Lewis K. Taylor, Cashier.
D irectors—A. B. Banks, R. .M. Childs, Lewis K. Taylor, G. L. Wilson, J. W. McCann, D. P.

Bratton, Guy Stephenson.
STATEMENT OF DECEMBER 31. 1921
R ESO U R C E S
L oa n s and d iscou n ts..........................$ 16,161.32
L oa n s on real estate.......................
14,904.70
Loans on cotton ....................................
5,387.78
U . S. b on d s.............................................
43.50
O ther bonds and secu rities..:..........
5 3 2 .DO
F urnitu re and fixtures........................
2,700.00
B an king house......................................
2,000.00
Item s in tra n sit....................................
230.84
. Due from non -reserve b&nks.........
29.36
D u e from reserve ban ks...................
2 ,434.81
C urrency ................................................
4,4 7 2.00
G old .........................................................
65.00
S ilver .......................................................
297.77

L IA B I L I T I E S
Capital s to ck ........................................ $ 10,000.00
Certified surp lus...................................
1,200.00
U ndivided p rofits.................................
250.91
B ills p a ya b le.........................................
5 ,076.64
Savings a ccou n ts.................................
5,562.31
D ivid en ds un p aid.................................
700.00
In d ivid u a l d ep osits............................
20,5 63 .6 1
P u b lic fu n d s...........................................
45.9 1
Due to non reserve b an ks...................
1,500.00
Certificates o f deposit, tim e..............
4 ,0 3 8.46
C ashier’ s ch eck s.................................
3 54.24

Total deposits................. $32,764.53

Total cash and E x........... $7,529.78
O th er

resou rces....................................

T otal

33.00

..... ' .............................................$49,29 2 .0 8




T otal

.....................................................$ 49,292.08

38

R eport of B a n k

C o m m is s io n e r

BATESVILLE
Independence County
C IT IZ E N S B A N K & T R U S T C O M P A N Y
Charter No. 304.

Date of Charter, March 30, 1910.

O fficers— T. J. Walbert, President; W. P. Jones, Vice President; H. M. Kennerly, Cashier; Ben

Jernigan, Assistant Cashier.
D irectors— T. J. Walbert, W. P. Jones, I. N. Barnett, H. C. Wade, C. F. Cole, .J. E. Sherrill,

J. M. Gray, L. F. Reeder, Chas. W. Barnett.
STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
Loans and' d iscou n ts.......................... $ 28 9 ,4 1 6 .8 8
L oans on real estate.........................
66,7 65 .8 9
L oans on co tto n ...................................
15,576.58
O verdrafts ......
3,376.18
U. S. b o n d s.......................
9 0,4 80 .9 1
O ther bonds and secu rities..........
24,6 09 .5 9
F urnitu re and fixtures....................
9 ,329.85
B an kin g hou se..........................
2,641.13
Item s in tra n sit...................................
63.50
Due from non-reserve ban ks...........
4 0,3 24 .2 8
Cash item s...............
173.48
D ue from reserve ban ks...................
17,838.37
C hecks on other ban ks.....................
2,8 2 8.67
C urrency ...............
10,822.00
G old ..........................................................
587.50
S ilver ......................
3 ,463.39

L IA B I L I T I E S
C apital stock ...................................... $ 5 0 .0 0 0 .
00
Certified surplus....................................
20 . 000 .
00
U n d ivid ed p rofits..... ...........................
2 .371.11
B ills p a ya b le .......................................... 1 11,080.00
Notes red iscou n ted ..............................
10,5 48 .4 0
Savings a ccou n ts................. ...............
42,4 72 .3 3
T ru st fu n d s...........................................
2 ,279.90
D ivid en ds U npaid...............................
2,500.00
In d ivid u a l d ep osits............................ 211 ,95 7 .3 0
11,4 09 .9 5
P u b lic fu n d s...........................................
Due to n on -reserve b an k s................
13,805.73
39,3 94 .5 2
C ertificates of deposit, tim e.........
5.432.12
C ash ier's ch eck s.................................

Total deposits...............$329,251.85
Other

lia b ilitie s....................................

55,5 00 .0 0

Total cash and E x.........$76,101.19
Other

453 .16

resources.

.$57 8,75 1 .3 6

T otal

.$ 5 78,751.36

T otal

BATESVILLE
Independence County
U N IO N

BAN K & TRUST CO M P AN Y

Charter No. 329.

Date of Charter, January 6, 1911.

O fficers—D. D. Adams, President; Samuel M. Casey, Vice President; J. C. Fitzhugh, Vice Presi­

dent; J. C. Hail, Vice President; C. D. Metcalf, Cashier; E. A. Hodges, Assistant Cashier;
J. H. Kennard, Assistant Cashier; M. S. Kennard, Assistant Cashier.
D irectors—D. D. Adams, J. C. Fitzhugh, C. D. Metcalf, C. W. Maxfield, John W. Glenn, Samual

M. Casey, J. C. Hail, C. C. Fitzhugh, Milton Stokes.
STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts......................... $ 40 3 ,6 8 4 .8 2
L oans on real estate..........................
4 4,0 26 .0 2
L oans on cotton ..............................
150 ,52 5 .4 2
O verd ra fts .............................................
389.56
U. S. b on d s ........................................... 3 86 ,35 0 .0 0
O ther bonds and securities.............. 4 0,5 04 .2 5
F u rn itu re and fixtures.....................
7,625.25
O ther real estate..........................
850.00
Item s in tra n sit..................................
3 ,0 3 1.07
Due from n on -reserve b an k s......
70,872.68
Cash item s.............................................
3,9 2 8.71
D ue from reserve banks................... 4 5,8 67 .7 1
Checks on other banks.....................
4 ,3 2 8.27
C urren cy .....................
13,4 92 .0 0
G old ..........................................................
13.50
S ilv er .............................................
1,681.02

L IA B I L I T I E S
Capital s to ck .........................................$ 10 0 ,0 0 0 .0 0
C ertified surplus....................................
16,000.00
B ills p a y a b le ........................................... 2 5 0 ,00 0 .0 0
S avings a ccou n ts...............................
51,3 51 .8 4
T ru st fu n d s...........................................
709.58
D ividen ds un p aid ............................
5,050.00
In d ivid u a l d ep osits............................... 230,73 5 .8 9
P u b lic fu n ds...........................................
4,5 0 0.00
D ue to n on -reserve b an ks.................. 214,32 1 .0 1
C ertificates o f deposit, tim e..............
83,730.30
C ashier’ s ch eck s....... —......................
9 ,4 0 5.97

Total deposits...............$599,804.59

Other

lia b ilitie s.................................... 2 1 1 ,36 5 .6 9

Total cash and E x.......$143,214.96
T otal




.....$ 1,1 77 ,1 7 0 .2 8

T otal

.$1 ,1 7 7,17 0 .2 8

39

S ta te of A r k a n s a s

BAUXITE
Saline County

B A N K O F B A U X IT E
Charter No. 224. Date of Charter, December 4, 1906.

O fficers— A. B. Banks. President; Jno. E. Parsons, Vice President; S. H. Pace, Cashier; Leona

Rucker, Assistant Cashier.
D irectors— A. B. Banks, Vann M. Howell, Jno. E. Parsons, J. F. Gibbons, C. C. Brazil.

STATEMENT OF DECEMBER 31, 1921
R ESO U R CE S
Loans and d iscou n ts..........................$ 94,414.62
Loans on real estate.......................... 25,395.00
280.75
O verdrafts .............................................
775.74
Other bonds and secu rities..............
F urniture and fixtures.......................
3,433.40
B an king house......................................
2,700.00
Due from reserve ban ks................... 15,853.49
C urrency ................................................
2,417.00
G old .........................................................
110.00
549.58
S ilver ................................... :..................

L IA B IL IT IE S
Capital s to c k ........................................ !
Certified surplus...... .............................
U ndivided profits.................................
B ills p a ya b le........................................
Savings a cco u n ts.................................
Ind ivid u al d ep osits............................
P u b lic fu n ds...........................................
Certificates of deposit, tim e...........
C ashier’ s ch eck s.................................

2 0 , 000.00
2 , 000.00
5.86
39,850.00
4 ,072.27
49,9 14 .8 0
5,523.87
21,527.15
3,035.63

Total deposits................. $84,073.72

Total cash and E x.........$18,930.07
$ 14 5 ,9 2 9 .5 8

Total

Total

$145 ,9 2 9 .5 8

BAY
Craighead County

FARM ERS BAN K OF B A Y
Charter No. 469. Date of Charter, November 5, 1917.

O fficers— A. B. Womack, President; C. J. Perry, Vice President; W. H. Lohnes, Cashier.
D irectors— A. B. Womack, S. T. Ray, W. H. Lohnes, C. J. Perry, O. V. Smith.

STATEMENT OF DECEMBER 31. 1921
R E SO U R C E S
Loans and discou n ts............................ $44 ,05 6 .1 4
2,350.00
Lqans on real estate............................
O verdrafts ................................................
235.14
F urniture and fixtures.......................... 2,370.46
B anking hou se........................................
2,071.63
Due from reserve ban ks................... 13,702.99
C urrency .............
1,643.00
S ilver .....................................
584.15

L IA B I L I T I E S
$ 15,000.00
Capital stock*._____ _______
Certified surplus......................................
5,000.00
U ndivided p rofits............ ......................
643.15
In d ivid u a l d ep osits.......................
36,987.53
Certificates o f deposit, tim e.............
6,380.37

Total deposits................. $43,367.90
Other

lia b ilitie s......................................

3 ,002.46

Total cash and E x.........$15,930.14
$67 ,01 3 .5 1

Total

Total

$67 ,01 3 .5 1

BEARDEN
Ouachita County

FARM ERS & M ERCHANTS BANK
Charter No. 400. Date of Charter, January 17, 1913.

O fficers—W. C. Ribenack, President; W. M. Gatling, Jr., Vice President; W. O. J. Gatling, Vice

President; A. F. Jordan, Vice President; E. S. Rodman, Cashier; Harry C. Erwin, Assistant
Cashier.
D irectors— E. J. Byrd, W. H. Dickenson, W. M. Gatling, Jr., W. O. J. Gatling, H. H. Henry,
A. F. Jordan, J. W. Mitchell, W. C. Ribenack, Tom A. Sloan.
STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
Loans and d iscou n ts.......................... $ 15 4 ,3 7 5 .6 6
Loans on real estate..........................
32,250.00
Loans on co tto n ..........................
1,000.00
O verdrafts .............................................
635.80
IT. S. b on d s.............................................
7,000.00
B onds to secure postal savings....
1,000.00
Other bonds and secu rities...........
5,572.98
F urniture and fixtures..................
2 ,000.00
B an king house......................................
5,400.00
Cash item s..................
1,584.16
Due from reserve ban ks................... 64,236.33
C urrency ................................................ 18,255.00
G old .........................................................
535.00
S ilver .............................. „ .....................
1,519.26

L IA B IL IT IE S
Capital s to ck ...........................................$ 20,000.00
Certified surplus....................................
5,000.00
1,152.09
U ndivided p rofits.................................
D ividen ds un p aid .................................
547.65
In d ivid u a l d ep osits............................ 1 99 ,43 6 .5 6
P u b lic fu n d s............................. „ ..........
3,015.36
Certificates o f deposit, tim e......... .
65,159.42
C ashier’ s ch eck s................„ .........
1,053.11

Total deposits.............. $269,212.10

Total cash and E x......... $86,129.75
Total




.$295,364.19

Total

$ 295,364.19

40

R eport of B a n k

C o m m is s io n e r

BEEBE
W hite County
C I T IZ E N S B A N K
Charter No. 465.

Date of Charter, June 21, 1917.

O fficers— E. H. Abington, President; J. R. Sloan, Vice President; G. C. Johnston, Cashier; Cleo

Watson, Assistant Cashier.
D irectors—W. H. Abington, John P. Williams, B. F. Lewis, J. R. Sloan, E. H. Abington.

STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
L oans and d iscou n ts..........................!
L oans on real estate...... ...................
O verd ra fts .............................................
U. S. b on d s.............................................
O ther bon d s and secu rities..............
F urnitu re and fixtures.......................
B an kin g hou se......................................
Item s in tra n sit....................................
Cash item s................................................
D ue from reserv e banks................
C urren cy ................................................
G old ..........................................................
S ilv er .......................................................

Total cash and Ex.........$65,305.17
T otal

,
5 7,6 51 .3 8
3 0,6 26 .6 2
7.71
11,3 10 .8 5
6,526.73
1,440.00
2 , 000.00
20.00
51.51
50,336.52
12,7 28 .0 0
2 20.00
1,9 4 9.14

.$ 1 7 4,86 8 .4 6

L IA B IL IT IE S
Capital s to ck ........................................ ! i 10,000.00
Certified surplus....................................
6 , 0 0 0 .0 0
U ndivided profits....................... .........
5,453.71
In d ivid u a l d ep osits............................ 1 31,030.21
8,257.39
P u b lic fu n d s...........................................
C ertificates o f deposit, tim e.........
10,447.36
C ash ier’ s ch eck s.................................
1,733.93

Total deposits..............$151,468.89
Other

lia b ilitie s....................................

T otal

1 ,945.86

.$ 1 74,868.46

BELLEVILLE
Y e ll County
B E L L E V IL L E B A N K
Charter No. 176.

Date of Charter, January 6, 1905.

O fficers— H. W. Melton, President; John Grace, Vice President; R. A. White, Cashier; J. E. Page,

Assistant Cashier.
D irectors— H. W. Melton, H. J. White, T. B. Buckman.

STATEMENT OF DECEMBER 31, 1921
RESOURCES
L oans and d iscou n ts.............................$ 16 ,77 8 .8 2
L oans on real estate............................. 10,170.32
L oans on co tto n ......................................
3,5 0 0.00
O verd rafts ................................................
1 ,3 6 3.74
O ther bon d s and secu rities................
1,228.50
F urnitu re and fixtures........................ 1,6 9 0.00
Cash item s................................................
50.89
D ue from reserve ban k s.....................
3 ,6 0 4.66
C u rren cy ..................................................
2 ,5 7 8.00
S ilv er ..........................................................
550.05

Total cash and Ex...........$6,783.60
T ota l

.....................................................$ 41 ,51 4 .9 8




L IA B IL IT IE S
Capital s to ck ........................................... $ 10 ,00 0 .0 0
C ertified surplus....................................
1 ,025.00
U n divided p rofits....•...............................
500.42
B ills p a ya b le...........................................
1 ,500.00
In d ivid u a l d ep osits............................... 21,3 46 .1 3
P u b lic fu n d s............ ................................
263 .84
C ertificates o f deposit, tim e.............. 2,1 6 8.00
C ashier’ s ch e ck s....................................
151.40

Total deposits................ $23,929.37
O ther

lia b ilitie s......................................

T ota l

4 ,5 6 0.19

.....................................................$ 41 ,51 4 .9 8

41

S tate of A r k a n sa s

BENTON
Saline County
BAN K OF B EN TO N
Charter No. 355.

Date of Charter, November 1, 1911.

O fficers— A. B. Banks, Presideht; W. E. Carson, Vice President; J. O. Lokey, Vice President;

L. S. Goodman, Cashier; Harry Thompson, Assistant Cashier.
D irectors—A. B. Banks, W. E. Carson, J. O. Lokey, Vann M. Howell.

STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
Loans and d iscounts.............. $181 ,7 6 2 .4 8
45,7 00 .0 0
Loans on real estate..............
U. S. b on d s...............................
550.00
B onds to secure postal savings....
4,0 0 0.00
Other bonds and secu rities.............. 14,455.68
F urniture and fixtures........................
4 ,000.00
B an king house........-.............................
12,500.00
Other real estate.................................
917.00
2,921.85
Cash item s............... _ ..........................
D ue from reserve ban ks..................
12,730.65
_ Checks on other ban ks.......................
236.43
C urrency ................................................
3,472.00
G old .........................................................
12.50
S ilver ..............................
2,623.58

L IA B IL IT IE S
Capital s to ck ...........................................$ 50,000.00
Certified surplus....................................
7,000.00
B ills p a ya b le......................................... 74,500.00
220.55
Savings a ccou n ts.................................
P osta l savings a cco u n ts...................
3 ,321.86
In d ivid u a l d ep osits............................ 106,907.83
P u b lic fu n d s...........................................
17,661.77
Certificates o f deposit, tim e.............
38,666.98
C ash ier’ s ch eck s....................................
473.85

Total deposits...............$167,252.84

Total cash and Ex........ $21,997.01

Other
T otal

resou rces...................................

12,870.67

.................................................. $ 29 8 ,7 5 2 .8 4

T otal

.................................................. $ 29 8 ,7 5 2 .8 4

BENTONVILLE
Benton County
F IR S T S T A T E B A N K
Charter No. 286.

Date of Charter, September 10, 1909.

O fficers— J. R. Rice, President; D. R. Dickson, Vice President; E .-R . Berry, Cashier.
D irectors—D. W. Peel, W. E. Jackson, D. R. Dickson, E. C. Pickens, E. R. Berry, J. R. Rice.

STATEMENT OF DECEMBER 31, 1921
RESOURCES
Loans and d iscou n ts..........................$ 51,359.22
Loans on real estate..........................
6,602.00
O verdrafts .............................................
57.30
tj. S. b on d s.............................................
8,643.09
Other bonds and secu rities..............
4 ,912.42
Due from non-reserve b an ks...........
21,9 71 .6 5
Due from reserve ban ks................... 30,0 16 .2 2
Checks on other ban ks...................
677.72
C urrency ...............................................
2,169.00
-Gold .........................................................
270.00
S ilv er .......................................................
318.35

L IA B IL IT IE S
Capital stock ........................................ !
Certified surplus....................................
U ndivided p rofits............................ .
In d ivid u a l d ep osits............................
P u b lic fu n d s...........................................
C ertificates o f deposit, dem and....

10,000.00
2,000.00
3,209.08
22,718.73
85,048.16
4,021.00

Total deposits...............$111,787.89

Total cash and E x.........$55,422.94
Total




.$126,996.97

Total

.$ 1 26,996.97

42

R eport of B a n k

C o m m is s io n e r

BERRYVILLE
Carroll County

PEOPLES B A N K '
Charter No. 159. Date of Charter, June 22, 1904.

O fficers— J. E. Reynolds, President; C. D. Wall, Vice President;

Ras Stamps, Cashier; J. E.

Grayson, Assistant Cashier.
D irectors— A. S. Bobo, R. D. Boatright, W. J. Bunch, J. B. Brown.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
Loans and d iscou n ts.................. .$ 1 3 2 ,5 7 8 .3 7
Loans on real estate........................
6 ,450.00
O verd rafts .............................................
242.95
4 ,3 6 2.37
Other bonds and securities.......... .
’ F urnitu re and fixtures.....................
3 ,000.00
B an king hou se......................................
3 ,300.00
Item s in tra n sit....................................
23.00
Cash item s.............................................
151.22
D ue from reserve ban ks................... 19,7 95 .1 1
C hecks on other ban ks.....................
1,530.50
C urren cy ................................................
6,460.00
697.50
G old ............................................
S ilvei .......................................................
1,996.50

L IA B I L I T I E S
Capital s to ck ........................................... !
Certified surplus...................................
U nd ivid ed p rofits.................................
B ills p a ya b le.........................................
B ills p ayable “ D eposits on w hich
m ore than 4 per cent interest
is p a id ’ ’ —.....................................
In d ivid u a l d ep osits............................
P u b lic fu n d s....................................... .
C ertificates o f deposit, tim e...........

Total deposits..............$127,643.04

2 5.0 00 .

1,744.48
2 0 .0 0 0 .
00
22.7 64 .1 4
74,542.65
24.7 64 .1 4
28,336.25

Total cash and Ex.........$30,653.'83
T otal

.............................................. ...$ 1 8 0 ,3 8 7 .5 2

T otal

$ 180,387.52

JThis am ount not added in totals.

BIGGERS
Randolph County

B A N K O F B IG G E R S
Charter No. 145. Date of Charter, October 31, 1903.

O fficers— Tom Bigger, President; S. F. Harrison, Vice President; J. S. Riley, Vice President;

E. C. Whittington, Cashier;' Harry Whittington, Assistant Cashier.
D irectors— Tom Bigger, Ida J. Bigger, S. F. Harrison, Harry Hite, J. S. Riley.

STATEMENT OF DECEMBER 31. 1921
R ESO U R C E S
L oans and d iscou n ts......................... $ 37,3 46 .0 6
U. S. b on d s .............................................
4 ,7 5 0.00
2,6 6 1.50
Other bonds and secu rities..............
F urnitu re auid fixtures.......................
800.00
B an king h ou se......................................
2,0 0 0.00
D ue from n on -reserve b an ks.........
14,4 98 .9 6
Cash item s..-.........................................
207.82
D ue from reserve ban ks................... 2 6,1 28 .3 9
C urren cy ...........................
2 ,7 9 3.00
S ilv er .........
667.41

L IA B IL IT IE S
Capital s to ck .........................................$ 20,000.00
Certified surplus....................................
8,800.00
2,063.38
U nd ivid ed p rofits...............................
In d ivid u a l deposits .............................
58,929.65
Certificates o f deposit, tim e.........
2,000.00
C ash ier’ s ch e ck s....................................
60.11

Total deposits ..............$60,989.76

Total cash and Ex.........$44,295.58

$ 9 2 ,8 5 3 .1 4

T otal

T otal

.$92,853.14

BISGOE
Prairie County

B A N K OF1 B IS C O E
Charter No. 503. Date of Charter, December 30, 1919.

O fficers—Ben F. Scroggin, President; Chas. Betzner, Vice President; E. O. Hamilton, Cashier.
D irectors— Ben F. Scroggin, Chas. Betzner, E. O. Hamilton, C. C. Betzner, W. O. Scroggin.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts..........................$ 42,9 80 .1 8
L oans on real estate..........................
573.25
L oans on cotton .................................
3 9,0 00 .0 0
O verd rafts .............................................
70.64
O ther bonds and secu rities...........
2 ,0 2 4.70
F urnitu re and fixtures.....................
410 .67
D ue from reserve ban ks...................
12,411.43
Checks on other ban ks.....................
175.58
C urren cy ................................................
1,887.00
G old ..........................................................
30.00
S ilv er .......................................................
521.25

L IA B I L I T I E S
Capital s to c k ........................................ $ 10,000.00
Certified surplus.................................
1,100.00
U nd ivid ed p rofits.................................
1,048.24
B ills p a ya b le ......................................... 39,000.00
In d ivid u a l d ep osits..........................
43,5 90 .6 1
C ertificates o f deposit, dem and-...
335.85
C ash ier’ s ch e ck s.................................
5,010.00

Total deposits................ $48,936.46

Total cash and Ex........ $15,025.26
T otal




.$100,084.70

T otal

00

6 , 0 0 0 .0 0

.$100,084.70

43

S tate of A r k a n sa s

BLACK OAK
Craighead County
BANK OF BLACK OAK
Charter No. 383.

Date of Charter, July 18, 1912.

O fficers— P. C. Barton, President; C. B. llarnett, Vice President; E. Q. Hyde, Cashier.
.D irectors— P. C. Barton, C. B. Barnett, R.^ M. Barrett, E. Q. Hyde, T. M. Merritt.

STATEMENT OF DECEMBER 31. 1921
R ESO U R CE S
Loans and discou n ts.............................$ 48 ,43 7 .6 7
O verdrafts ................................................
376.43
F urnitu re and fixtures.......................
1,287.54
1,603.80
B an king house........................................
Cash item s..................................................
74.00
D ue from reserve banks......................
1,564.16
C urrency ..................................................
4 ,006.00
G old ............................................................
85.00
813.43
S ilver .........................................................

LIABILITIES
Capital s to ck ........... ............................... $10,00 0 .0 0
Certified surplus.................................... 6,500.00
B ills p a ya b le..... .....................................
5,000.00
Ind ivid u al d ep osits............................... 36,236.70
Certificates o f deposit, tim e..............
1,211.50

Total deposits................ $37,448.20

Total cash and Ex.........$6,542.59

Other

resou rces......................................

T otal

700.17

.................................................... $58 ,94 8 .2 0

T otal

.....................................................$58 ,94 8 .2 0

BLEVINS
Hempstead County
B A N K O F B E L V IN S
Charter No. 385.

Date of Charter, August 12, 1912.

O fficers— P. C. Stephens, President; H. M. Stephens, Vice President; P. C. Stephens, Jr., Cashier.
D'irA

tors— P.

C. Stephens, H. M. Stephens, P. C. Stephens, Jr.
STATEMENT OF DECEMBER '31, 1921
RESOURCES

L oans and d iscou n ts..........................$ 57,621.51
L oans on real estate....................
11,268.30
O verdrafts .............................................
35.29
U. S. b on d s........................................... 22,0 00 .0 0
Other bonds and secu rities..............
381.20
Furniture and fixtures........................
2 ,000.00
B an king hou se......................................
3,000.00
Due from reserve ban ks...................
6,1^6.30
Checks on other ban ks........... v...........
310.30
Currency ................................................
1,822.00
G old .........................................................
105.00
S ilver .......................................................
675.54

L IA B I L I T I E S
Capital s to ck ........................................ $
Certified surplus....................................
U nd ivid ed p rofits.................................
B ills p a ya b le.........................................
In d ivid u a l d ep osits............................
P u b lic fu n d s................ - ........................
C ertificates o f deposit, tim e.........
C ashier’ s ch eck s.................................

Total deposits................ $53,101.52

Other

lia b ilitie s....................................

21,1 50 .0 0
5 ,000.00
1,309.21
25,0 00 .0 0
29.901.68
5,196.38
17,835.37
168.09
64.71

Total cash and Ex...........$9,049.14

Other

resou rces....................................

T otal

2 70.00

.................................................. $ 1 0 5 ,6 2 5 .4 4




T otal

.................................................. $ 1 0 5 ,6 2 5 .4 4

44

R eport of B a n k

C o m m is s io n e r

BLYTHEVILLE
Mississippi County
FARM ERS BANK & TRUST C O M P A N Y
Charter No. 253.

Date of Charter, March 16, 1908.

O fficers— B. F. Gay, President; Herman Cross, Vice President; C. W. Hogan, Cashier; F. E.

Warren, Assistant Cashier.
D irectors—B. F. Gay, Herman Cross, W. W. Hollipeter, A. C. Lange, Will Pyles.

STATEMENT OF DECEMBER 31. 1921

RESOURCES

LIABILITIES

Loans and discounts....................... $375,378.89
C apital s to c k ........................................ $ 50,0 00 .0 0
Loans on real estate....................... 187,356.58
Certified surplus....................................
50,000.00
Loans on cotton................................. 60,639.33
U n d ivid ed p rofits..............:..................
1,794.43
Overdrafts ..........................................
14.64 _ B ills p a ya b le......................................... 1 63 ,64 9 .2 7
N otes red iscou n ted ...............................
U. S. bonds.........................................
600.00
3 2,3 80 .0 0
Other bonds and securities............. 61,172.36
686.12
S avings a ccou n ts.................................
In d ivid u a l d ep osits............................ 3 6 6 ,14 5 .1 6
Furniture and fixtures........ ............. 23,615.14
1,601.90
Other real estate..............................
9 9,2 08 .3 0
P u b lic fu n d s...........................................
Due from non-reserve banks........
C ertificates o f deposit, tim e...........
13,535.31
12,315.02
7,745.82
Cash items..........................................
1,534.75
C ash ier’ s ch eck s.................................
Due from reserve banks................. 39,299.63
Total deposits.............. $486,100.42
Checks on other banks.....................
8,877.97
Currency ...........
7,175.00
Gold ........ -...........................................
277.50
Silver ...................................................
2,845.12

Total cash and Ex.........$73,545.28

$ 78 3 ,9 2 4 .1 2

T otal

T otal

.$783,924.12

BLYTHEVILLE
Mississippi County
PEOPLES B A N K
Charter No. 296.

Date of Charter, January 15, 1910.

O fficers— J. A . Mott, President; F. A. Robinson, Vice President; F. P. Mott, Cashier, Arch Gray,

Assistant Cashier.
D irectors— Clyde Robinson, J. A. Mott, Marshall Mott, F. A. Robinson, F. P. Mott.

STATEMENT OF DECEMBER 31, 1921

RESOURCES

L IA B IL IT IE S
L oans and d iscou n ts.......................... $ 17 1 ,7 4 9 .2 3
C apital stock .........................................$ 2 5,0 00 .0 0
C ertified surplus.................................
11,000.00
L oans on rea l estate.......................... 4 2 ,0 5 0 .0 0
L oans o n .c o t t o n ....................................
15,2 85 .5 0
U n d ivid ed p rofits.................................
6,825.92
In d ivid u a l d ep osits............................ 3 0 1 ,46 5 .9 8
O verd ra fts ...........................................
81.97
U. S. b on d s .............................................
19,8 50 .0 0
P u b lic fu n d s........................................... 2 2 ,0 6 1 .6 4
O ther bonds and secu rities..............
3,958.78
C ertificates o f deposit, tim e.........
5,762.32
C ash ier’ s ch eck s.................................
4 ,2 6 8.64
F urnitu re and fixtures........................
3 ,030.00
Total deposits..............$333,558.58
Item s in tra n sit....................................
3 81.60
D ue from non -reserve b an ks.................................... 17.54
Cash item s..............................................
196.71
D ue from reserve ban ks................... 86,1 89 .6 9
Checks on other ban ks.....................
3 ,177.13
C urren cy ................................................
15,8 67 .0 0
G old ..........................................................
790.00
S ilv er .......................................................
3 ,7 5 9.35

Total cash and Ex...... $110,379.02

O ther

resou rces....................................

T ota l

10,0 00 .0 0

.................................................. $ 3 7 6 ,3 8 4 .5 0




T ota l

.................................................. $ 3 7 6 ,3 8 4 .5 0

45

S tate of A r k a n s a s

BONANZA
Sebastian County
F IR S T S T A T E B A N K
Charter No. 259. Date of Charter, July 6, 1908.
O fficers— Hugh Branson, President; H. T. Skinner, Vice President; Henri Pernot, Cashier.
D irectors— Hugh Branson, S. A . Pernot, H. T. Skinner.

STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
L oans and d iscou n ts.............................$33,17 3 .3 6
3,241.09
Loans on real estate..........................
O verdrafts ................................................
279.44
U. S. b on d s................................................ 9,500.00
Other bonds and securities................
391.39
F urnitu re and fixtures.......................
752.55
B an king house........................................
1 ,5 0 0 .0 0 '
Due from reserve banks..................... 20,6 94 .6 4
4,1 9 1.00
C urrency ..................................................
S ilver .................................
1,025.45

L IA B IL IT IE S
Capital s to ck ........................................ . $ 5,000.00
Certified surplus................................... .
1 , 000.00
U ndivided p rofits.................................*
1,780.94
In d ivid u a l d ep osits............................. 58,229.84
P u b lic fu n ds........... ................................
97.00
Certificates o f deposit, tim e............
8,469.77
C ash ier's ch eck s....................................
171.37

Total deposits................ $66,967.98

Total cash, and Ex.........$25,911.09
T otal

.$74,748.92

T otal

.$74,748.92

BONO
Craighead County
PEOPLES B A N K
Charter No. 488. Date of Charter, July 25, 1919.
O fficers— Geo. A. Lamb, President; L. B. Golden, Vice President; F. W. Davis, Cashier; Margie

Davis, Assistant Cashier.
D irectors— Geo. A. Lamb, Fred M. Davis, Sam M. Davis, F. W. Davisj L. B. Golden, C. R.

Forrester, R. L. Pratt.

STATEMENT OF DECEMBER 31. 1921
R ESO U R C E S
Loans and discou n ts........................... $34 ,10 1 .5 5
Loans on real estate...........................
5,380.00
O verdrafts ...............................................
33.10
U. S. b oh d s............................................
5,000.00
Other bonds and securities............
198.79
F urnitu re and fixtures..........................
2 ,888.55
B an king house...... ........................
5,575.07
Due from non-reserve b an ks.............
2,000.00
112.97
Cash item s.......................... ......... .......
Due from reserve banks..... 1............ 12,707.82
C urrency ..........
2,130.00
S ilver ....................................
348.55

L IA B I L I T I E S
Capital stock ............................ ................$ 16,00 0 .0 0
Certified surplus..................... ................ 4,800.00
U n divided p rofits....................................
351.79
In d ivid u a l d ep osits............................... 29,362.93
P « b lic fu n d s ......................................... .
2,006.39
Certificates o f deposit, tim e............
100.00
Certificates fo r m oney borrow ed .... 17,855.29

Total deposits................ $49,324.61

Total cash and Ex.........$17,299.34
T otal

$70 ,47 6 .4 0

T otal

.$70,476.40

BOONEVILLE
Logan County
B A N K O F B O O N E V IL L E
Charter No. 50. Date of Charter, April 24, 1899.
O fficers— O. M. Bevens, President; A. T

Barlow, Vice Prseident; L. L. Green, Cashier, J. O.
Barlow, Assistant Cashier.
D irectors— O. M. Bevens, A. T. Barlow, J. L. Green, H. G. Murphy, L. L. Green.
STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
Loans and discounts ......................... $190 ,2 6 8 .3 8
Loans on real estate..........................
14,300.00
O verdrafts .............................................
1,093.59
U. S. bonds..............................................
11,050.00
Other bonds and secu rities..... ......
14,285.28
F urnitu re and fixtures........................
1.00
B an king hou se..... ................................
4 ,500.00
Due from reserve banks................... 45,645.99
Checks on other ban ks...................
29.68
C urrency ........._r.......
6,231.00
S ilver ...................
2,035.05

L IA B I L I T I E S
Capital stock ................. .........................$ 25,000.00
Certified surplus...................................
20,000.00
U ndivided p rofits........... ........
6,523.32
In d ivid u a l d ep osits............................ 195,695.89
Due to reserve ban k s................
39,754.62
C ashier’ s ch eck s...........................
2 ,466.14

Total deposits..............$237,916.65

Total cash and Ex........ $53,941.72
TOtal




$ 289,439.97

T otal

.$289,439.97

46

R eport of B a n k

C o m m is s io n e r

BOONEVILLE
Logan County
C I T IZ E N S B A N K
Charter No. 307.

Date of Charter, April 18, 1910.

O fficers— Mattie

Edwards, President; Ed Westmoreland, Vice President;
Cashier; Geo. R. Edwards, Assistant Cashier.

Chas. X . Williams,

D irectors— J. W. Hamby, W. P. Fields, L. W. Burns, Ed Westmoreland, Chas. X. Williams, W. W.

Parker, Mattie Edwards.
STATEMENT OF DECEMBER 31, 1921

LIABILITIES

RESOURCES
L oans and d iscou n ts..........................$
L oans on real estate..........................
L oans on co tto n ....................................
O verd rafts .............................................
U . S. b o n d s ...............................
O ther bonds and secu rities...........
F urnitu re and fixtures.......................
B an kin g hou se......................................
Due from non -reserve b an ks.............
D ue from reserve ban ks...................
Checks on other ban ks.....................
C u rren cy..................................................
G old ...............i.........................................
S ilv er ............ ..........................................

Total cash and Ex........ $18,826.90
T otal

4 5,7 90 .0 1
4 8 ,5 9 6 .6 4
13,0 00 .0 0
924.61
8 ,085.20
5 ,0 0 2.94
1.00
1.00
2 ,0 0 0.00
10,917.43
53.16
4 ,9 1 1.00
440.00
505.31

.....................................................240 ,22 8 .3 0

C apital s to c k .........................................$ 2 5,0 00 .0 0
Certified surplus.................................... 2 5,0 00 .0 0
U nd ivid ed p rofits.................................
2 ,363.86
In d ivid u a l d ep osits............................. 156,01 9 .9 5
P u b lic fu n d s.................
14,045.01
C ertificates o f deposit, tim e...........
17,565.03
C ashier’ s ch eck s........... .....................
234.45

Total deposits..............$187,864.44

T otal

- ................................................$ 2 4 0 ,2 2 8 .3 0

BRADFORD
W hite County
PEOPLES B A N K
Charter No. 497.

Date of Charter, November 6, 1919.

O fficers— W. H. Helvering, President; W. H. Frazer, Vice President; W. S. Coffman, Cashier;

A. F. Fraser, Assistant Cashier.
D irectors—W. H. Helvering, W. H. Fraser, J. F. Witt, J. C. Steed, W. S. Coffman.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts............................$ 4 2 ,08 9 .4 4
L oans on real estate........................... 12,679.65
343.07
O verd ra fts .......
U. S. b on d s ...............................
1,200.00
O ther bon d s and securities................
4 45.50
F urnitu re and fixtures.......................
3,372.19
B an kin g hou se...................
1,500.00
O ther real estate..................................
2 ,200.00
Cash
item s..............................................
156.00
D ue from reserve banks....................
8 ,227.84
C urren cy ..................................................
1,073.00
G old ............................................................
55.00
S ilv er .........................................................
1,435.91

L IA B I L I T I E S
Capital s to ck ........................................... $ 1 0 ,00 0 .0 0
C ertified surplus..........- .........................
1,000.00
U n d ivid ed p r o fit s ...-.............................. 1 ,2 5 2.94
B ills p a ya b le............................................. 10,000.00
In d ivid u a l d ep osits............................... 5 0,0 73 .3 5
C ertificates o f deposit, tim e..............
2,6 5 9.70

Total deposits................ $52,733.05

Total cash and Ex.........$10,947.75

O ther
T ota l

resou rces......................................

208.39

.....................................................$ 74 ,98 5 .9 9




T ota l

.................................................... $ 7 4 ,98 # .9 9

47

S tate of A r k a n s a s

BRADLEY
Lafayette County

BANK OF BR AD LEY
Charter No. 381. Date of Charter, June 19, 1912.

O fficers— J. H. Meek, President; J. B. Burton, Vice President; J. W. Meek, Cashier.
D irectors—J. H. Meek, J. B. Burton, P. D. Burton, W. A. McGee, E. H. Randle, Joe Allen,

Margaret R. Meek.
STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
L oans and discou n ts....... ..................!
Loans on real estate..........................
Loans on cotton ...................................
O verdrafts .............................................
U. S. b on d s............................................
Other bonds and secu rities...... .......
Furniture and fixtures.....................
B anking hou se......................................
Due from non-reserve ban k s...........
Due from reserve ban ks..................
C urrency ...............................................
G old .........................................................
S ilver .......................................................

Total cash and Ex........ $16,060.48
Other

61,136.67
25,2 32 .0 9
2,077.61
594.29
185.05
1,067.34
1,543.60
2 , 0 0 0 .0 0
798.21
10,170.24
4 ,084.00
35.00
973.03

Total deposits................ $65,960.31

15,000.00
6 , 000.00
3,318.30
2 0 , 000.00
42,888.39
17,373.62
5,000.00
699.23

382.41

resou rces...................................

Total

L IA B IL IT IE S
Capital sto ck ........................................ $
Certified surplus.................................
U ndivided p rofits.................................
B ills p a ya b le........................................
In d ivid u a l d ep osits............................
P u b lic fu n d s...-•......................................
D ue to n on -reserve ban k s................
C ashier’ s ch eck s.................................

$ 1 1 0 ,2 7 9 .5 4

Total

.$110,279.54

BRANCH
Franklin County

BANK OF BRANCH
Charter No. 274. Date of Charter, March 18, 1909.

O fficers—J. S. Cotner, President and Cashier; E. F. Hodges, Vice President.
D irectors—E. F. Hodges, J. S. Cotner, W. S. Cochran, Frank A. Handlin.

STATEMENT OF DECEMBER 31, 1921
R ESO U R CE S
Loans and d iscou n ts..........................$ 34,198.43
O verdrafts .............................................
48.59
U . S. b on d s.....................................
11,850.00
Other bonds and secu rities..............
1,151.61
B anking house......................................
2,500.00
Cash item s................................................
92.44
15,367.98
Due from reserve ..banks..............
C urren cy ...............................................
2 ,661.00
Gold .........................................................
' 110.00
S ilver .......................................................
382.31

Total cash and Ex........ $18,613.73
Total

.................................................... $ 6 8 ,36 2 .3 6

L IA B IL IT IE S
'
Capital s to ck ................ r...................... !
Certified surplus.................................
U nd ivid ed p rofits................................
JBills payable “ D eposits on w hich
m ore than 4 per cent interest
is p a id ’ ’ ............................................
In d ivid ual d ep osits............................
P u b lic fu n d s...........................................
Certificates o f deposit, tim e.........
C ashier’ s ch eck s.................................

Total deposits................ $54,080.72
T otal

11,800.00

1,200.00
1,281.64
3,603.83
49,4 57 .0 9
641.55
3,655.40
326.68
.$68,362.36

JThis amount not added in totals.

BRINKLEY
Monroe County

B A N K O F B R IN K L E Y
Charter No. 110. Date of Charter, January 17, 1903.

O fficers— Andrew Flora, President; James Gunn, Vice President; Fred Rusher, Cashier; L. H.

Bradley, Jr., Assistant Cashier.
D irectors— Andrew Flora, James Gunn, Fred Rusher, John Gazzola, Frank Andrews, G. Otis Bogle,

I. Scholem, W. L. Freeman, W. W. Sharp, E. D. McKnight, F. T. Murphy.
STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
Loans and d iscou n ts.......................... $105 ,1 7 2 .5 0
Loans on real estate.......................... 109,635.10
Loans on cotton .................................... 50,000.00
U. S. b on d s...........................................
15,050.00
Furniture and fixtures.......................
2,600.00
B an king house......................................
10,500.00
Other real estate.................................
847.00
Due from reserve banks................... 1 01,352.14
Checks on other ban ks............ ........
410.66
C urrency ..........................................
9 ,616.00
S ilver ................................... ...................
4 ,149.71

L IA B I L I T I E S
Capital s to ck ........................................ $ 25,000.00
Certified surplus...............................
7,600.00
U nd ivid ed p rofits.................................
7,671.04
Savings a ccou n ts....:...........................
479.96
In d ivid u a l d ep osits............................ 281 ,93 3 .4 6
C ertificates o f deposit, tim e...........
83,339.87
C ashier’ s ch eck s.................................
3,308.78

Total deposits.............. $369,062.07

Total cash and Ex...... $115,528.51
Total




.$409,333.11

Total

.$409,333.11

48

R eport of B a n k

C o m m is s io n e r

BRINKLEY
Monroe County
M ONROE CO U N TY BANK
Charter No. 8.

Date of Charter, April 13, 1889.

Dfficers— T. T. Bateman, President; L. K. Brown, Vice President; J. S. Mitchell, Cashier; L. W.

Brown, Assistant Cashier.
D irectors—T. T. Bateman, L. K. Brown, M. R. Stimson, T. C. Simmons, J. L. Woodfin, R. F.

Milwee, A. C. Huddleston, A . Goldberg, J. S. Mitchell.
STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts........ ................. $ 10 4 ,8 9 8 .3 3
50,587.80
Loans on real estate.........................
330.40
L oans on co tto n ....................................
4 20.88
O verd rafts .............................................
23,1 50 .0 0
U. S. b o n d s .............................................
2 .370.00
O ther bon d s and secu rities..............
6 ,5 5 8.04
F urnitu re and fixtures.......................
2,4 9 3.10
O ther real estate.................................
755.61
Item s in tra n sit...................................
2 6,4 76 .3 5
Due from n on -reserve b an ks...........
11,597.18
D ue from reserve banks...................
4 ,246.08
C hecks on oth er banks.....................
3.8 1 9.00
C urren cv ................................................
22.50
G old ..........................................................
1,1 9 1.26
S ilv er ............................ ..........................

Total cash and Ex.........$48,107.98
O ther

res ou rces ...................................

2 3,9 06 .5 0

.$262,823.03

T otal

L IA B IL IT IE S
Capital s to ck ........................................ $ 50,000.00
Certified surplus....................................
5,000.00
U nd ivid ed p rofits................ .................
8 ,6 2 5 .2 8
S avings a ccou n ts.................................
1 ,764.44
In d ivid u a l d ep osits............................. 146 ,82 5 .2 4
P u b lic fu n d s...................... ....................
308.19
C ertificates o f deposit, tim e..............
25,7 73 .3 1
C ash ier’ s ch eck s.................................
2,317.79
T otal d ep osits................ $ 1 7 6 ,9 8 8 .9 7
O ther lia b ilitie s.................................... 2 2,2 08 .7 8

T otal

............ ..................................... $262 ,8 2 3 .0 3

BROOKLAND
Craighead County
BANK OF BROOKLAND
Charter No. 383.

Date of Charter, July 12, 1909.

O fficers— H. A. Jones, President; W. H. Jinks, Vice President; Ira B. Walb, Cashier.
D irectors— H. A. Jones, W. H. Jinks, Ab Jones, H. P. Jones. A. M. Self, F. M. Mayes, W. T.

Lane, Jr.
STATEMENT OF DECEMBER 31, 1921
RESOURCES
L oans and d iscou n ts.......................... $ 1 0 6 ,6 8 1 .4 4
L oans on real estate..........................
18,914.00
O verd rafts .............................................
55.26
U. S. b o n d s...:........................................
250.00
Other bonds and secu rities..............
3 ,035.80
F urnitu re and fixtures.....................
3 ,100.00
B an kin g h ou se......................................
4 ,7 0 0.00
D ue from reserve ban k s...................
9 ,4 3 8.76
C urren cy ................................................
1,098.00
G old ...............
95.00
S ilver ...............................................
3 14.31
T otal cash and E x ..........$ 1 0 ,94 6 .0 7
T otal

............................................. ....$ 1 4 7 ,6 8 2 .5 7

JThis amount not added in totals.




L IA B IL IT IE S
C apital s to c k .........................................S
Certified surplus............................ .
U nd ivid ed p rofits.................................
B ills p a ya b le........................................
JB ills p ayable “ D eposits on w hich
m ore than 4 per centr interest
is p a id ’ ’ ...........................................
D ivid en ds U n p a id .................................
In d ivid u a l d ep osits............................
P u b lic fu n d s...........................................
C ertificates o f deposit, dem an d --.
T otal d ep osits...................$ 81 ,30 2 .1 1
Total

19,500.00
5,050.00
830.46
4 1,0 00 .0 0
4 0,2 10 .7 8
975.00
33,2 05 .4 2
4 0,1 58 .8 4
6,962.85

$ 14 7 ,6 8 2 .5 7

49

S tate of A r k a n sa s

CABOT
Lonoke County
BANK OF CABOT
Charter No. 120.

Date of Charter, March 23, 1903.

O fficers-—Geo. P. Murrell, President; O. H. Davis, Vice President; C, B. Beasley, Cashier; Hagan

Shive, Assistant Cashier; F. B. Garlington, Assistant Cashier.
D irectors— Geo. P. Murrell, O. H. Davis, J. F. See, J. C. Alexander, P. A. Robinson, Jack Barn­

well, J. E. Gregory, A. Poston, C. B. Beasley.
STATEMENT OF DECEMBER 31, 1921
RESOURCES
L IA B I L I T I E S
Loans and discou n ts.......................... $ 11 1 ,8 9 4 .1 5
Loans on real estate.......................... 33,405.00
O verdrafts .............................................
156.95
U. S. b on d s........................................... 35,000.00
Other bonds and secu rities..............
3,5 2 8.86
F urnitu re and fixtures.......................
1,000.00
B an king house................. - ..................
3,300.00
Due from reserve banks................... 87,8 60 .3 7
Checks on other banks..................
276.60
C urrency ................................................
9 ,022.00
G old .........................................................
1,509.50
S ilver .................
1,757.47

Capital s tock ........................................ $ 30,000.00
Certified surplus.................................
10,000.00
1,081.29
U ndivided p rofits.................................
D ividen ds un p aid .................................
3,0 0 0.00
In d ivid ual d ep osits............................ 1 24,826.67
P u b lic fu n d s...........................................
5,563.42
C ertifica tes^ of deposit, tim e.........
53,209.49
C ashier’ s cheeks........................
1,030.03

Total deposits..............$187,629.61

Total cash and Ex.........$40,425.94
T otal

............ .....................................$228 ,7 1 0 .9 0

T otal

....... ..........................................$228,710.90

CABOT
Lonoke County
P EO PL E S S T A T E B A N K
Charter No 500.

Date of Charter, December 23, 1919.

O fficers—J. L. Powell, President; F. P. Ford, Vice President; L. Wert Wish, Cashier; Mrs. L.

Wert Wish, Assistant Cashier.
D irectors—J. C. Birmingham, L. M Burge. F. P. Ford, J. M. Counts, J. L. Powell, R. E. Powell,

M. K. Wilson, J. W Grubbs, L. Wert Wish.
STATEMENT OF DECEMBER 31, 1921
R ESO U R CE S
Loans and d iscou n ts..........................$ 55,931.32
Loans on real estate..........................
7,699.66
Loans on cotton .................................
900.00
F urniture and fixtures.....................
4 ,865.00
Due from non-reserve b an ks...........
19,083.29
Due from reserve ban ks................
5,190.00
Checks on other banks..................
316.41
C urrency ................................................
7,697.00
G old .............................................
722.50
S ilver ......................................................
723.3 7

L IA B I L I T I E S
Capital s to ck ........................................ :
Certified surplus.................................
U ndivided p rofits....................... .........
In d ivid u a l d e p o sits............. ................
P u b lic fu n d s..........................................
Certificates o f deposit, tim e...........
C ashier’ s ch eck s...................................

Total deposits................ $74,692.79

25,000.00
2,500.00
1,785.76
62,251.16
2 ,000.00
10,010.50
431.13

Total cash and Ex.........$33,732.57
Other

resou rces...................................

T otal




850.00
.$103,978.55

T otal

$103 ,9 7 8 .5 5

50

R eport of B a n k

C o m m is s io n e r

CADDO GAP
Montgomery County
BANK OF CADDO GAP
Charter No. 495.

Date of Charter, October 8, 1919.

O fficers—G. W. Petty, President; J H. McLean, Vice President; J. I. Rowe, Cashier.
D irectors— G. W. Petty, Fred C. Embry, J. H. McLean, L.‘ A . Davis.

STATEMENT OK DECEMBER 31, 1921
RESOURCES

L IA B I L I T I E S
Capital s to ck ..............................................$1*0,000.00
L oans an d d iscou n ts............................$ 2 2 ,80 9 .4 1
1,300.00
Certified surplus......................................
L oans on real estate.....................
1,900.00
O verd rafts ..........................................
35.96
U nd ivid ed p rofits............ .......................
299.77
In d ivid u al dep osits............................... 19,406.52
U . S. b on d s ..........................
720.00
P u b lic fu n ds.......................
2 ,000.00
F urnitu re and fixtures........................ 1,300.00
B an kin g h ou se........................................
2 ,2 5 9.22
C ertificates o f deposit, tim e..............
9,731.80
C ash ier’ s ch eck s....................................'
707.73
Item s in tra n sit....... ...........
150.00
Due from n on -reserve ban k s................................. 4,1 4Total
9.28 deposits................ $31,846.05
•
Cash item s................................................
201.33
Due from reserve ban ks.....................
7,289.05
C urren cy ............................................
1,229.00
G old ............................................................
8 29.00
S ilv er ...............................................
573.57

Total cash and Ex.........$14,421.23
T ota l

............................... .................... $ 43 ,44 5 .8 2

T otal

.....................................................$43 ,44 5 .8 2

CALICO ROCK
Izard County
S T A T E B A N K O F C A L IC O RO CK
Charter No. 439.

Date of Charter, May 1, 1914.

O fficers— W. J. Copp, President; R. H. Wayland, Vice President; E. C. Rodman, Cashier; Nancy

Matthews, Assistant Cashier; Roy Perryman, Assistant Cashier.
D irectors—W. J. Copp, R. H. Wayland, S. L. Guthrie, D. C. Shaver, J. T. Garner, J. B. Croom,

E. C. Rodman.
STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
L oans and discou n ts............................!
Loans on real estate............................
Loans on co tto n ......................................
O verdrafts ................................. ...........
U. S. b on d s ................. .........................
F urnitu re and fixtures.......................
B an kin g house......................................
Cash item s.............................................
Due from reserve b an k s................
C urren cy ............................................
G old .........................................................
S ilv er .......................................................

Total cash and E x.........$71,531.93
T otal




84,9 80 .9 6
9 ,811.92
20,6 40 .4 2
128.30
9 .144.00
900.00
2 .700.00
269.38
60,8 40 .8 0
8 .629.00
827.50
9 65 .25

.$199,837.53

L IA B I L I T I E S
C apital s to ck ...... .................................: i 25,0 00 .0 0
C ertified surplus....................................
8 , 000.00
U ndivided p rofits.................................
980.97
D ivid en ds u n paid.................................
1,383.00
In d ivid u a l d ep osits............................ 152,811.71
P u b lic fu n d s........................... ...............
1,669.59
C ertificates o f deposit, tim e.........
8,2 4 9.99

Total deposits............. $164,114.29

R eserved fo r taxes...............................

T otal

1,742.27

.$199,837.53

51

S tate of A r k a n sa s

CAMDEN
Ouachita County
M ER CH AN TS & PLANTERS BANK
Charter No. 147. Date of Charter, December 1, 1903.
O fficers— T. J. Watts, President; Leo Berg, Vice President; Ed Harper, Vice President; Leonard

Powell, Cashier; P. T. Hildebrand, Assistant Cashier.
D irectors— T. J. Watts, Leo Berg, Ed Harper, C. S. Early, H. S. Powell, Leonard Powell, P. T.

Hildebrand.
STATEMENT OF DECEMBER 31, 1921
R ESO U R CE S
L oans and d iscou n ts.......................... $ 161,722.78
L oans on real estate...... - ................. 4 6,6 40 .0 0
L oans on cotton .....................
9,425.00
U. S. b on d s.....................
85.40
1,027.30
Other bonds and securities..............
F urnitu re and fixtures........................
3,000.00
Item s in tra n sit..............
771.07
Cash item s.............................................
18.01
D ue from reserve banks................... 34,382.23
Checks on other banks.......................
306.81
Currency ............................. - ................ 10,585.00
G old .........................................................
1,360.00
S ilver .............
859.51

Total cash and E x......... $48,282.63
T otal

.................................................. $ 27 0 ,1 8 3 .1 1

L IA B I L I T I E S
Capital stock .........................................$
Certified surplus....................................
U ndivided profits.................................
B ills p a ya b le ...........................................
{B ills payable “ D eposits on w hich
m ore than 4 p er cent interest
is p a id ’ ’ .......
D ividen ds un p aid .................................
Ind ivid u al d ep osits............................
P u b lic fu n d s...........................................
Due to non -reserve b an ks................
Certificates o f deposit, dem and....
Certificates o f deposit, tim e.............
C ashier’ s ch eck s....................

Total deposits.... .........$165,450.83
T otal

50,000.00
9,500.00
232.28
45,0 00 .0 0
26,779.68
2,500.00
92,923.41
37,827.21
839.09
891.29
30,107.62
362,21

.................................................. $270 ,1 8 3 .1 1

{T h is amount not added in totals.

CAMDEN
Ouachita County
O U A C H IT A V A L L E Y BA N K
Charter No. 16. Date of Charter, March 4, 1890.
O fficers—W. W. Brown, President; T. J. Gaughan, Vice President; Geo. R. Gordon, Vice Presi­

dent, Louis Bauerlein, Cashier; Fred P. Benson, Assistant Cashier.
D irectors—W. W. Brown, Geo. R. Gordon, W. F. Tate, D. L. Gaughan, T. J. Gaughan, Louis

Bauerlein, Moses Stern.
STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
Loans and d iscou n ts..........................$496 ,2 8 8 .8 0
Loans on real estate.......................... 30,231.70
Loans on cotton ................................
15,824.50
O verdrafts ..............................
2,077.38
200.00
U. S. b on d s.............................................
Other bonds and secu rities..............
707.75
F urnitu re and fixtures.....................
2,298.00
B an king hou se.....................................
8,500.00
Other real estate...............
169.60
Item s in tra n sit....................................
372.85
Cash item s ..........................
91.99
Due from reserve ban ks................. 111,657.23
Checks on other ban ks....................
678.63
Currency ............
12,250.00
G old .....................
4,895.00
S ilver .......................................................
4 ,4 1 7.14

L IA B IL IT IE S
Capital s t o c k ........................................ $ 50,000.00
Certified surplus.................................... 50,000.00
U ndivided p rofits.................................
18.029.89
B ills p a ya b le........................................ 1 60,000.00
{B ills payable “ D eposits on w hich
m ore than 4 per cent interest
is p a id ” .............................................
25,550.33
13,471.71
Savings a ccou n ts.................................
D ividen ds un p aid .................................
60.00
Ind ivid u al d ep osits............................ 2 54,790.29
P u b lic fu n d s...........................................
25,550.33
C ertificates o f deposit, tim e........... 117,962.98
C ashier’ s ch eck s...................
150.00

Total deposits..............$411,985.31
Other

lia b ilitie s....................................

645.37

Total cash and Ex...... $134,362.84
Total

.$ 6 90,660.57

{T h is amount not added in totals.




Total

.$690,660.57

52

R eport of B a n k

C o m m is s io n e r

CARLISLE
Lonoke County
B A N K O F C A R L IS L E
Charter No. 225.

Date of Charter, December 15, 1906.

O fficers— R. A. Hutson, President; H. I. Buechley, Vice President; C. G . Woodfin, Cashier; A. H.

Bacus, Assistant Cashier.

D irectors— R. A. Hutson, L. W. Hutson, H. I. Buechley, W. H. Nichols, J. C. Watkins.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts..........................$ 54,2 08 .0 6
L oans on real estate............................
6 ,3 2 4.56
77.35
O verd ra fts :............................................
U . S. b on d s........................................... • 3 ,727.69
1 ,627.31
O ther bon d s and secu rities..............
F urnitu re and fixtures.....................
1,024.00
B an kin g hou se......................................
6 ,000.00
Due from reserve ban ks................... 4 8 ,8 22 .9 8
Checks on other banks.....................
168.68
C urren cy ................................................
6,000.00
S ilv er .......................................................
400.00

L IA B IL IT IE S
Capital s to ck .................. ..................... $ 12,500.00
C ertified surplus....................................
655.00
U n d ivid ed p rofits.................................
6,853.93
D ivid en ds un p aid .................................
148.00
94,0 93 .0 0
In d ivid u a l d ep osits............................
P u b lic fu n d s...........................................
425.21
C ertificates o f deposit, tim e...........
13,743.56

Total deposits...............$108,409.77

Total cash and E x......... $55,391.66
O ther

resou rces...............................

T otal

38.07

.$ 1 28,418.70

T otal

.$ 1 28,418.70

CARLISLE
Lonoke County
D A IR Y M E N S B A N K
Charter No. 98.

Date of Charter, October 7, 1902.

O fficers— L. B. Krshka, President; C. C. Hummel, Vice President; A. B. Cameron, Cashier; J. L.

Woosley, Assistant Cashier.
D irectors— L. B. Krshka, C. C. Hummel, D. B. Perkins, N. W. Young, A. B. Cameron.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts.......................... $ 2 0 3 ,0 5 1 .9 6
L oans on real estate.........................
3 5,4 70 .5 5
O verd rafts .............................................
95.64
U . S. b o n d s ...........................................
9 ,462.00
Other bonds and secu rities..............
2 ,814.28
F urniutre and fixtures.....................
800.00
B an king h ou se......................................
2 ,000.00
D ue from reserve ban ks...................
51,153.88
C urren cy ...........
10,342.00
G old ..........................
2 85.00
S ilver ......................
1 ,774.17

L IA B I L I T I E S
Capital stock ....................... ................ $
C ertified surplus.................................
U n d ivid ed p rofits.................................
B ills p a ya b le .........................................
S avings a ccou n ts.................................
In d ivid u a l d ep osits.............................
P u b lic fu n d s..........................
C ertificates o f deposit, tim e.........

2 1,0 00 .0 0
4 ,0 6 0.00
15,9 45 .4 6
60,0 00 .0 0
6 32.17
183,78 4 .3 4
14,737.84
17,089.67

Total deposits...............$216,244.02

Total cash and E x......... $63,555.05
T otal




.$317,249c48

T otal

.$317,249.48

53

S tate of A r k a n s a s

CARTHAGE
Dallas County

BAN K OF CAR TH AG E
Charter No. 237. Date of Charter, June 18, 1907.

O fficers-—H. Matthews, President; J. R. Wallace, Vice President;
D irectors—H. Matthews, J. R. Wallace, Ross Wylie, G. D. House.

Chas. M. Feaster, Cashier.

STATEMENT OF DECEMBER 31. 1921
R E SO U R C E S
Loans and d iscou n ts..........................$
Loans on real estate..........................
O verdrafts .............................................
U. S. b on d s...........................................
Other bonds and s ecu rities ...........
F urnitu re and fixtures.....................
B an king hou se......................................
Due from n on -reserve b an ks...........
Due from reserve ban ks................
Currency ................................................
G old .........................................................
S ilver .......................................................

25,585.33
27,5 00 .0 0
444.19
6,318.92
11,6 93 .9 6
1,530.00
2,500.00
6,927.22
20,2 61 .8 7
3,005.00
1,005.00
404.23

L IA B I L I T I E S
Capital stock ..............-..........................$ 10,000.00
Certified surplus.................................
2,3 0 0.00
U nd ivid ed p rofits............ ....................
6,929.95
In d ivid ual d ep osits............................
62,4 20 .1 4
P u b lic fu n d s ...........................................
1,028.78
Certificates o f deposit, tim e...........
23,848.59
C ashier’ s ch eck s.................................
648.26

Total deposits................. $87,945.77

Total cash and E x.........$31,603.32
.$107,175.72

T otal

Total

.$107,175.72

CASA
Perry County

FARM ERS BANK
Charter No. 471. Date of Charter, January 24, 1918.

O fficers— A. B. Banks, President; J. C. Burton, Vice President; Geo. W. McConnell, Cashier;

Clara M. McConnell, Assistant Cashier.
D irectors— A. B. Banks, J.- C. Burton, Geo. W. McConnell.

STATEMENT OF DECEMBER 31. 1921
R ESO U R C E S
L oans and d iscou n ts............................ $25,18 3 .3 6
L oans on real estate............................
7,927.04
O verdrafts ....................................
.07
U. S. b on d s................................................
962.00
Other bonds and secu rities..............
421.15
F urnitu re and fixtures..... .•.................
1,000.00
B an king house........................................
1,000.00
Due from reserve ban ks................... 12,503.22
Currency .......................................... -...... 2 ,256.00
S ilver ..................
885.94

L IA B I L I T I E S
Capital stock ............................ : .............$15,000.00
Certified su rp lu s...................................... 2,000.00
U ndivided p rofits...................
3,193.50
Ind ivid u al d ep osits............................... 29,053.80
Certificates o f deposit, tim e...........
2,908.85

Total deposits................. $31,962.65

Total cash and E x......... $15,645.16
O ther resou rces........................................

17.37
$ 52 ,15 6 .1 5

Total

Total

.$52,156.15

GAVE CITY
Sharp County

B A N K O F C A V E C IT Y
Charter No. 209. Date of Charter, July 2, 1906.

O fficers— J. M. Street, President; James M. Simpson, Vice President; Theo C. Justus, Cashier;

J. E. Street, Assistant Cashier.
D irectors-—J. M. Street, Jas. M. Simpson, John O. Laman, Theo. C. Justus.

STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
Loans and discou n ts.............................$25 ,91 2 .3 1
Loans on real estate..........................
3,750.18
U . S. bonds................................................ 1,850.00
Other bonds and secu rities................
1,014.36
F urnitu re and fixtures.......................
1,330.80
B an king hou se........................................
950.00
D u e from reserve ban ks..................... 29,7 74 .9 6
C urren cy ..................................................
3,568.00
G old ............................................................
37.50
S ilver .................................
324.31

L IA B I L I T I E S
Capital s to ck ...........................................$ 5,000.00
Certified surplus......................................
2,500.00 U nd ivid ed p rofits....................................
510.99
In d ivid u a l d ep osits............................... 51,538.96
C ertificates o f d eposits, tim e...........
8 ,962.47

Total deposits................. $60,501.43

Total cash and E x......... $33,704.77
T otal




.$68,512.42

Total

.$68,512.42

54

R eport of B a n k

C o m m is s io n e r

CAVE SPRINGS
Benton County

B A N K O F C A V E S P R IN G S
Charter No. 287. Date of Charter, September 16, 1909.

O fficers— R. L. Kane, President;

E. C. Pickens, Vice President; Paul Martin, Cashier; Zada
Martin, Asistant Cashier.
D irectors— R. L. Kane, E. C. Pickens, W. E. Jackson, W. H. Sears, Paul Martin.
STATEMENT OF DECEMBER 31. 1921
L IA B I L I T I E S
RESOURCES
Loans and d iscou n ts.............................$34 ,88 0 .4 5
Loans on real estate............................. 16,210.30
O verdrafts ...............
236.73
U. S. b o n d s........ .......
100.00
F urnitu re and fixtures.......................
900.00
B an king hou se........................................
3 ,500.00
Due from reserve banks.....................
7,411.72
1,300.00
C urren cy ....................................
G old .........................................................
125.00
S ilver ...........
317.20

Capital s to ck ...................... .................... $ 7,500.00
C ertified surplus.................................... 2 ,0 0 0.00
U nd ivid ed p rofits..........................-........
1,964.32
In d ivid u a l d ep osits..... ............................ 32,126.35
P u b lic fu n d s..................
339.68
C eritficates of deposit, tim e.............. 2 0,0 63 .7 4
987.31
C ashier’ s ch eck s......................................

Total deposits................ $53,517.08

Total cash and E x........... $9,153.92
$ 64 ,98 1 .4 0

T otal

Total

$ 6 4 ,98 1 .4 0

CENTERTON
Benton County

BANK OF CENTERTON
Charter No. 191. Date of Charter, September 27, 1905.

O fficers— J. C. Farts, President; W. D. Hoback, Vice President; W. A. Anderson, Cashier, Eulah

Hoback, Assistant Cashier.
D irectors— H. A. McGaugh, J. R. Jamble, E. C. Pickens, W. D. Hoback, J. C. Faris.

STATEMENT OF DECEMBER 31. 1921
R E SO U R C E S
L oans and discou n ts........1................... $47 ,51 8 .4 8
L oans on real estate............................ 31,3 53 .5 2
O verd rafts ..........,....................................
253.10
F urnitu re and fixtures..........................
1,003.00
B an king h ou se........................................
2 ,100.00
Cash item s........... ....................................
128.59
Due from reserve ban ks.....................
6 ,645.00
C urren cy ..................................................
1,858.00
G old ............................................................
350.00
S ilv er ..........................................................
606.10

Total cash and Ex...........$9,587.69

$ 91 ,81 5 .7 9

T otal

L IA B IL IT IE S
Capital stock ........................................... $ 1 2 ,50 0 .0 0
Certified surplus.....................
1 ,750.00
U nd ivid ed p rofits..........................- .......
2,1 3 9.08
B ills p a ya b le............................................. 10,0 00 .0 0
Notes red iscou n ted .................................
4 ,0 0 0.00
In d ivid u a l d ep osits............................
31,6 18 .8 6
P u b lic fu n d s...... ......................................
353.61
C ertificates o f deposit, tim e....... ...... 2 9,3 29 .4 0
C ashier’ s ch eck s....................
124.84

Total deposits................$61,426,71
Total

$ 9 1 ,81 5 .7 9

CHARLESTON
Franklin County

A M E R IC A N ST A T E B A N K
Charter No. 314. Date of Charter, June 29, 1910.

O fficers— C. H. Hiatt, President; L. E. Jetton, Vice President; D. W. Bryan, Cashier; C. J.

Schouweiler, Assistant Cashier.
D irectors— C. H. Hiatt, N. T. Minden, B. H. McDonald, H. C. Hiatt, L. E. Jetton, T. C. Chaney,

Wallace Haynes.
STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
Loans and discou n ts..........................$
L oans on rea l estate..........................
U. S. b on d s ...........................................
Other bonds and secu rities..............
F urnitu re and fixtures..............
Other real estate.....................
Item s in tra n sit....................................
B ills o f exch a n ge........... .........
Due from reserve banks...................
Checks on other ban ks.....................
C urren cy ................................
G old .........................................................
S ilv er .......................................................

86,5 43 .5 1
16,534.08
17,404.40
4 ,4 2 9.92
1,300.00
5,297.06
47.00
3 5,6 92 .8 7
3 1,7 55 .4 7
144.30
1,263.00
4 57.50
801.89

Total cash and E x......... $70,162.03
O ther

resou rces....................................

T otal

Total deposits..............$163,789.97

2 5 .0 0 0 .
00
5,000.00
3 ,4 1 4.20
10 . 00 0 .
00
1 6.3 21 .0 5
2 ,5 0 0.00
9 6,4 57 .4 7
18.3 21 .0 5
4 3 ,4 7 9 .9 4
3 ,031.51

5 ,533.17

.................................................. $ 2 0 7 ,2 0 4 .1 7

JThis am ount not added in totals.




L IA B I L I T I E S
Capital s to ck .........................................S
Certified surplus....................................
U nd ivid ed p rofits.................................
B ills p a ya b le........................................
+Bills payable “ D eposits on w hich
m ore than 4 per cent interest
is p a id ’ ’ ...........................................
D ividen ds u n p aid.................................
In d ivid u a l d ep osits............................
P u b lic fu n d s...........................................
C ertificates o f deposit, dem and....
C ash ier’ s ch eck s.................................

T otal

.$ 2 0 7,20 4 .1 7

S tate

of

A rkansas

55

CHARLESTON
Franklin County

BANK OF CH ARLESTON

Charter No. 158. Date of Charter, May 13, 1904.
O fficers—Joe Yunker, President; J. T. Tolleson, Vice President; J. S. Smith, Cashier; J. N.
Minden, Assistant Cashier.
D irectors—Joe Yunker, T. A. Pettigrew, Orr Sherman, J. S. Smith, J. T. Tolleson, D. A. Carroll,
K. E. Hudson.
STATEMENT OF DECEMBER 31, 1921
R ESO U R CE S
Loans and d iscou n ts...... ................... $ 12 2 ,8 6 7 .2 7
Loans on real estate...... ................... 4 9,7 72 .7 7
2,708.00
Loans on cotton ...................................
O verdrafts '.............
69.61
U. S. b on d s........................
30,650.00
Other bonds and securities..............
5,458.56
F urnitu re and fixtures.....................
2,280.00
B an king house.................. ...................
7,500.00
Due from reserve ban ks................... 36,9 37 .9 6
Checks on other banks...................
538.79
Currency- ..........
3,216.00
G old ..................
322.50
S ilver ....................................................
1,269.17

L IA B IL IT IE S
Capital s t o c k -..................................... $ 25,0 00 .0 0
Certified surplus...................................
10,000.00
U ndivided p rofits................... ... .........
19.119.63
In d ivid ual d ep osits................. .......... 138,519.61
P u b lic fu n d s...........................................
1,108.56
Certificates of deposit, dem and.... 24,809.79
C ertificates o f deposit, tim e......... 4 2,9 12 .8 7
C ashier’ s ch eck s.................................
2 ,120.17

Total deposits..............$209,471.00

Total cash and Ex........ $42,284.42
T otal

$263 ,5 9 0 .6 3

Total

$ 263,590.63

CHERRY VALLEY
Cross County

BANK OF CH ERRY V A L L E Y

Charter No. 228. Date of Charter, January 24, 1907.
O fficfrs—J. H. Sifford, President; W. M. Smith, Vice President; R. Eli Halk, Cashier; J. Kelly

Maddox, Assistant Cashier.

D irectors—J. H. Sifford, W. M. Smith, R. Eli Halk, Ernest Fountain.

STATEMENT OF DECEMBER 31. 1921
R ESO U R CE S
Loans and discou n ts....................
$ 44,322.02
5,112.50
Loans on real estate....................
O verdrafts ..........................
94.80
Other bonds and securities................
4,345.33
F urnitu re and fixtures.......................
600.00
B anking house................................
800.00
Due from reserve banks....................... 15,142.44
C urrency ..................................................
2,864.00
Silver ................................................ - ......
487.85

L IA B I L I T I E S
Capital stock .....................................
$ 10,000.00
Certified surplus......................................
5,000.00
1,600.00
U ndivided profits...... ................
Individual d eposits............ ................. 57,1 68 .9 4

Total deposits................ $57,168.94

Total cash and Ex........ $18,494.29

.$ 73,768.94

Total

Total

$73,76 8 .9 4

CHIDESTER
Ouachita County

B A N K O F C H ID E S T E R

\

Charter No. 277. Date of Charter, April 29, 1909.
O fficers—W. A. Purifoy, President; J. A. Diffie, Vice President; W. G. Rushing, Cashier; Miss
Beulah Purifoy, Asssitant Cashier.
D irectors—W. A. Lester, G. R. Riffe. Ira B. Webb, B. V. Powell, W. A. Purifoy, J. A. Diffie,
W. G. Rushing.
STATEMENT OF DECEMBER 31, 1921
R ESO U R CE S
Loans and d iscou n ts...........................$ 56,166.69
Loans on real estate........................... 12,420.00
O verdrafts ................................................
220.07
U. S. b on d s............................................
8,800.00
Other bonds and secu rities............
24.00
Furniture and fixtures.........................
1,500.00
B an king hou se........................ .'..............
1,800.00
Due from non-reserve b an k s.........
146.33
Cash item s.........................
190.71
Due from reserve ban ks.....................
6,915.55
Currency ..................................................
4,5 0 5.00
G old ....................
35.00
S ilver .........................................................
590.80

L IA B I L I T I E S
Capital stock ........................................... $ 10,000.00
Certified surplus......................................
2,500.00
777.19
U ndivided p rofits...... .............
B ills p a ya b le........................................... 11,000.00
In d ivid u a l d ep osits.............
44,1 36 .5 7
P u b lic fu n d s.............................................
1.000.00
C ertificates o f deposit, tim e.............. 23,900.39

Total deposits................ $69,036.96

Total cash and Ex.........$12,383.39
Total




$ 93 ,31 4 .1 5

T otal

$93 ,31 4 .1 5

R eport

56

of

B a n k C om m issioner

CLARENDON
Monroe County

BANK OF CLAREN DON

Charter No. 50. Date of Charter, January 3, 1900.
O fficers—J. P. Lee, President; W. L. Jefferies, Vice President; J. E. Pinkley, Cashier; Paul K.

Eaton, Assistant Cashier.

D irectors—J. P. Lee, W. L. Jefferies, Jno. B. Moore, R. N. Counts, W. F. Vaughan, J. F. Hurst,

Henry Adams, F. Trotter, J. E. Pinkley.
STATEMENT OF DECEMBER 31, 1921

R E SO U R C E S
L oans and d iscou n ts..........................$ 73,510.70
L oans on real estate.......................... 129 ,27 8 .1 3
U. S. b on d s...........................................
11,1 00 .0 0
Other bonds and secu rities..............
4 ,2 6 2.50
F urnitu re and fixtures....................
1,755.00
D ue from reserve ban ks................... 4 7,0 75 .9 3
C hecks on other ban ks........................
4 55.52
C urren cy ........... ....................................
6 ,841.00
S ilv er .......................................................
1,839.62

L IA B I L I T I E S
Capital s to ck .........................................$ 50,0 00 .0 0
Certified surplus....................................
10,000.00
U ndivided p rofits.................................
2,8 1 7.56
D ividen ds u n p aid .................................
50.00
In d ivid u a l d ep osits........... - .............. 1 2 2 ,57 3 .7 4
6 9,8 43 .1 6
P u b lic fu n ds...........................................
C ertificates o f deposit, tim e------20,7 28 .5 0

Total deposits..............$213,195.40

R eserved fo r taxes...............................

105.44

Total casR and Ex........ $56,212.07
$ 2 7 6 ,1 1 8 .4 0

T otal

.$276,118.40

T otal

CLARENDON
M ERCH ANTS & PLANTERS BANK
Charter No. 21. Date of Charter, July 23, 1890.
O fficers—H. B. Bateman, President; Parker C. Ewan, Vice President; W. H. Brown, Cashier; J. H.
Calhoun, Assistant Cashier.
D irectors—H. B. Bateman, Parker C. Ewan, Geo. A. Franklin, H. E. Lynch, C. A. Wilburn, F. K.
Marston, T. T. Bateman, R. F. Milwee, J T. Bateman, two vacancies.
STATEMENT OF DECEMBER 31, 1921

Monroe County

R ESO U R C E S
Loans and .discounts..........................$ 83,7 33 .1 8
L oans on real estate....................... 105 ,64 2 .7 8
O verd rafts .............................................
102.28
U . S. b on d s...........................................
2 0,3 00 .0 0
Other bon d s and secu rities...............
1,271.60

L IA B IL IT IE S
Capital stock ........................................... $ 50,000.00
Certified surplus....................... 25,0 00 .0 0
U nd ivid ed p rofits.....................
15,1 32 .0 4
S avings a ccou n ts....................
17,341.80
In d ivid u a l d ep osits............... 2 18 ,52 5 .6 9

F u r n it u r e a n d fix t u r e s ............... ..........

P u b li c

5 2 8 .3 8

B an k in g hou se......................................
2 ,0 0 0.00
Cash item s.............................................
1,403.33
D ue from reserve banks................... 142,30 7 .5 8
Checks on other ban ks...................
1,379.18
C urren cy ................................................
8 ,710.00
G old ..........................................................
195.00
S ilv er .............
2 ,1 6 9.63

f u n d s .................................

3 ,6 0 3 .0 8

C ertificates o f deposit, tim e...... —.

3 8 ,7 73 .4 6

Total deposits..............$278,244.03
R eserved fo r taxes..................
O ther lia b ilitie s.......................

190.53
1,176.28

Total cash and Ex...... $156,164.72
T otal

$ 3 6 9 ,7 4 2 .9 4

T otal

$ 36 9 ,7 4 2 .9 4

CLARKSVILLE
Johnson County

B A N K O F C L A R K S V IL L E

Charter No. 15. Date of Charter, February 6, 1890.
O fficers—T. E. May, President; J. M. Bryant, Vice President; M. A. Lucas, Cashier; M. E. Clark,
Assistant Cashier.
D irectors—T. E. May, F. C. May, J. M. Bryant, Leslie Bryant, J. J. Montgomery, M. E. Clark,
M. A. Lucas.
STATEMENT OF DECEMBER 31, 1921
RESOURCES
L oans and d iscou n ts.......................... $ 23 1 ,7 2 6 .8 9
L oans on real estate..........................
9 0,9 16 .0 0
O verd ra fts .............................................
841.01
U. S. b o n d s.............................................
2 ,350.00
O ther bonds and secu rities..............
83,4 02 .0 1
F urnitu re and fixtures.....................
5 ,000.00
B an k in g h ou se......................................
10,0 00 .0 0
O ther real estate.................................
2 ,0 0 0.00
Cash item s.............................................
6 19.89
D ue from reserv e ban ks................... 2 6 ,9 37 .7 0
C hecks on other banks.....................
3 ,942.64
C urren cy .........
6,6 8 1.00
G old ..........................................................
25.00
S ilv er .....................................................
2 ,1 2 2.58

L IA B I L I T I E S
C apital s to ck ........................................... $ 25,0 00 .0 0
C ertified surplus.................................
16,000.00
B ills p a ya b le......................................... 1 00,000.00
In d ivid u a l d ep osits............................ 137 ,15 4 .2 6
P u b lic fu n d s...........................................
3 ,373.68
C ertificates o f deposit, tim e........... 182 ,68 2 .5 7
C ashier’ s ch eck s.................................
2 ,3 5 4.21

Total deposits..............$325,564.72

Total cash and Ex.........$40,328.81
T otal




$ 4 6 6 ,5 6 4 .7 2

T otal

.$ 4 66,564.72

S tate

of

A rkansas

57

CLINTON
Van Buren County

V A N BUREN CO U N TY BANK
Charter N o. 117.

Date of Charter, February 2, 1903.

O fficers—-Garner Fraser, President; Luther Bradley, V ice President; Brad Fraser, Cashier; Porter
Maddox, Assistant Cashier.
D irectors— Garner Fraser, Tom Davis, W . Barton, Brad Fraser, Luther Bradley.
STA T E M E N T OF DECEM BER 31. 1921
R E SO U R C E S
L IA B I L I T I E S
Capital s to ck .........- .............—.............. I 20 , 000.00
Loans and d isc o u n ts .-...................... $ 85,362.59
3 ,000.00
Certified surplus....................................
Loans on cotton .................................
8,000.00
6,7 2 3.44
U n divided p rofits................... .............
88.91
O verdrafts .............................................
78,888.33
In d ivid u a l d ep osits............................
U. S. b on d s...........................................
13,645.00
19,189.67
P u b lic fu n d s..........................................
Other bonds and securities..............
1,066.57
Certificates o f deposit, dem and....
F urniture and fixtures.....................
1,400.00
468.97
505.20
C ashier’ s ch eck s....................................
B an king house......................................
1,000.00
Total deposits..............$124,052.17
Other real estate.................................
412 .50
Due from non-reserve b an ks....... .
16,1 08 .0 7
Due from reserve banks................... 21,068.30
C urrency ................................................
4 ,0 0 1.00
G old - .......................................................
688.50
S ilver .......................................................
934.17

Total cash and Ex.........$42,800.04

$ 15 3 ,7 7 5 .6 1

Total

Total

$153 ,7 7 5 .6 1

GOAL HILL
Johnson County

C IT IZ E N S B A N K
Charter No. 293.

Date of Charter, November 27, 1909.

O fficers— G. D. Ferguson, President; J. R. Rush, V ice President; H. A . Daugherty, Cashier;
F. L. Ferguson, Assistant Cashier.
D irectors— G . D. Ferguson, J. R. Rush, H . A . Daugherty, C. C. Flake, G . C. Flake.
STA T E M E N T OF DECEM BER 31, 1921
R ESO U R C E S
L IA B I L I T I E S
Loans and discou n ts............................ $44,05 4 .2 0
Capital stock ............................................. $10,00 0 .0 0
Loans on real estate........................... 11,067.50
Certified surplus..... ................................. 2 ,000.00
Loans on co tto n .....................................
5,000.00
U ndivided p rofits.................................... 3,576.38
O verdrafts ..........................................
1,282.84
In d ivid u a l d ep osits............................... 65,9 78 .6 8
U . S. b on d s.... ........................................ 7,450.00
Certificates o f deposit, tim e.............. 3,267.32
Other bonds and secu rities............
2,368.37
C ashier’ s ch eck s....................................
1,351.61
F urnitu re and fixtures..........................
800.00
Total deposits................ $70,597.58
B an king house................
2,000.00
Due from reserve ban ks.....................
7,800.20
C urrency ..........................................
3 ,720.00
G old .....................
30.00
S ilver .........................................................
600.88

Total cash and Ex........ $12,151.08
T otal

.................................................... $86 ,17 3 .9 9

T otal

.....................................................$ 86,173.99.

COLUMBUS
Hempstead County

BANK OF COLUM BUS
Charter N o. 510.

Date of Charter, June 22, 1920.

O fficers— H. H. Damall, President; H. F. Grigsby, V ice President; J. Y . Johnson, V ice President;
A . L. Propps, Cashier.
D irectors— E. M . Delaney, Ed Shepperson, C. C. Stewart, D. B. Thompson, David Wilson, J. S.
Wilson, H. H. Damall, H . F. Grigsby, J. Y . Johnson, A . L. Propps.
STA T E M E N T OF DECEM BER 31, 1921
RESOU RCES
L IA B I L I T I E S
Loans and d iscou n ts.............................$ 1 2 ,62 4 .3 4
Capital s to ck ........................................... $ 20,000.00
Loans on real estate............................... 5,721.41
Certified surplus......................................
2,000.00
L oans on co tto n ......................................
225.50
Savings a ccou n ts...................................
1,796.49
Other bonds and secu rities..............
177.90
In d ivid u a l d ep osits............................... 11,6 16 .2 4
F urnitu re and fixtures..........................
1,952.11
Certificates of deposit, tim e..............
130.72
B anking house........................................
8,539.11
C ashier’ s ch eck s........... ........................
69.35
Due from non-reserve b an ks.............. 2,258.35
Total deposits................$13,612.80
Due from reserve ban ks.....................
2,008.22
Currency ..................................................
897.00
G old ............................................................
5.00
S ilver .........................................................
123.00

Total cash and Ex...........$5,291.57

Other resou rces......................................
T otal




1,080.86

.$35,612.80

Total

.$35,612.80

58

R eport

of

B a n k C omm issioner

CONWAY
Faulkner County

BANK OF C O N W A Y

Charter No. 19.

Date of Charter, April 29, 1890.

O fficers—Jo Frauenthal, President, Tom Davis, Vice President; Opie Hartje, Cashier, Geo. Shaw,

Jr., Assistant Cashier.

F. U. Halter, J. J. Hiegel, C. E. Durham, C. H. Newbern. S. G. Smith, Jo F'rauenthal,
Tom Davis.

D irectors

STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
L IA B I L I T I E S
L oans and d iscou n ts.......................... $ 2 1 2 ,8 7 6 .8 4
Capital s to ck ........................................ $ 50,000.00
Loans on real estate..........................
71,4 32 .9 6
Certified surplus....................................
10,000.00
L oans on co tto n .........................
1 33,714.79
U n d ivid ed p rofits............................. .
22,5 21 .8 5
U. S. b on d s ...................................
13,600.00
B ills p a ya b le ............................ ........... 121,00 0 .0 0
O ther bonds and secu rities....................................11,532.20
2 8,9 47 .9 0
Savings a ccou n ts........................ ........
F urnitu re and fixtures.......................
14,000.00
In d ivid u a l d ep osits............................ 2 19,252.33
B an king hou se......................................
15.000.00
P u b lic fu n ds.............................. ...........
5,239.72
1,183.94
Cash item s.............................................
C ertificates o f deposit, dem and....
11,318.94
Due from reserve ban ks..................
27,6 48 .7 1
C ertificates o f deposit,
tim e.......
50,106.68
Checks on other ban ks.......................
11,408.28
C ash ier’ s ch eck s....................................
1,325.11
C urren cy ................................................
5,111.00
Total deposits..............$316,190.68
G old ..........................................................
610.00
S ilver .............
783.81

Total cash and Ex........$46,745.74
Other

resou rces.................................:.

T otal

810.00
$ 5 1 9 ,7 1 2 .5 3

T otal

$ 519,712.53

CONWAY
Faulkner County

FARM ERS STATE BANK

Charter No. 393.

Date of Charter, November 26, 1912.

O fficers—S. G. Smith, President; Wiley Mosley, Vice President; Frank Farris, V-ice President;

R. H Maddox, Cashier; H. C. Johnston, Assistant Cashier; J. E. Lyon, Assistant Cashier;
Gus Allison, Assistant Cashier.

D irectors—S. G. Smith, Frank Farris, J. A. Pence, S. T. Smith, Wiley Mosley, W. J. Grummer,

J. A. Mode.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts.......................... $ 40 3 ,4 8 4 .9 9
L oans on real estate.......................... $ 1 3 6 ,7 1 2 .6 7
L oans on cotton .................................... 1 44,894.42
O verd rafts .............................................
3 ,014.52
U. S. b o n d s .............................................
11,300.00
O ther bon d s and secu rities...... ....... 21,0 89 .9 8
F u rn itu re and fixtures.....................
13,500.00
Item s in tra n sit...................................
1,839.04
D ue from n on -reserve b an ks.........
58,350.19
.C ash item s.............................................
886.26
D ue from reserve ban ks................... 41,3 98 .2 2
Checks on other ban ks.....................
3 ,5 6 8.27
C urrency ................................................
16,384.00
G old ..........................................................
555.00
S ilver .......................................................
5,326.53

Total cash and Ex...... $128,307.51
T otal

$ 8 6 2 ,3 0 4 .0 9

JThis am ount not added in totals.




L IA B I L I T I E S
Capital s to c k ...........................................$ 60,000.00
Certified surp lu s.................................... 10,000.00
U nd ivid ed p rofits.....................
17,456.75
Notes red iscou n ted ............................
6 6,8 05 .3 6
$Bills p ayable “ D eposits on w hich
m ore than 4 per cent interest
is p a id ” ........................
23,0 00 .0 0
S avings a ccou n ts.................................
16,2 22 .7 7
In d ivid u a l d ep osits..........................
395,54 8 .6 2
P u b lic fu n d s ...........................................
37,340.58
C ertificates o f deposit, dem and.... 29,6 88 .2 3
C ertificates o f deposit, tim e...... . 2 28 ,61 5 .4 8
Certified ch eck s....................................
6.00
C ash ier’ s ch eck s....................................
620.30

Total deposits..............$708,041.98
T otal

$ 86 2 ,3 0 4 .0 9

S tate

of

A rkansas

59

CONWAY
Faulkner County
FAULK NER C O U N T Y BANK & TRUST C O M P A N Y

Charter No. 103. Date of Charter, October 28, 190?.
O fficers—B. L. Harton, President; B. T. Deal, Vice President; V. D. Hill, Cashier.
D irectors-—B. L. Harton, B. T. Deal, V. D. Hill, J. E. Little, W. D. Cole, D. O. Harton, Wm. R.

James, Joe Enderlin,

STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
Loans and d iscounts.......................... $459 ,6 0 2 .9 7
Loans on real estate......................... 134,183.60
Loans on cotton ..................................
36,939.86
1,780.37
O verdraft? .............................................
U. S. b on d s................
4,627.45
Other bonds and secu rities.............. 42,183.62
Furniture and fixtures.....................
4 ,702.70
B an king hou se......................................
15,395.85
Other real estate................................
4,458.39
Cash
item s.....................
358.91
Due from reserve ban ks..................
58,226.88
3,764.31
Checks on other ban ks.....................
C urrency ..........
8,230.00
G old .........................................................
882.55
S ilver ............................
620.35

L IA B I L I T I E S
Capital stock ......................................$ 90,0 00 .0 0
Certified surplus .................................
18,000.00
U ndivided profits ...............................
10,586.07
B ills payable ...................................... 185 ,00 0 .0 0
In d ivid u a l deposits ....................... - 2 88 ,81 7 .5 6
P u b lic funds ........................................
4 8,9 63 .9 4
Certificates o f deposit, dem and.... 20,847.81
Certificates of deposit,
tim e........ 107,775.21
C ashier’ s checks .................................
2,9 2 2.46

Total deposits............. $469,326.98

R eserved fo r taxes...............................
Other lia b ilitie s....................................

3 ,000.00
2 ,150.00

Total cash and Ex........ $72,083.00

Other

2 ,105.24

resou rces..............

Total

$ 7 7 8 ,0 6 3 .0 5

Total

.$ 7 78,063.05

CORNING
Clay County

C O R N IN G B A N K & T R U S T C O M P A N Y

Charter No 58. Date of Charter, April 26, 1900.
O fficers—F. B. Sprague, President; T. W. Wynn, Vice President; E. Vandover, Cashier.
D irectors—F. B. Sprague, J. R. Rhyne, E. Vandover, Chas. R. Black, T. W. Wynn, A. B. Gallegley.

STATEMENT OF DECEMBER 31, 1921
RESOURCES
L oans and d iscou n ts.......................... $ 20 7 ,3 2 6 .3 8
Loans on real estate.......................... 24,321.60
O verdrafts .............................................
201.55
Other bonds and secu rities..............
5,680.01
F urniture and fixtures.......................
5,000.00
B an king hou se......................................
23,0 00 .0 0
Cash item s...............................................
2,416.31
Due from reserve banks................... 34,007.41
Checks on other ban ks.....................
14,536.94
C urrency ................................................
4,5 7 8.00
G old ...........................
215.00
S ilver .......................................................
1,223.32

Total cash and Ex........ $56,976.98
T otal

.................................................. $322 ,5 0 6 .5 2

JThis am ount not a dded in totals.




L IA B IL IT IE S
Capital s t o c k ........................................ $ 50,000.00
Certified surp lus...................................
3,000.00
U ndivided p rofits.................................
8 ,6 1 8.70
$Bills p ayable “ D eposits on w hich
m ore than 4 p er cent interest
is p a id ’ ’ ...................................
30,3 22 .1 8
In d ivid u a l d ep osits.........?................. 185,896.21
P u b lic fu n d s...........................
25,213.31
Due to non -reserve ban k s..............
8,009.40
C ertificates o f deposit, dem and....
225.80
C ertificates o f deposit, tim e........
30,322.18
C ash ier’ s ch eck s.........................
11,220.92

Total deposits..............$260,887.82
T otal

.................................................. $ 3 2 2 ,5 0 6 .5 2

60

R eport

of

B a n k C om m issioner

COTTER
Baxter County

BAXTER CO U N TY BANK

Charter No. 144. Date of Charter, October 12, 1903.
O fficers—W. F. Eatman, President; E. H. Hogue, Vice President; E. J. Loop, Cashier, H. W.

White, Assistant Cashier.

D irectors—W. F. Eatman, E. J. Loop, E. H. Hogue, H. N. Force.

STATEMENT OF DECEMBER 31, 1921
RESOURCES
L oans and d iscou n ts..........................$ 8 5,2 63 .2 0
8,725.33
L oans on real estate..........................
O verd ra fts .............................................
68.37
U . S. b on d s ...........................................
2 4,8 50 .0 0
O ther bon d s and secu rities..............
5 16.36
F urnitu re and fixtures.....................
475 .00
4 ,0 0 0.00
B an king hou se....................
Item s in tra n sit....................................
1,800.00
B ills o f exchange.................................
2,0 0 0.00
30,7 21 .2 9
D ue from reserv e ban ks..................
C urren cv ................................................
8 ,434.00
G old .............................................
620.00
S ilv er ..........................................
3 ,3 1 7.15

L IA B IL IT IE S
Capital s t o c k .........................................$ 10,000.00
Certified surplus....................................
6 ,000.00
U n d ivid ed p rofits.................................
3 ,2 2 6.14
In d ivid u a l d e p o s it s ............................ 1 38,470.28
P u b lic fu n d s...... ....................................
1,247.28
C ertificates o f deposit, tim e.........
11,8 47 .0 0

Total deposits.............. $151,564.56

Total cash and Ex...... $46,892.44
T otal

.....................................................170,790.70

T otal

.....................................................1 70,790.70

COTTON PLANT
Woodruff County
BANK OF CO TTO N P LAN T & TRUST C O M P AN Y

Charter No. 62. Date of Charter, November 1, 1900.
O fficers—R. R. James, President;

Roy D. Campbell, Vice Prseident; A. M. Carter, Cashier;
John I. Andrews, Assistant Cashier.

D irectors—R. R. James, Roy D. Campbell, J. R. Boon,’ J. R. Meehan, D. H. Echols, Walter Rives.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts.......................... $ 1 1 1 ,9 1 6 .9 4
L oans on real estate..........................
81,7 12 .9 3
L oans on co o tto n .................................
2 4,0 30 .0 0
O verd rafts .............................................
511.65
U . S. b on d s .............................................
15,0 95 .9 2
O ther bon d s and secu rities..............
3 ,081.40
F urnitu re and fixtures.....................
3 ,4 9 8.40
B an kin g h ou se......................................
15,5 55 .9 9
O ther real estate.................................
1,075.00
Item s in tra n sit....................................
1,475.40
Cash item s.............................................
353A 4
Due from reserve banks................... 27,223*01
Checks on other ban ks.....................
1 ,6 6 4.86
C urren cy ................................................
6 ,537.00
G old ..........................................................
500.00
S ilv er .......................................................
1,824.18

L IA B IL IT IE S
Capital s to ck ........................ ...............$ 5 0,0 00 .0 0
Certified surplus....................................
13,000.00
U n d ivid ed p rofits.................................
10,056.43
B ills p a ya b le...........................................
3 3,0 00 .0 0
In d ivid u a l d ep osits............................ 136,469.63
19,3 87 .5 6
P u b lic fu n d s ...........................................
C ertificates o f deposit, tim e.........
3 5,3 42 .2 0

Total deposits..............$191,199.39

Total cash and Ex.........$39,577.59
O ther

resou rces....................................

T otal

1 ,200.00

.................................................. $ 29 7 ,2 5 5 .8 2




T o ta l

.................................................. $ 29 7 ,2 5 5 .8 2

S tate

of

A rkansas

61

GOVE
Polk County

BANK OF COVE

Charter No. 241. Date of Charter, July 30, 1907.
O fficers—O. B. Witherspoon, President; D. Barton, Vice President; J. C. Allen, Cashier; W. W.

Crain, Assistant Cashier; D. O. Dover, Assistant Cashier.

D irectors—O. B. Witherspoon, D. Barton, J. C. Allen, Ober Rowe, A. C. Blake.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and discou n ts.............................$62 ,40 2 .5 0
Loans on real estate............................... 11,000.00
Loans on cotton ......................................
3,800.00
O verdrafts ................................................
90.19
U. S. b on d s................................................
300.00
Other bonds and securities................
249.48
F urniture and fixtures........................ 2,965.00
B an king house........................................
9 00.00
Other real estate.................................... 2 ,811.42
Item s in transit............................. .'.......
278.89
Cash item s................................................
800.00
D ue from reserve ban ks.....................
8,001.15
1,013.00
C urrency ..................................................
G old ............................................................
145.00
S ilv er .........................................................
683.81

L IA B I L I T I E S
Capital stock ........................................... $10,00 0 .0 0
Certified surplus......................................
2,0 0 0.00
B ills p a ya b le...........................................
7,037.18
Notes red iscou n ted ................................. 20,229.79
Ind ivid u al d ep osits............................... 43,605.63
P u b lic fu n d s.............................................
2,678.53
Certificates o f deposit, dem and.........
7,616.70
2,272.61
C ashier’ s ch eck s................................

Total deposits................ $56,173.47

Total cash and Ex.........$10,921.85
T otal

.................................................... $ 95 ,44 0 .4 4

T otal

........................ ........................... $ 9 5 ,44 0 .4 4

CRAWFORDSVILLE
Crittenden County
C R IT T E N D E N C O U N T Y B A N K & T R U S T C O M P A N Y

Charter No. 126. Date of Charter, January 9, 1909.
O fficers—Louis Barton,

President; H. E. Wilder, Vice President; W. M. Crawford, Cashier.

D irectors—Louis Barton, W. B. Rhodes, W. S. Danner, H. A. McGhee, Ed Talbott, C. G. Barton,

Geo. W. Patterson, E. J. Badinelli, Albert Horner, H. E. Wilder

STATEMENT OF DECEMBER 31, 1921
RESOURCES
L IA B I L I T I E S
Capital s t o c k ........................................ !
Loans and discou n ts.......................... $ 183,897.49
Loans on real estate.......................... 1 30,647.50
Certified surplus....................................
Other bonds and secu rities....................................4 ,5 6U5.04
ndivided p rofits.................................
Notes red iscou n ted ...............................
Furniture and fixtures.......................
2,592.00
B anking house......................................
4 ,000.00
Savings a ccou n ts.................................
Due from non-reserve b an k s.........
15,362.16
In d ivid u a l d e p o s it s ............................
Due from reserve ban ks................
10,268.95
P u b lic fu n ds..........................................
C ertificates o f deposit, tim e..............
C urrency
..........................................
9,377.00
G old .........................................................
460.00
Total deposits..............$201,249.28
S ilver .......................................................
2 ,2 5 0.56

7 5.0 00 .
00
2 4 .0 0 0 .
00
282.06
62,8 89 .3 6
20,897.42
82,0 92 .2 4
90,560.02
7,699.60

Total cash and Ex...... $37,718.67
Total




$ 36 3 ,4 2 0 .7 0

Total

$ 36 3 ,4 2 0 .7 0

62

R eport

of

B a n k C om m issioner

CROSSETT
Ashley County

B A N K OF CROSSETT

Charter No. 426. Date ol Charter, December 22, 1913.
O fficers—E. W. Gates, President; A. Trieschmann, Vice President; G. H. Norman, Cashier; Rov

Dooley, Assistant Cashier.

D irectors—E. W. Gates, A. Trieschmann, G. H. Norman.

STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
L oans and d iscou n ts.......................... $ 3 2 9 ,1 9 3 .8 4
L oans on real estate..........................
36,5 93 .6 2
L oans on co tto n ....................................
8,025.00
U . S. b on d s .............................................
8,1 0 0.00
O ther bonds and secu rities..............
715.82
F urnitu re and fixtures........................ 12,500.00
O ther real estate.................................
356.12
5,820.38
Item s in tra n sit...................................
Cash item s................................ ............
52.15
Due from reserve hanks............... 128 ,23 9 .7 2
C urren cy ................................................
16,859.00
G old ..........................................................
40.00
S ilver .......................................................
1,237.12

L IA B IL IT IE S
Capital sto ck ....................................... $ 25,0 00 .0 0
C ertified surplus.................................... 30,0 00 .0 0
U n d ivid ed p rofits.........................T.......
18,124.83
S avings a ccou n ts................................. 188 ,32 2 .6 5
In d ivid u a l d ep osits............................. 2 87 ,73 8 .1 2
P u b lic fu n d s..................... .....................
2,3 8 3.90
C ertificates o f deposit, tim e...... .......
6 ,349.17
2,385.43
C ashier’ s ch eck s.................................

Total deposits.............. $487,179.27

Total cash and Ex.$152,248.37
O ther

resou rces....................................

T otal

12,571.33

.$ 560,304.10

T otal

.$560,304.10

DALARK
Dallas County

DALARK BANK

Charter No. 292.

Date of Charter, November 5, 1909.

O fficers—R. M. Atchley, President; J. F. Wilson, Vice President; Jno. R. Williams, Cashier;

Elsie B. Evans, Assistant Cashier.

D ierctors—R. M. Atchley, J. F. Wilson, J. M. Dowdy, H. A. Atchley, Tom G. Clark.

STATEMENT OF DECEMBER 31. 1921
L IA B I L I T I E S
R E SO U R C E S
L oans and d iscou n ts.............................$ 1 9 ,77 1 .7 5
Capital s t o c k ........................................... $ 10 ,00 0 .0 0
L oans on real estate............................
9 ,833.85
2 ,250.00
Certified surplus......................................
O verd rafts ................................................
206 .84
U n d ivid ed p rofits....................................
733.31
U. S. b o n d s...............................................
549.52
B ills p a ya b le...........................................
5,000.00
S avings accounts..'.................................
4 ,2 7 7.16
O ther bonds and secu rities................................... 20.53
In d ivid u a l d e p o s it s ............................... 1 7,0 89 .3 4
F urnitu re and fixtures..........................
1,500.00
B an kin g house........................................
2 ,0 0 0.00
C ertificates o f deposit, tim e..............
3,739.23
C ash ier’ s ch eck s....................................
1 ,119.75
Due from n on -reserve hanks.................................... 58.59
Total deposits................ $26,225.48
Cash itSm s................................
2 ,212.90
Due from reserve hanks.....................
5,319.00
C urren cy ..................................................
1,621.00
G old ............................................................
262.50
S ilv er ............
833.18

Total cash and Ex...... $10,307.17
O ther
T otal

resou rces......................................

19.13

.....................................................$44,20 8 .7 9




T otal

.....................................................$44 ,20 8 .7 9

S tate

of

A rkansas

63

DANVILLE
Y e ll County

C I T IZ E N S B A N K

Charter No. 348. Date of Charter, September 6, 1911.
O fficers—S. Bondi, President; Geo. Leming, Vice President; J. H. Howard, Cashier; J. F. Nunn,
Assistant Cashier.
D irectors—S. Bondi, Geo. Leming, G. E. Ragan, N. M. Tidwell, J. H. Howard.
STATEMENT OF DECEMBER 31. 1921
R E SO U R C E S
Loans and discou n ts..........................$ 53,381.83
Loans on real estate.......................... 21,2 57 .7 7
O verdrafts ..........................................
198.90
U. S. b on d s.....................................
8,150.00
Other bonds and secu rities..............
4,8 3 6.58
F urnitu re and fixtures.......................
1,350.00
B an king hou se...... ...............................
3,000.00
Due from reserve b an ks................... 10,585.43
C urrency ................................................
3,385.00
G old .....................................................
430.00
S ilver .......................................................
880.50

L IA B I L I T I E S
Capital s t o c k ........................................ $ 20,000.00
Certified surplus....................................
2,500.00
U ndivided p rofits.................................
2,3 3 1.04
B ills p a ya b le...........................................
5,000.00
In d ivid u a l d e p o s it s ..... ....................... 68,224.78
Certificates o f deposit, tim e.......... .
8,831.63
C ashier’ s ch eck s....................................
568.56

Total deposits................ $77,624.97

Total cash and Ex___ $15,280.93
T otal

.$107,456.01

Total

$107,456.01

DANVILLE
Y e ll County

YELL CO U N TY BANK

Charter No. 82.' Date of Charter, January 16, 1902.
O fficers—J. W. Lewis, President; O. J. Harkey, Vice President; J. P. Norman, Cashier; Odell
I. Moudy, Assistant Cashier.
D irectors—J. W. Lewis, J. P. Norman, S J. Mitchell, O. J. Harkey, T. L. Pound.
STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
Loans and d iscou n ts....................... _._.$
Loans on real estate........................
O verdrafts ..................
U. S. b on d s.............................................
Other bonds and secu rities..............
Furniture and fixtures............ ..........
B an king house........................................
Due from reserve ban ks..................
Checks on other ban ks.....................
C urrency ......................
G old .........................................................

Silver ................................................
Total cash and Ex___ $28,168.41
T otal .'.

88,023.60
21,3 96 .2 5
973.85
2 ,750.00
61,5 22 .5 7
3,185.00
2,700.00
15,585.23
1,749.91
9,200.00
132.50

L IA B I L I T I E S
Capital s t o c k ........................................!
Certified s u r p lu s ..................................
U ndivided p rofits.................................
B ills p a ya b le...........................................
In d ivid u a l d e p o s it s ............................
P ublic fu n ds...........................................
Certificates o f deposit, tim e..............
C ashier’ s ch eck s...................................

Total deposits..............$153,282.23

2 5 .0 0 0 .
00
2 ,600.00
2,837.45
2 5 .0 0 0 .
00
63,314.24
77,531.57
9.732.71
2.703.71

1,500.77

$208 ,7 1 9 .6 8

$ 20 8,719.68

Total

DARDANELLE
Y e ll County

D AR D AN ELLE BANK & TRUST C O M P AN Y

Charter No. 282. Date of Charter, July 12, 1909.
O fficers—T. A. Johnston, President; W. L. Fowlkes, Vice President;

Fred C. Burnett, Assistant Cashier.

L. C. Adams, Cashier;

D irectors—T. A. Johnston, W. L. Fowlkes, G. L. Veazey, J. J. Boyce, R. S. Cotton, D. C. Cale,

Dr. L. E. Love, L. C. Adams, Fred C. Burnett.
STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
Loans and d iscou n ts................... ........$249 ,3 3 7 .5 4
Loans on real estate—......................
15,027.58
Loans on cotton ............ .......................
25,6 29 .3 5
O verdrafts ...........................................
546.78
F urniutre and fixtures........................
5,575.88
B anking house......................................
4,565.00
Other real estate.................................
3,000.00
B ills of exchange.................................
7,687.48
Due from reserve ban ks...................
16,842.73
Currency ................................................ 11,506.00
G old .........................................................
410.00
S ilver .......................................................
1,269.15

L IA B I L I T I E S
00
Capital s t o c k ........................................ S 5 0.0 00 .
Certified surp lu s.................................... 10 . 0 0 0 . 00
19,995.07
U ndivided p rofits.................................
Notes red iscou n ted ............................... 34,397.85
In d ivid u a l d e p osits............................ 183,818.63
9,020.43
P u b lic fu n d s ...........................................
C ertificates o f deposit, dem and.... 36,844.60

Total deposits..............$229,683.66

Total cash and Ex...... $37,715.36

Other resou rces......................................
Total




2,679.09
$344 ,0 7 6 .5 8

Total

$ 344,076.58

64

R eport

of

B a n k C om m issioner

DARDANELLE
Y e ll County

FARM ERS BANK

Charter No. 281.

Date of Charter, June 28, 1909.

O fficers—J. F. Stevenson, President; R. H. Cuningham, Vice President and Cashier; Albert Rorex,

Assistant Cashier.

D irectors—M. D. Howell, Ben L. Cuningham, R. C. Cuningham, Sr., J. F. Stevenson, R. H. Cun-

ingham, Albert Rorex.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S

Loans and discounts.......................$125,178.18
Loans on real estate........................ 24,518.39
Loans on cotton...............................
355.16
Overdrafts .......................................
502.96
600.00
U . S. bonds................................
Other bonds and securities............ 11,571.88
Furniture and fixtures..... ..............
2,488.25
Banking house.........................
4,886.00
Other real estate.............................
318.01
Items in transit...............................
12.00
Cash items.......................................
2,202.90
Due from reserve banks................ 10,150.55
Checks on other hanks..................
1,185.85
5,137.00
Currency .........................................
Gold ..................................................
320.00
Silver ................................................
773.84
Total cash and Ex...... $19,782.14
Other resources...............................
454.00
T ota l

.................................................. $ 1 9 0 ,6 5 4 .9 7

L IA B I L I T I E S
Capital, s t o c k ........................................ $ 25,0.00.00
Certified surp lu s....................................
6 ,000.00
U nd ivid ed p rofits.................................
4 ,8 6 9.11
B ills p a ya b le......................................... 2 5,0 00 .0 0
In d ivid u a l d e p o s it s ............................ 110,30 5 .8 1
P u b lic fu n d s .........................................
3 ,584.21
C ertificates o f deposit, dem and.... 15,045.23
850.61
C ash ier’ s ch e ck s.....................

Total deposits..............$129,785.86

T otal

.................................................. $ 19 0 ,6 5 4 .9 7

DATTO
Clay County

BANK OF DATTO

Charter No. 386.

Date of Charter, April 16, 1910.

O fficers— C. U. Day, President; T. C. McGuire, Vice President; D. P. Day, Cashier; H. W.

Johnson, Assistant Cashier.

D irectors—C. U. Day, T. C. McGuire, D. P. Day.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts..... ..................... $11 ,48 8 .4 3
L oans on real estate...........................
338.58
O verd rafts ..............................................
45.15
U . S. b o n d s ........................................ ..... 10,250.75
F urnitu re and fixtures........................
600.00
Cash item s............................................
8.50
Due from reserve ban ks................. 16,929.35
C urren cy ................................................
2 ,114.00
G old .................................................. .......
195.00
S ilver ......................................................
1,186.48

L IA B I L I T I E S
$ 10 ,00 0 .0 0
Capital s t o c k ..............................
C ertified surplus..............
700.00
U n d ivid ed p rofits....................................
972.04
In d ivid u a l d e p o s it s ............................... 26,8 41 .7 8
P u b lic fu n d s.............................................
165.78
C ertificates o f deposit, tim e..............
3,586.07
C ash ier’ s ch eck s......................................
922.41

Total deposits................ $31,516.04

Total cash and Ex...... $20,433.33

Other

resou rces...................................

T otal




31.84
.$43,188.08

T otal

$43,18 8 .0 8

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65

DECATUR
Benton County

STATE BAN K OF D ECATU R

Charter No. 226. Date of Charter, December 29, 1906.
O fficers—E. C. Pickens, President; W. E. Jackson, Vice President; J. W. Hurd, Cashier; H. J.
Kuebler, Assistant Cashier.
D irectors—E. C. Pickens, W. E. Jackson, J. W. Hurd, Mabel N. Hepner, E. Evans.
STATEMENT OF DECEMBER 31. 1921
RESOURCES
Loans and. d iscou n ts.............................$24 ,44 5 .3 5
Loans on real estate............................ 20,705.89
O verdrafts ................................................
17.36
Other bonds and secu rities..............
20.00
F urnitu re and fixtures..........................
1,500.00
B an king house........................................
1,600.00
Due from reserve ban ks.....................
5,627.37
2,8 0 1.00
C urrency ..................................................
G old ............................................................
55.00
S ilver ................ .........................................
711.23

L IA B I L I T I E S
Capital s t o c k ........................................... $10,00 0 .0 0
Certified surplus..................
2,0 0 0.00
U n d iv id ed p rofits...................
1,268.16
In d ivid u a l d e p o s it s ........... .......
35,5 02 .0 5
P u b lic fu n d s.............................................
123.38
Certificates o f deposit, tim e.............. 8,589.61

Total deposits................ $44,215.04

Totoal cash and Ex.........$9,194.60
.$5 7 ,4 83 .2 0

T otal

Total

.$57,483.20

DELIGHT
Pike County

B A N K O F D E L IG H T

Charter No. 342. Date of Charter, June 16, 1911.
O fficers—C. E. Johnson, President: R. W. Stell, Vice President; C. A. Kizzia, Vice President;
W. N. Clingan, Cashier.
D irectors—C. E. Johnson, R. W. Stell, C. A. Kizzia, C. E. Reid.
STATEMENT OF DECEMBER 31, 1921
RESOU RCES
L oans and d iscou n ts..............
Loans on real estate..............
O verdrafts ..................................
U. S. b on d s...............................
Other bonds and securities.
F urniture and fixtures............
B an king hou se............................
Cash item s....................................
Due from reserve ban ks.......
C urrencv .......... -........................
G old .................... -........................
S ilv er ............................................

57,5 96 .4 4
22,9 30 .9 5
140.26

2, 000.00
1,797.67

2,200.00

Total cash and Ex...... $32,470.91

2.650.00
93.99
24,7 05 .3 1
5.701.00
1.070.00
900.61

O ther resou rces......................................

Total deposits................ $98,227.38

12,500.00
7.500.00
3,828.85
57,923.35
6,026.49
3 2,9 65 .5 4
1.312.00

270.00

.$122,056.23

Total

L IA B IL IT IE S
Capital s to ck —.....................................!
Certified surplus....................................
U ndivided p rofits.................................
In d ivid u a l d e p o s it s ............................
P u b lic fu n d s...........................................
Certificates fo deposit, dem and.—
C ashier’ s ch eck s.................................

Total

$ 122,056.23

DERMOTT
Chicot County

E X C H A N G E BANK & TRUST C O M P A N Y

Charter No. 310. Date of Charter, May 25, 1910.
O fficers—W. D. Trotter, President; V. J. Trotter. First Vice President; D. Kimpel, Second Vice

President; D. T. Gaines, Cashier; J. K. McCullough, Assistant Cashier.

D irectors—W. D. Trotter, D. Kimpel, C. R. Bates, Geo. W. Lambert, D. T. Gaines, V. J. Trotter,

C. Helmstetter, E. B. McCullough, C. R. Bates.
STATEMENT OF DECEMBER 31, 1921

R E SO U R C E S
Loans and d iscou n ts......................... $ 93,7 28 .6 8
Loans on real estate.......................... 160,925.93
24,6 40 .0 0
Loans on cotton ...................................
2,721.98
O verdrafts .............................................
30,1 22 .3 7
U. S. b on d s..:.........................................
11,739.15
Other bonds and secu rities...........
2,258.00
F urniture and fixtures.....................
B an king hou se......................................
9,000.00
Item s in tra n sit...................................
588.29
623.47
Cash item s.............................................
6 8,3 31 .4 4
Due from reserve ban ks..................
C urrency ................................................ 1^5,143.00
40.00
G old ............................................. - .........
S ilver ..........,...........................................
2 ,831.60

L IA B I L I T I E S
Capital s t o c k ........................................ ! 75,000.00
Certified surplus...................................
15.0 00 .
00
♦ U ndivided p rofits.................................
5,438.14
4 0 .0 0 0 .
00
B ills p a ya b le..........................................
D ividen ds u n p aid .................................
758.75
1 In d ivid u a l d e p o s it s ............................ 193,045.17
P u b lic fu n ds...........................................
53,607.13
Due to reserve b an k s..........................
6,778.00
10,114.21
C ertificates o f deposit, dem and....
22,2
22 .6 5
C ertificates of deposit, tim e...........
1,729.86
C ashier’ s ch eck s....................................

Total deposits..............$288,255.77

Total cash and Ex...... $88,557.80
T otal




$ 42 3 ,6 9 3 .9 1

Total

$423 ,6 9 3 .9 1

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B a n k C om m issioner

DES ARC
Prairie County

FARM ERS & M ERCHANTS BANK

Charter No. 84.

Date of Charter, January 20, 1902.

O fficers—A. L. Erwin, President; W. W. Bethell, Vice President; L. R. Brown, Cashier; Hugh E.

Erwin, Assistant Cashier.

D icectors—A. L. Erwin, W. W. Betheli. Henry Nichols, J. A. King.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts............................ $ 1 1 3 ,1 5 1 .4 5
2 ,5 2 9.47
L oans on real estate..........................
L oans on co tto n .................................... 9 5,9 70 .5 0
O verd rafts .............................................
13.90
U. S. b o n d s .............................................
11,1 50 .0 0
O ther bon d s and secu rities..............
3 ,4 4 1.11
1,166.40
F urnitu re and fixtures.................. ?.
D ue from reserve ban ks..................
9 ,6 8 1.84
Checks on other ban ks.....................
4 55 .74
C urren cy ................................................
5 ,1 7 2.00
G old ..........................................................
690.00
6 36.82
S ilv er .......................................................

L IA B IL IT IE S
C apital s t o c k ........................................ i
C ertified surp lus....................................
U nd ivid ed p rofits.................................
B ills p a ya b le ...........................................
Notes red iscou n ted ...............................
D ivid en ds un p aid .................................
In d iv id u a l, d e p o s it s ............................
P u b lic fu n d s...........................................
C ertificates o f deposit, dem and.—
C ash ier’ s ch eck s....................................

Total deposits..............$112,936.33

5 0 .0 0 0 .

10. 00 0 .

2 ,7 2 9.66
5 8.5 00 .0 0
10.6 00 .0 0
5 ,000.00
8 0,5 57 .0 5
2 ,957.51
23,7 18 .4 3
7 03.34

Total cash and Ex...... $16,636.40
Other resou rces......................................
T otal

706.76
$244 ,7 6 5 .9 9

T otal

$ 24 4 ,7 6 5 .9 9

DE QUEEN
Sevier County

BANK OF DE QUEEN

Charter No. 74. Date of Charter, June 1, 1901.
O fficers—B. E. Isbell, President; M. F. Allen, Vice President; L. D. McCown, Vice President;

F. W. Park, Cashier; Homer L. Moore, Assistant Cashier; F. S. Venable, Assistant Cashier.
Isbell, M. F. Allen, C. C. Ray, E . C. Hayes, L. D . McCown.

D irectors — B . E .

STATEMENT OF DECEMBER 31, 1921
RESOURCES
L IA B IL IT IE S
L oans and d iscou n ts.............................$29 6 ,8 3 1 .7 2
C apital s t o c k ........................................ $ 6 0,0 00 .0 0
L oans on real estate..........................
C ertified surplus.................................... 2 5 ,0 00 .0 0
85,8 57 .4 9
L oans on cotton .................................... 13,6 13 .4 7
U n d ivid ed p rofits.................................
13,929.75
O verd ra fts .............................................
7.5 4 * B ills p a ya b le........................................... 1 0 5 ,00 0 .0 0
8,526.01
O ther bon d s and securities.................................... 3 ,6 5S8.17
avings a ccou n ts.................................
F u rn itu re and fixtures........................
2 ,9 9 5.20
In d ivid u a l d e p o s it s ............................ 1 8 0 ,21 2 .5 6
B an k in g h ou se.........................................
6 ,000.00
P u b lic fu n d s ...........................................
1 2,2 64 .2 0
D u e to non -reserve b an k s................
6 3,4 08 .2 6
Other real estate.................................
540.19
Cash item s.............................................
18,1 47 .9 8
C ertificates o f deposit, dem and.... 5 1,5 01 .0 5
D ue from reserve banks...................
77,0 29 .2 5
C ashier’ s ch eck s....................................
8,2 7 1.30
Checks on other ban ks.....................
212.43
Total deposits..............$324,183.38
C urren cy ................................................
1 9,0 15 .0 0
G old ..........................................................
3 ,205.00
S ilv er .........................................
9 32.52

Total cash and Ex.... $118,542.18

O ther resou rces......................................
T otal




67.17

$ 52 8 ,1 1 3 .1 3

T otal

.$ 5 28,113.13

00

00

S tate

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A rkansas

DE QUEEN
Sevier County

FIRST STATE BANK
Charter No. 459.

Date of Charter, November 29, 1916.

O fficers—Roy Williamson, President; H. H. Cooper, Vice President; R. L. Hopkins, Vice Presi­

dent; Colvin S. Smith, Cashier; Fred E. Poole, Assistant Cashier.

D irectors—Roy Williamson, H. H. Cooper, R. L. Hopkins, Colvin S. Smith, J. B. Luton, J. L. Bales,

T. A. Knight, W. A. Prater, C. M. Gore, J. C. McClain, Frank Steel.
STATEMENT OF DECEMBER 31, 1921

R ESO U R C E S
Loans and d iscou n ts........... ..............!
L oans on real estate............................
O verdrafts .............................................
Other bonds and secu rities..............
F urnitu re and fixtures.......................
B an king house......................................
Item s in tra n sit...................................
Due from reserve ban ks.....................
Checks on other banks.....................
C urren cy ................................... ...........
G old ...... .................................. ...............
S ilver .............................................. ........

Total cash and Ex...... $21,707.19

82,635.38
4 ,7 4 2.35
4.30
1.012.50
6.840.50
52,000.00
84.50
14,945.34
542.34
3,652.00
112.50
2 .370.51

L IA B IL IT IE S
C apital stock ......... :.............................. I
Certified surplus....................................
U ndivided p rofits.................................
B ills p a ya b le........................... ...............
JBills payable “ D eposits on w hich
m ore than 4 p er cent interest
is p a id ’ ’ .............................................
Savings a ccou n ts.................................
In d ivid u a l d e p o s it s ...... .....................
Certificates of deposit, dem and....
C ertificates o f deposit, fo r m oney
b orrow ed ........... ...............................
C ashier’ s ch eck s...................................

Total deposits................ $61,850.22

Other
.$168,942.22

Total

lia b ilitie s............................ .......

Total

5 0.0 00 .
00
2 5 .0 0 0 .
00
3,503.82
28,587.79
2 , 200.00
8.19
47,1 76 .0 8
10,874.92
2 , 2 00.00
1,591.03
.39

.$168,942.22

JThis am ount not added in totals.

DEV ALLS BLUFF
Prairie County

PEOPLES BANK OF DEVALLS BLUFF
Charter No. 392.

Date of Charter, November 7, 1912.

O fficers—R. H. Sanders, President; J. M. McClintock, Vice President; J. A. Welty, Cashier;

J. L. Garrett, Assistant Cashier.
D irectors—R. H. Sanders, J. M. McClintock, Joseph Heckler, E. B. Robinson, Hugh E. Morrow.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
Loans and d iscou n ts..........................I 82,1 86 .1 2
Loans on real estate.......................... 36,847..64
O verdrafts .............................................
322.89
U. S. b on d s.............................................
536.76
Other bonds and securities........... .
14,252.48
F urnitu re and fixtures..............:........
2,021.83
B an king h ou se....'................................
2 .580.00
Item s in tra n sit...................................
33.41
B ills o f exchange.................................
299 .06
Cash item s................................................
273.40
Due from reserve banks.....................
12,520.79
C urrency ................................................
6.286.00
G old ...............: .........................................
372.00
S ilver ....................................................... ' 1,083.12
T otal cash and E x ....... $20,86 7 .7 8
Other resou rces............. .....................
2 ,826.81
Total




.$162,442.31

L IA B I L I T I E S
Capital s t o c k ........................................!
Certified surplus...................................
U nd ivid ed p rofits............ i...................
B ills p a ya b le...........................................
In d ivid u a l d ep osits...............................
P u b lic fu n d s...........................................
Certificates o f deposit, tim e..............
Certified ch eck s..... ...................... .......
C ashier’ s ch eck s....................................

10, 000.00
5,000.00
6,987.07

10, 000.00
70,104.28
16.241.41
37.132.41
600.00
6,377.14

Total deposits..............$f30,455.24

Total

.$162,442.31

68

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B a n k C om m issioner

DEWITT
Arkansas County

HOME BANK OF DEWITT
Charter No. 229. Date of Charter, February 23, 1907.

O fficers—E. B. Gibson, President; R. D. Rasco, Vice President; W. H. Norsworthy, Vice Presi­

dent; N. P. Baird, Cashier; J. M. Ennis, Assistant Cashier.

D irectors-—C. E. Park, H. P. Brown, E. B.

Gibson. C. P. Vittitow, W. H. Norsworthy, R. D.
Rasco, R. W. Dudley, J. W. Burnett, N. P. Baird.
STATEMENT OF DECEMBER 31, 1921

R E SO U R C E S
L IA B I L I T I E S
L oans and d iscou n ts.......................... $ 2 8 6 ,4 6 3 .5 1
Capital s t o c k .........................................$ 50,000.00
Loans on real estate.......................... 3 5 2 ,2 8 3 .2 4
C ertified surplus.................................... 50,0 00 .0 0
1,879.29
O v erd ra fts .............................................
B ills p a ya b le........................................... 2 85 ,00 0 .0 0
U . S. b on d s .............................................
2 9,2 00 .0 0
200.00
D ivid en ds u n paid.................................
O ther bonds and secu rities..............
6 ,8 9 4.40
In d ivid u a l d ep osits............................... 2 24 ,19 3 .1 1
F u rn itu re and fixtures.......................
1,400.00
P u b lic fu n d s...............................
109 ,54 3 .8 7
B an k in g h ou se......................................
9 ,0 0 0.00
Due to n on -reserve b an k s................
2 ,5 2 9.04
O ther rea l estate.................................
3 ,785.16
65,5 49 .9 5
C ertificates o f deposit, tim e............
D ue from non -reserve ban ks.................................... 3 ,1 3C2.57
ashier’ s ch eck s.................................
4 ,8 3 0.76
Cash Item s................................................
151.43
Total deposits.............. $406,845.83
D ue from reserve ban ks..................
79,1 58 .3 9
1,013.53
Checks on other ban ks.....................
C urren cy .....................
6,9 9 8.00
G old ..........................................................
395.00
S ilv er .....................
1 ,2 7 6.75

Total cash and Ex...... $92,125.67

O ther

resou rces....................................

8,8 1 4.56

T otal .................................................... $ 79 1 ,8 4 5 .8 3

T ota l ....................................... .............$791 ,8 4 5 .8 3

DIERKS
Howard County

BANK OF DIERKS
Charter No. 203. Date of Charter, February 7, 1906.

O fficers—L. D. McCown, President; M. F. Allen, Vice President; J. L. Keener, Cashier; Homer

S. Davis, Assistant Cashier.

D irectors—M. F. Allen, A. J. Forgy, J. L. Keener, L. D. McCown, C. C. Ray.

STATEMENT OF DECEMBER 31, 1921
RESOURCES
L oans and d iscou n ts..........................!
L oans on rea l estate.......................
O verd rafts .............................................
U. S. b on d s .............................................
F u rn itu re and fixtures.....................
B an kin g h ou se....................... ..............
Cash item s........................... ..................
D ue from reserve ban k s..................
Checks on other ban ks.......................
C urren cy ...............................................
G old .................................................. .......
S ilv er ....................... :..............................

8 7,3 49 .3 6
3 3,4 65 .2 1
336.20
4 .9 0 0.00
1.7 6 0.00
5,0 0 0.00
200 .35
71,8 98 .4 0
1,0 1 5.56
4 .9 9 7.00
562.50
1,835.79

L IA B IL IT IE S
C apital s t o c k ........................................ $ 4 0,0 00 .0 0
C ertified surplus..............................
10,0 00 .0 0
U n d ivid ed p rofits.................................
4 ,6 8 0.15
In d ivid u a l d ep osits............................... 101,50 5 .5 2
P u b lic fu n d s...........................................
13,540.00
C ertificates o f deposit, tim e..... ...... 4 0,9 49 .0 0
C ashier’ s ch eck s.................
2,6 4 5.70

Total deposits..............$158,640.22

Total cash and Ex...... $80,509.60
T otal




$ 2 1 3 ,3 2 0 .3 7

T otal ........................... - ..................... $ 2 1 3 ,3 2 0 .3 7

S tate

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A rkansas

DIERKS
Howard County

CITIZENS BANK

Charter No. 505. Date of Charter, February 23, 1920.
O fficers—-R. H. Kolb, President; R. W. Westbrook, Vice President; Aubrey Gore, Cashier.
D irectors—R. H. Kolb, R. W. Westbrook, J. A. Price. C. R. Floyd, Aubrey Gore.
STATEMENT OF DECEMBER 31, 1921
RESOURCES
Loans and d iscou n ts...... ................... !
Loans on real estate.........................
Furniture and fixtures.......................
B an king hou se........................................
B ills o f exchange.................................
Due from non-reserve ban k s.........
Due from reserve ban ks................
Checks on other ban ks.....................
C urrency ................ ...............................
Gold
...................................................
S ilver .......................................................

Total cash andi Ex...... $14,482.00

Other resou rces......................................
T otal

19,004.05
7,391.35
4 .188.28
9 ,286.48
95.20
3.823.28
6 ,713.65
62.37
2 ,318.00
475.00
994.54

L IA B IL IT IE S
Capital s t o c k ...... .......................... .......!
Certified surplus.—...............................
Savings a ccou n ts—.:...........................
In d ivid u a l deposits ................ ...........
P u b lic fu n d s.................. ....................
C ertificates o f deposit, tim e...........
C ashier’ s ch eck s...................................

25,0 00 .0 0
2 .500.00
5,633.26
13,487.28
8 , 000.00
1 . 100.00
178.46

Total deposits................ $28,399.00

1,546.80
.$55,899.00

$55 ,89 9 .0 0

T otal

DODDRIDGE
Miller County

DODDRIDGE STATE BANK

Charter No. 473. Date of Charter. March 13, 1918.
O fficers—-Milton Winham, President; Allen Winham, Vice President; R. H. Duty, Cashier.
D irectors—Milton Winham, Allen Winham, Henry Field, E. L. Ramsey, M. W. Tidwell.
STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
Loans and d iscou n ts............................ $ 12,589.03
L oans on real estate............................ 13,701.53
O verdrafts ...............
1.69
F urniture and fixtures..........................
1,030.45
B an king hou se........................................
2,620.70
Cash item s..............................
214.10
D ue from reserve ban k s.....................
8,284.18
C urrency ..................................................
• 751.00
S ilver ....................
1,270.40

Total cash and Ex___ $10,519.68

Other

resou rces...............

Total

L IA B I L I T I E S
Capital s t o c k ........................................... $ 10,000.00
1,500.00
Certified surplus......................................
U ndivided p rofits.................................... 1,673.52
Savings a ccou n ts.................................... 6,526.54
In d ivid u a l d ep osits................................. 14,022.98
P u b lic fu n d s........................................
6,000.00
C ertificates o f deposit, tim e..............
500.00
C ashier’ s c h e c k s .....................................
235.48

Total deposits................ $27,285.00

R eserved fo r interest............................

10.00

5.44
.$40,468.52

Total

$40 ,46 8 .5 2

DOVER
Pope County

BANK OF DOVER

Charter No. 1°2. Date of Charter, September 29, 1905.
O fficers—W. H. Poynter, Sr., President; W. M: Simpson, Vice President; L. J. Lemley, Cashier;
Lawrence Campbell, Assistant Cashier.
D irectors—W. H. Poynter, Sr., W. M. Simpson, L. J. Lemley, B. H. Lynch, D. H. Lynch, W. W.
Moses, W. P. Berry, W. F. Vaughan, C. B. Wait, Jr., C. K. Campbell.
STATEMENT OF DECEMBER 31. 1921
R ESO U R C E S
Loans and d iscou n ts..........................$ 67,447.60
Loans on real estate..........................
7,181.97
Loans on co tto n ..... ...........................
14,400.82
O verdrafts .....
215.28
U. S. b on d s.............................................
350.00
Other bonds and secu rities..............
23.40
Furniture and fixtures.......................
2,000.00
B an king hou se......................................
2,000.00
Other real estate.................................
1,250.00
Due from non-reserve ban k s......
1,867.14
Cash item s..............
49.3 6
Due from reserve ban ks................... 19,468.50
C urrency ..................................................
2,603.00
G old - ........
177.50
S ilver ............
1,620.47

L IA B I L I T I E S
Capital s t o c k ...... ................................. $
Certified surplus....................................
U ndivided p rofits.................................
B ills p a ya b le...........................................
In d ivid u a l d ep ostis...............................
P u b lic fu n d s..............
C ertificates o f deposit, tim e—.....

Total deposits................ $81,870.11

15,000.00
10,000.00
3,784.93
10,000.00
66,1 38 .7 4
195.02
15,536.35

Total cash and Ex...... $25,785.97
Total




$ 1 2 0 ,6 5 5 .0 4

T otal

.$120,655.04

R eport

70

of

B a n k C omm issioner

DUMAS
Desha County

MERCHANTS & FARMERS BANK
Charter No. 278. Date of Charter, May 10, 1909.

O fficers—Geo. A. Knox, President: Honry Thane, First Vice President; Lloyd R. Byrne, Second

Vice President; Jeff Burnett, Cashier. •

D irectors—George A. Knox, Lloyd R. Byrne, J. M. Cox, B. V. Causey, H. Thane, S. A. Banks,

D. O. Porter.
STATEMENT OF DECEMBER 31, 1921
L IA B IL IT IE S
R E SO U R C E S
C apital s t o c k ........................................ $ 50,000.00
L oans and discou n ts.......................... $ 18 0 ,6 4 1 .0 2
C ertified surp lu s.................................... 2 0,0 00 .0 0
L oans on real estate.......................... 1 07 ,90 7 .6 4
U ndivided p rofits.................................
7 ,983.75
2 ,4 1 9.79
O v erd ra fts ........... .1...............................
2 5,0 00 .0 0
B ills p a ya b le...........................................
O ther bon d s and secu rities.............. 2 2,0 27 .5 8
N
otes
red
iscou
n
ted...............................
53,3 00 .0 0
F urnitu re and fixtures..................... , 1,491.90
In d ivid u a l d ep osits............................... 1 60,910.60
B an kin g h ou se.....................« ..............
10,0 00 .0 0
ub
13,3 83 .4 4
D ue from n on -reserve b an ks....................................15,9P06
.0lic
2 fu n d s...........................................
C ertificates o f deposit, tim e...........
1 5,6 03 .7 4
Cash item s.............................................
101.73
C ashier’ s ch eck s.................................
13,534.50
D ue from reserve ban ks...................
12,829.40
Total deposits..............$203,432.28
C urren cy ................................................
3 ,9 9 9.00
G old ...............................................-.........
10.00
S ilver .......................
2 ,3 8 1.95

Total cash and Ex...... $35,228.10

T otal .....................................................$ 35 9 ,7 1 6 .0 3

T otal .....................................................$ 35 9 ,7 1 6 .0 3

DYER
Crawford County

BANK OF DYER
Charter No. 289.

Date of Charter, October 16, 1909.

O fficers—C. H. Moss, President; T. J. -James, Vice President; Ervin C. Morse, Cashier; William

L. Cotterel, Assistant Cashier.
D irectors—Hugh Branson, C. H. Moss, W. P. Winfrey, Ervin C. Morse, T. J. James, Geo. W. Fine.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts.............................$2 8 ,18 0 .2 8
L oans on real estate............................ 12,8 13 .2 7
L oans on co tto n ......................................
1,423.05
O verd rafts ................................................
535.37
F urnitu re and fixtures........................ 2 ,0 5 5 .0 0
B an kin g hou se...........................................
1,500.00
Cash item s................................................
102.20
D ue from reserve ban ks........................ 9 ,4 8 5.17
•Currency .....................................................
8 52.00
G old ............................................................
2.50
S ilv er ..........................................................
586.12

L IA B IL IT IE S
C apital s t o c k ........................................... $ 10 ,00 0 .0 0
C ertified surplus......................................
2,0 0 0.00
U n d ivid ed p rofits....................................
1,233.11
B ills p a ya b le.................
10,0 00 .0 0
In d ivid u a l d ep osits................................. 28,6 35 .2 9
P u b lic fu n d s..............................................
603.69
C ertificates o f deposit, dem and....... 3 ,0 4 6.46
C ash ier’ s ch eck s......................................
2 ,016.41

Total deposits................ $34,301.85

Total cash and Ex...... $11,027.99
T otal




$ 57 ,53 4 .9 6

T otal

$ 5 7 ,53 4 .9 6

S tate

of

A rkansas

71

EARLE
Crittenden County

BANK OF COMMERCE
Charter No. 321.

Date of Charter, October 3, 1910.

O fficers-—C. T. Whitman, President; L. J. Machen, Active Vice President; Albert Brandes, Vice

President; James C. Moore, Cashier; P. A. Gowen, Assistant Cashier.

D irectors—C. T. Whitman, L. J. Machen, Albert Brandes, L. L. Barham, J. C. Gathings, Guy A.

Blann, G. W. Essary, Frank Barton Huxtable, H. F. Avery, James C. Moore.
STATEMENT OF DECEMBER 31, 1921

R E SO U R C E S
L IA B IL IT IE S
L oans and d iscou n ts.......................... $ 4 9 7 ,7 9 1 .3 6
Capital s t o c k .........................................$ 15 0 ,0 0 0 .0 0
L oans on real estate.......................... 216 ,83 6 .3 8
Certified surplus.................................... 30,0 00 .0 0
L oans on co tto n .................................... 13,237.47
U nd ivid ed p rofits.................................
2 ,720.87
O verd rafts ........................................
114.28
B ills p a ya b le...........................................
4 5,0 00 .0 0
U . S. b on d s....... .....................................
157.43
Notes red iscou n ted ............................... 1 47,372.17
O ther bonds and secu rities..............
9 ,743.20
T ru st fu n d s .............................................
4 ,8 0 1.44
F urnitu re and fixtures........................
6,326.10
D ividen ds un p aid .................................
972.50
97,5 71 .5 5
O ther real estate.................................
In d ivid u a l d e p o s it s ............................ 3 02 ,61 2 .2 4
D ue from non-reserve b an ks....................................69,0P29
.0
7
u b lic fu n d s........................................... 239,24 0 .6 9
Cash item s................................................
1,108.14
Certificates o f deposit, tim e................................... 52,6 53 .8 1
Due from reserve ban ks..................
4 0,8 99 .1 4
C ashier’ s ch eck s....................................
3,127.83
Checks on other banks.....................
1,447.35
Total deposits..............$603,408.51
C urren cy ................................................ 14,356.00
G old .........................................................
70.00
S ilv er .......................................................
3,508..83

Total cash and Ex.... $130,418.53

O ther

resou rces...................................

6,305.25

T o t a l .................................................... $ 97 8 ,5 0 1 .5 5

T otal .....................................................$978 ,5 0 1 .5 5

EARLE
Crittenden County
CRITTENDEN COUNTY BANK & TRUST COMPANY
Charter No. 270. Date of Charter, January 9, 1909.
O fficers—Louis Barton, President; Albert Horner, Vice President; A. B. Rhodes, Cashier; E. J.

House, Assistant Cashier.

D irectors—Ed Talbot, H. A. McGee, Geo. W. Patterson, Albert Horner, H. E. Wilder, Louis

Barton, C. G. Barton, W. S. Danner, E. J. Badinelli, W. B. Rhodes.
STATEMENT OF DECEMBER 31, 1921

R E SO U R C E S
L IA B IL IT IE S
Capital s t o c k .........................................$100 ,0 0 0 .0 0
Loans and d iscou n ts..........................$ 55 8 ,9 5 9 .8 8
Loans on real estate............................
9 3,0 45 .0 6
6,000.00
Certified su rolu s....................................
Loans on cotton ....................................
9 ,500.00
U ndivided p rofits.................................
1,237.09
B ills p a ya b le........................................... 1 15,000.00
O verdrafts .............................................
8 85.75
N otes red iscou n ted ............................... 1 01,796.82
O ther bonds and secu rities..............
11,203.12
JBills p ayable “ D eposits on w hich
F urnitu re and fixtures.......................
4 ,1 7 2 .4 7 .
m ore than 4 p er cent interest
9,000.00
B an kin g house........................................
D ue from n on -reserve b an ks....................................35,7 30is.2 6
p a id ’ ’ .............................................
10,000.00
Savings a ccou n ts.................................
6,594.40
Cash item s................................................
215.08
D ue from reserve ban ks................... 33,366.03
In d ivid u a l d e p o s it s ............................ 173,683.30
Checks on other banks.....................
2 ,304.71
P u b lic fu n d s........................................... 188,352.82
C urren cy ................................................ 11,951.00
Due to non -reserve b an ks................
50,000.00
Certificates o f deposit, tim e....................................2 8,0 42 .2 4
G old .........................................................
170.00
C ash ier’ s ch eck s....................................
2 ,068.04
S ilv er .......................................................
2 ,3 7 0.36

Total cash and Ex...... $86,107.44

Total deposits..............$448,740.80
Other

T otal

.$772,873.72

JThis am ount not added in totals.




T otal

lia b ilitie s....................................

99.01

.$772,873.72

72

R eport

of

B a n k C om m issioner

ELAINE
Phillips County

B A N K O F E L A IN E

Charter No. 481. Date of Charter, May 9, 1919.
O fficers—John D. Crow, President; W. F. Craggs, Vice President; Jas. W. Alston, Cashier.
D irectors—John D. Crowe, E. M. Allen, J. M. Countiss, I. H. Lee, W. F. Craggs, C. L. Bernard,

J. W. Keesee, Dr. Orlie Parker.

STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
L oans and d iscou n ts........................
$54 ,75 6 .4 1
O verdrafts ................................................
4 06.60
U. S. b o n d s ................. .............................
1,650.07
O ther bonds and securities.................
3,587.05
1,667.73
F urnitu re and fixtures...................
B an kin g h ou se............. ..........................
4 ,5 0 0.00
D ue frcm n on -reserve b a n k s .-..........
1 ,615.35
Cash item s................................................
152.58
Due from reserve ban ks..................... 15,907.56
Checks on other ban ks..........................
293.40
C urrency ..................................................
3 ,304.00
G old ............................................................
180.00
S ilv er ..........................................................
922.97

L IA B I L I T I E S
Capital s t o c k ........................................... $ 1 5 ,00 0 .0 0
Certified surplus...............................
15,0 00 .0 0
U nd ivid ed p rofits...................................
1,961.21
B ills p a ya b le....................................
10,0 00 .0 0
Savings a ccou n ts......................... .........
1,817.6 7
In d ivid u a l d ep osits....................
30,1 27 .4 8
P u b lic fu n d s ..................
15,0 44 .3 6

Total deposits................ $46,989.51

Total cash and Ex___ $22,375.86

O ther resou rces................................

7.00

T otal ........................... —........................$ 88 ,95 0 .7 2

T otal ....... ...............................................$ 88,950.72

EL DORADO
Union County

BANK OF COM M ERCE

Charter No. 489. Date of Charter, August 25, 1919.
O fficers—Albert Rowell, President; T. H. Norris, Vice President; Sam E. Babb, Cashier, C. B.

Crumpler, Assistant Cashier.

D irectors—Bobbie Goodwin, D. McDonald, T. H. Norris, B. W. Reeves, Albert Rowell.

STATEMENT OF DECEMBER 31, 1921
R ESO U R CE S
Loans and d iscou n ts.............................$635,811.53
Loans on real estate..........................
22,393.37
L oans on co tto n ....................................
2,335.00
U. S. b on d s..................... ....................... 2 32 ,21 3 .5 3
O ther bon d s and securities..............
775.45
F urnitu re and fixtures.......................
8,470.98
B an kin g h ou se......................................
2 5,6 61 .5 7
Item s in tra n sit...................................
1 ,095.00
Due from non-reserve ban k s......... 168 ,84 0 .3 7
Cash item s.............................................
515.41
D ue from reserve banks........... .......
7 3,6 79 .2 4
C hecks on other b an ks.....................
6,195.38
C urren cy ...........................................
4 5,9 65 .0 0
G old .....................................................—
335.00
S ilv er .......
3 ,964.20

L IA B I L I T I E S
C apital s t o c k .........................................$ 5 0 ,0 00 .0 0
Certified surp lu s..................................
6 ,000.00
5 ,930.58
U nd ivid ed p rofits.................................
In d ivid u a l d ep osits............................... 8 93 ,76 8 .2 9
Due to non-reserve ban k s..............
2 ,111.39
C ertificates o f deposit, tim e......... 2 15 ,60 0 .7 2
Certified ch eck s........................................... 8 ,150.90
C ash ier’ s ch eck s............ ......
4 6 ,2 50 .3 9

Total deposits..........$1,165,881.69

R eserved fo r interest..........................

2 ,0 8 8.76

Total cash and Ex.... $800,589.60

O ther resou rces......................................

1,650.00

T ota l ................................................$ 1,2 29 ,9 0 1 .0 3




T otal ................................................$ 1,2 2 9 ,9 0 1 .0 3

S tate

of

A rkansas

73

EL DORADO
Union County

G U A R A N T Y BANK & TRUST C O M P A N Y

Charter No. 523.

Date of Charter, May 18, 1921.

O fficers—A. Collman, President; F. H. Smith, Vice President; W. A. Murphy, Cashier; W. E.

Kidd, Assistant Cashier.

D irectors— A. Collman, W. A. Murphy, Alice Cordell, J. W. Love, W. C. Medley, F. H. Smith,

H. Crutchfield, W. I. Bell, B. Davis

STATEMENT OF DECEMBER 31, 1921
L IA B I L I T I E S
R ESO U R C E S
Capital s t o c k ........................................ i ! 60,0 00 .0 0
Loans and d iscou n ts.......................... $417 ,9 0 2 .1 6
Loans on real estate.......................... 2 9,0 42 .1 6
Certified surplus....................................
6 , 000.00
3,750.00
B ills p a ya b le...........................................
5 0.0 00 .
00
U. S. b on d s........................
Other bonds and secu rities..............
16,816.18
Notes red iscou n ted ........... ................... 2 5 .0 0 0 .
00
Furniture and fixtures.................. ts... 21,5 57 .0 7
Savings a ccou n ts.................................... 20,824.54
B an king house......................................
5,500.00
Individual d ep osits............................... 4 30,543.43
Item s in transit....................................
3,846.18
Certificates of deposit, tim e..............
58,020.00
Due from non-reserve b an ks................................... 48,5Certified
95 .6 8
ch eck s......................................
1,614.00
7,996.67
Cash item s............ .......
C ashier’ s ch eck s.................................... 58,073.38
Due from reserve ban ks................... 1 01,002.06
Total deposits..............$569,075.35
Checks on other banks...................
5,666.95
Currency ...................................
36,2 00 .0 0
S ilver .......................................................
2,518.41

Total cash and Ex.... $205,825.95

Other resou rces..... ................................
Total

9,681.83

.$ 7 10,075.35

Total

$ 71 0 ,0 7 5 .3 5

ELKINS
Washington County

B A N K O F E L K IN S

Charter No. 377. Date of Charter, June 1, 1912.
O fficers—G. W. Bassett President; Jay Fulbright, Vice President; L. H. Smith, Cashier, C. West,

Assistant Cashier.

D irectors—G. W. Bassett, Jay Fulbright, L. H. Smith, E. A. Counts, Roe Stokenbury, S. M. Strayer,

H. F. Stokenbury.

STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
Loans and d iscou n ts............................ $ 12 2 ,8 3 0 .2 0
L oans on real estate..........................
27,3 65 .0 0
O verdrafts .............................................
71.95
U. S. b on d s...........................
350.00
Furniture and fixtures.....................
1,200.00
B an king hou se........................................
1,700.00
Cash item s........................
285.28
Due from reservb banks.....................
4 0,1 45 .3 4
C urrency ....................
5,075.00
G old .........................................................
130.00

Silver ...............................................
Total cash and Ex...... $47,807.59
Total




L IA B IL IT IE S
Capital s to ck ...........................................$
Certified surplus..............................
U nd ivid ed p rofits........................
B iills p a ya b le........................................
Savings a ccou n ts.................................
In d ivid u a l d ep osits...............................
C ertificates o f deposit, tim e...........

Total deposits..............$155,324.74

10,000.00
17,000.00
4 ,0 0 0.00
15,000.01)
58,086.36
83,588.83
13,6 49 .5 5

2,171.97

.$ 2 01,324.74

T otal

.$ 2 01,324.74

74

R eport

of

B a n k C om m issioner

EL PASO
W hite County

B A N K O F E L PASO

Charter No. 412.

Date of Charter, March 1, 1913.

O fficers—W. P. Davis, President; D. H. Edwards, Vice President; R. E. Kent, Cashier.
D irectorr—W. P. Davis, D. H.- Edwards, R. E. Kent, J. A. Phelps.

STATEMENT OF DECEMBER 31. 1921
R ESO U R C E S
L oans and d iscou n ts.....- .....................$ 33 ,81 3 .4 8
L oans on co tto n .....................................
1,285.00
O verd ra fts .....................^.........................
24.1 5
U . S. b o n d s ................................................
500.00
F urnitu re and fixtures........................ 2 ,0 0 0.00
B an k in g hou se........................................
1,700.00
286.48
O ther real estate..................................
Item s in tra n sit....................................
110.23
D ue from reserve banks................... 2 ,7 2 3.54
C urren cy ..................................................
8 47.00
G old ............................................................
110.00
S ilv er ..........................................................
208 .97

L IA B I L I T I E S
C apital s to ck ..............................................$10 ,00 0 .0 0
C ertified surplus......................................
5,000.00
U n d ivid ed p rofits....................................
3 14.86
B ills p a ya b le.............................................
7,500.00
In d ivid u a l d ep osits............................... i7 ,7 0 8 .0 7
C ertificates o f deposit, tim e..............
2 ,6 7 7.07
C ash ier’ s ch eck s......................................
408 .85

Total deposits.............. ..$20,793.99

Total cash and Ex.........$3,999.74

.$ 43,608.85

T otal

T otal

.$43,608.85

ELM SPRINGS
Washington County

E L M S P R IN G S S T A T E B A N K

Charter No. 407. Date of Charter, February 21, 1913.
O fficers—W. J. Bradley, President; O. F. Hell stern, Vice President; R. F. Mustain, Cashier;
Miss Nannie Hale, Assistant Cashier.
D irectors—W. J. Bradley, O. F. Hellstern, A. P. Murphy, Kib Terry, R. F. Mustain.
STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts.............................$ 3 8 ,29 0 .9 5
L oans on real estate............................ 16,1 98 .0 0
U. S. b o n d s .............................................
200.00
F urnitu re and fixtures..........................
1,973.88
B an kin g h ou se........................................
1,200.00
D ue from non -reserve b an ks..............
300.00
Cash item s...............................................
. 26.55
D ue from reserve ban ks...................
5,393.60
C urren cy ..................................................
1,532.00
G old ............................................................
3 31.00
S ilv er ..........................................................
229.60

L IA B IL IT IE S
C apital s to c k ........................................... $ 10 ,00 0 .0 0
C ertified surplus......................................
4 ,000.00
U n d ivid ed p rofits....................................
1,630.85
B ills Dayable............................................. 13,0 00 .0 0
In d iv id u a l d ep osits............................... 2 4,7 91 .8 8
C ertificates o f deposit, tim e.............. 12,2 87 .8 5

Total deposits................ $37,079.73

Total cash and Ex.........$7,812.75

O ther resou rces........................................

35.00
.$ 65,710.58

T otal

T otal

.$ 65,710.58

EMERSON
Columbia County

FARM ERS BANK

Charter No. 188. Date of Charter, July 18, 1905.
O fficers—T. S. Grayson, President; W. J. Maloch, Vice President; O. J. Warren, Cashier; Jewel

E. Maloch, Assistant Cashier.
D irectors—C. W. Jean, I. N. McCollum, G. E. Mullins, J. A. Maloch, A. J. Trammell, W. D.

Wingfield.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and discou n ts..........................$
L oans on real estate..........................
L oans on cotton ....................................
O verd ra fts .............................................
U. S. b on d s .............................................
O ther bon d s and secu rities.............
F urnitu re and fixtures.....................
B an k in g h ou se......................................
Cash item s................................................
D ue from reserve ban ks...................
C urren cy ..................................................
G old ..........................................................
S ilv er .......................................................

Total cash and Ex...... $12,364.01
T otal




53,076.79
31,7 36 .4 9
12,303.23
2 8 ,7 09 .9 5
5 ,800.00
3 ,655.58
727.20
6 48.00
120.00
5,3 9 1.36
5,447.00
50.00
1 ,355.65

$ 14 9 ,0 2 1 .2 5

L IA B IL IT IE S
C apital s to ck ...........................................i|
C ertified surplus....................................
U n d ivid ed p rofits.................................
B ills p a ya b le...........................................
In d ivid u a l d ep osits...............................
P u b lic fu n d s...........................................
C ertificates o f deposit, tim e.........
C ash ier’ s ch eck s....................................

Total deposits ..............$82,522.32

Other lia b ilitie s......................................

T otal

2 5 .0 0 0 .
00
5 ,000.00
2 ,698.93
2 8 .0 0 0 .
00
64,5 84 .3 9
326.38
17,5 53 .0 8
58.47
5,800.00

.$1 4 9,02 1 .2 5

S tate

of

A rkansas

75

ENGLAND
Lonoke County

BAN K OF E N G LA N D

Charter No. 48. Date of Charter, August 23, 1898.
O fficers—O. O. Scroggins, President;

Mamie McKenzie, Assistant Cashier.

G. W. Morris, Vice President; R. L. Buffalo, Cashier;

D irectors—O. O. Scroggin, D.. H. Scroggin, R. L. Buffalo, G. W. Morris, S. S. Beatty.

STATEMENT OF DECEMBER 31. 1921
R E SO U R C E S
L oans and discou n ts.......................... $104 ,0 3 7 .4 0
L oans on real estate..........................
34,303.82
L oans on cotton .................................... 18,815.20
O verdrafts .............................................
27.93
U. S. b on d s...........................................
15,882.00
Other bonds and secu rities..............
1,253.00
F urnitu re and fixtures........................
900.00
Due from reserve ban ks................
63,416.83
Checks on other ban ks...................
2 ,184.14
C urrency ................................................
6,821.00
S ilver ................................
1,823.59

L IA B IL IT IE S
Capital stock ........................................... $ 25,0 00 .0 0
Certified surplus.................................... 40,0 00 .0 0
11,173.95
U ndivided p rofits.................................
In d ivid u a l d ep osits............................... 136,828.29
P u b lic fu n d s ........................................... 23,0 00 .0 0
Certificates o f deposit, dem and.... 13,092.91
C ashier’ s ch eck s....................................
369.76

Total deposits.............. $173,290.96

Total cash and Ex...... $74,245.56
_ T otal

........................................ _ .......$249 ,4 6 4 .9 1

T otal

.................................................. $249 ,4 6 4 .9 1

ENGLAND
Lonoke County

C IT IZ E N S B A N K & T R U S T C O M P A N Y

Charter No. 361. Date of Charter, December 22, 1911.
O fficers—J. E. Hicks, President; Harry C. Ehlers, Vice President; Harry Galloway, Vice Presi­

dent; Harry C. Ehlers, Cashier; Lois Rutherford, Assistant Cashier.

D irecters—J. E. Hicks, Harry Galloway, Harry C. Ehlers, A. H. Kaufman, Oscar Kochtitzky, San­

ford Wilbourne, Ben B. Morris, W. M. Wilson, O. T. Workman, W. T. Hamilton, Sam Dardnne.
STATEMENT OF DECEMBER 31, 1921

L IA B IL IT IE S
R E SO U R C E S
Capital s to ck .........................................$100 ,0 0 0 .0 0
Loans and discou n ts.......................... $ 16 4 ,4 4 5 .4 0
Certified surplus.................................... -20,000.00
Loans on rea l estate........................ 128,888.50
U n divided p rofits.................................
21,4 98 .1 1
Loans on cotton .................................... 29,8 92 .5 0
In d ivid u a l d ep osits............................... 2 59,500.82
O verdrafts .................................. .-.........
172.35
C ertificates o f deposit, tim e................................... 6,441.80
U. S. b on d s.............................................
21,6 50 .0 0
C ashier’ s ch eck s.................................
2,017.51
Other bonds and secu rities..............
5,175.00
Total deposits.............. $267,960.13
F urnitu re and fixtures.....................
10,930.70
Other lia b ilitie s....................................
4 73.84
B an king house......................................
15,311.03
Due from non-reserve ban k s................................... 10,585.32
Cash item s.............................................
26.47
Due from reserve ban ks................... 18,227.50
Checks on other ban ks.....................
1,402.02
C urren cy .....................
2,3 2 4.00
S ilver .......................................................
1,201.29

Total cash and Ex...... $33,766.60
T otal




.$409,932.08

T otal

.$409,932.08

76

R eport

B a n k C omm issioner

of

EUDORA
Chicot County

BANK OF EUDORA
Charter N o. 152.

Date of Charter, February 23, 1904.

O fficers— H. W . Graves, President; W . W . Grubbs, V ice President; M ..C ashion, Cashier; M . G .
Lamar, Assistant Cashier; M. Van Ness, Assistant Cashier; R. B. Wofford, Assistant Cashier
and Auditor.
D irectors— H. W . Graves, C. L. Thompson, M . Cashion, R. H. Meyer, W . W . Grubbs, L. E.
Henderson, L. W . May.
*
S T A T E M E N T O F D ECEM BER 31, 1921
R E SO U R C E S
L oans and d iscou n ts.......................... $258,691.08
L oans on real e s ta t e ........................ 2 62 ,436.06
L oans on co tto n ................................. 6 0 .9 00 .0 0
O verd rafts .............................................
480.74
U. S. b on d s .............................................
6.241.50
Other bonds and secu rities.............
14,103.08
F urnitu re and fixtures................. ......
6. 000.00
B an kin g h ou se......................................
2 0 , 0 0 0 .0 0
Other real estate.................................
14,769.57
Item s in tra n sit...................................
1.171.01
Cash item s............................................
1 30 .Q8
Due from reserve ban ks..................
68,635.95
C urrency ...............................................
19.107.00
G old ..........................................................
929.00
S ilv er ........... ........................... ...............
3.915.01

Total cash and Ex...... $93,888.05

Total deposits........ .....$454,306.70
Other

O ther resou rces........................ .............

lia b ilitie s....................................

521.45

680.18

.$73 8,19 0 .2 6

T otal

L IA B IL IT IE S
Capital stock .......................................... ! 25,0 00 .0 0
Certified surplus........... ........................
14,480.49
U n divided profits.............................
68,581.62
B ills p a ya b le.................. .... ................... 1 73,300.00
Notes red iscou n ted ..... _...*..................
2,000.00
{B ills payable “ D eposits on w hich
m ore than 4 per cent interest
is p a id ’ ’ .........=...................................
31,8 36 .2 4
S avings a ccou n ts............. „ .................
2 0,6 97 .5 6
D ivid en ds un p aid .................................
1,630.00
In d ivid u a l d ep osits............................... 2 45 ,89 9 .4 7
P u b lic fu n d s...........................................
17,8 84 .9 7
C ertificates of deposit, tim e......... 1 63,787.00
C ash ier’ s ch eck s.................................
4 ,4 0 7.70

T otal

$ 7 3 8 ,1 9 0 .2 6

{T h is am ount not added in totals.

EUREKA SPRINGS
Carroll County

B A N K O F E U R E K A S P R IN G S
Charter N o. 374.

Date of Charter, May 4, 1912.

O fficers— H. Clay W illis, President; B. A . Tweedy, V ice President; G. E. Burson, Cashier; W . G.
Barker, Assistant Cashier.
D irectors— H . Clay W illis, B. A . Tweedy, G. E. Bu/son, W illiam Kappen, R. H. Huntington.
S T A T E M E N T O F D ECEM BER 31, 1921
R E SO U R C E S
L oans and d iscou n ts........... ..............$ 82,5 06 .8 8
17,091.00
L oans on real estate..........................
O verd ra fts - ...........................................
17.14
U . S. b on d s...........................................
3 ,100.00
Other bonds and secu rities..............
7,067.83
F urnitu re and fixtures.....................
2,3 0 0.00
O ther real e s t a t e . . ...........................
800.00
Item s in tra n sit....................................
29.75
Cash item s...................... .-........................
223.50
D ue from reserve ban ks..................
16,989.89
Checks on other banks.....................
1,873.20
C urrency ................................................
5,874.00
G old ..........................................................
212.50
S ilv er .......................................................
2 ,2 5 6.72

L IA B I L I T I E S
C apifal s to ck ...........................................!
C ertified surplus...................................
U nd ivid ed p rofits........... .....................
B ills p a ya b le ...........................................
S avings a ccou n ts.................................
In d ivid u a l d ep osits............................
P u b lic fu n d s....................... ...................
C ertificates o f deposit, tim e...........
C ash ier’ s ch eck s....................................

10 , 000.00
3,0 0 0.00
1,752.52
10 , 000.00
17,930.92
65,047.40
3,7 7 1.75
28,3 24 .3 0
499.45

Total deposits..............$115,573.82
Other

lia b ilitie s....................................

16.07

Total cash and Ex...... $27,459.56
T otal




$ 1 4 0 ,3 4 2 .4 1

Total

$ 1 4 0 ,3 4 2 .4 1

S tate

of

A rkansas

77

EVENING SHADE
Sharp County

BANK OF EVENING SHADE
Charter No. 69. Date of Charter, February 5, 1901.

O fficers—W. A. Edwards, President; J. R. Metcalf, Vice President; W. N. Metcalf, . Cashier;

E. B. Metcalf, Assistant Cashier.

D irectors—W. A. Edwards, M. Stokes, J. R. Metcalf. J. R. Edwards. W. N. Metcalf. O. S. West­

moreland.

STATEMENT OF DECEMBER 31, 1921
RESOURCES
LIABILITIES
Loans and discounts.......................$32,050.14
Capitiail stock................................... $10,000.00
Loans on real estate...................... 4,521.42
Certified surplus..................... i........ 2,000.00
U. S. bonds..................................... 13,100.00
2,601.52
Undivided profits...........................
976.51
Other bonds and securities............
Bills payable..................................... 5,000.00
Furniture and fixtures.................... 1,100.00
Bills payable “ Deposits on which
Banking house...................................
600.00
more than 4 per cent interest
Other real estate...............................
500.00
is paid’ ’ ....................................... 13,751.76
Due from reserve banks................ 6,874.70
Individual deposits........................... 27,388.11
Currency ........................................... 2,633.00
Public funds ...................................... 13,751.76
Gold ....................................................
10.00
Certificates of deposit, demand..... 2,152.37
Silver ................................................
527.99 . Total deposits .............. $43,292.24
Total cash and-Ex...... $10,045.69
Total ............................................. $62,893.76

Total ...................................... .......$62,893.76

EVERTON
Boone County

BANK OF NORTH ARKANSAS
Charter No. 451. Date of Charter, March 23, 1916.

O fficers—L. C. Gibson, President; Chas. G. Calhoun, Vice President; W. E. Cantrell, Cashier;

Kathrine Stites, Assistant Cashier.

D irectors—L. C. Gibson, Chas. G. Calhoun, W. E. Cantrell.

STATEMENT OF DECEMBER 31. 1921
RESOURCES
Loans and discounts.........................$40,200.78
Loans on real estate.......................... 16,735.00
Other bonds and securities..............
491.91
Furniture and fixtures....................... 1,500.00
Banking, house........ .......................... 2,500.00
D u e fr o m

r e s e r v e b a n k s .......................

Currencv ...........................................
Silver ..................................................
Total cash and Ex...... $17,318.23

1 4 ,8 2 4 .8 6

1,851.00
642.37

Total ............................................... $78,745.92

LIABILITIES
Capital stock..... ..................................$10,000.00
Certified surplus..........................
2,000.00
Undivided profits............................... 1,736.68
Individual deposits............................. 50,518.16
Public funds....................................... 1,000.00
C e r tific a te s o f d e p o s it , t im e ...............

Cashier’ s checks.........................
Total deposits................ $65,009.24

1 3 ,4 6 2 .5 9

28.49

Total ................................................$78,745.92

FAYETTEVILLE
Washington'County

CITIZENS BANK
Charter No. 254.

Date of Charter, April 2, 1908.

O fficers—J. C. White, President; Jay Fulbright, Vice President; R. L. Taylor, Cashier.
D irectors—J. C. White, Jay Fulbright, J. E. Dowell, H. F. Dowell, I. G. Combs.

STATEMENT OF DECEMBER 31, 1921
RESOURCES
Loans and discounts...................... $ 62,430.02
Loans on real estate...................... 32,529.05
Overdrafts .......................................
.05
U. S. bonds.......................................
800.00
Furniture and fixtures....................
970.00
Due from reserve banks................
5,004.14
Checks on other banks....................
988.58
Currency ...........................................
1,917.00
Silver .................... <.................... .....
846.99
Total cash and Ex.........$8,756.71
T otal




.$105,485.83

LIABILITIES
Capital stock..................................... $ 10,000.00
Certified surplus...............................
9,000.00
Undivided profits.............................
2,221.42
Bills payable..................................... 13,000.00
Individual deposits........................... 63,804.41
Certificates of deposit, time..........
7,460.00
Total deposits................ $71,264.41

Total

.$105,485.83

78

R eport

of

B a n k C om m issioner

FAYETTEVILLE
Washington County

FIRST SAVINGS BANK

Charter No. 367.

Date of Charter, January 29, 1912.

O fficers— Art T . Lewis, President; A. E. Cor ner, Vice President; F. P. Earle, Vice President;

K. C. Key, Cashier.

D irectors—Art T. Lewis, E. F. Ellis, Bert S. Lewis, F. P. Earle, S. F. Dowell, L. L. Baggett,

J. E. Dowell.

STATEMENT OF DECEMBER 31, 1921
.

R E SO U R C E S

Loans and discounts...................... $ 31,698.82
Loans on real estate...................... 140,127.18
Due from reserve banks................ 34,004.28
Total cash and Ex...... $34,004.28

Total

.$205,830.28

L IA B IL IT IE S

Capital stock..................................... $ 20,000.00
Certified surplus...............................
2,500.00
Undivided profits.............................
722.96
Savings accounts............................. 182,445.82
Certificates of deposit, time..........
161.50
Total deposits..............$182,607.32
$205,830.28

Total

FAYETTEVILLE
Washington County

McILROY BANKING COMPANY

Charter No. 31. Date of Charter, December 24, 1892.
O fficers—E. B. Harrison, President; J. H. Mcllroy, Vice President; H. K. Wade, Cashier; J. W.

Pinkerton, Assistant Cashier; J. B. - McConnell, Assistant Cashier.

D irectors—E. B. Harrison, J. H. Mcllroy, H. K. Wade, F. P. Hall, J. K. Pool.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S

Loans and discounts.......................$300,555.03
Loans on real estate...................... 111,936.75
Overdrafts ................
542.88
U. S. bonds....................................... 113,464.00
1,626.20
Furniture and fixtures....................
Banking house.................................
7,000.00
D u e f r o m n o n -r e s e r v e b a n k s .............

3 5 4 .3 5

Due from reserve banks................ 181,761.80
Checks on other banks..................
4,501.15
Currency ..........................................
4,537.00
G o ld

................

Silver ................................................
Total cash and Ex.... $195,123.65

L IA B IL IT IE S

Capital stock..................................... $ 50,000.00
Certified surplus............................. 150,100.00
Undivided profits.............................
751.22
Savings accounts............................. 168,645.27
Individual deposits........................... 300,486.48
Certificates of deposit, demand.... 58,487.59
Cashier’ s cheeks...............................
1,700.63
Total deposits..............$529,319.97
Other liabilities.................................
77.32

1 ,2 2 2 .4 0

2,746.95

Total ..............................................$730,248.51

Total ..............................................$730,248.51

FORDYGE
Dallas County

BANK OF FORDYCE
Charter No. 20.

Date of Charter, May 23, 1890.

O fficers—A. B. Banks, President; J. G. Pattillo, Vice President; L. Amis, Cashier; Geo. Hayes,

Jr., Assistant Cashier.

D irectors—A. B. Banks, J. G. Pattillo, E. T. Collins, V. R. Harris, J. H. Meek, C. B. Hickey,

L. L. Trussell, Jno. R. Hampton, L. Amis, Dr. F. E. Harrison, Red Thomas, P. W. Dedman.
STATEMENT OF DECEMBER 31, 1921
L IA B IL IT IE S

R E SO U R C E S

Capital stock......................................$100,000.00
Loans and discounts.......................$489,327.82
Certified surplus............................... 50,000.00
Loans on real estate...................... 71,579.69
Undivided profits............................. 23,672.39
Overdrafts .......................................
742.62
Savings accounts............................. 42,086.50
Other bonds and securities............................... 27,901.98
Individual deposits........................... 300,497.01
Furniture and fixtures..................
2,375.00
Public funds..................................... 63,997.91
Banking house................................... 10,000.00
Due to non-reserve banks.............. 13,545.83
Due from non-reserve banks........
7,916.13
Certificates of deposit,demand....... 187,226.66
Cash items.......................................
45.46
Cashier’ s checks...............................
1,352.13
Due from reserve banks................ 159,342.72
Checks -on other banks..................
613.48
Total deposits.............. $608,706.04
Currency ..........................................
8,562.00
Gold ..................................................
1,530.00
Silver ................................................
2,441.53
Total cash and Ex.... $180,451.32
T otal




.$782,478.43

T otal

.$ 7 82,478.43

S tate

of

79

A rkansas

FOREMAN
Little River County

BANK OF FOREMAN
Charter No. 235.

Date of Chairter May 24, 1907.

O fficers—D. A. Cook, President; R. E. Bowles, Vice President; Fred Gantt, Cashier; Ed H.

Cheever, Assistant Cashier.

D irectors—D. A. Cook, R. E. Bowles, L. J. Atkinson, J. W. Hopson, Jr., Fred Gantt, H. C. Free­

man, R. L. Elliott, F. K. Davis, Ed H. Cheever.

STATEMENT OF DECEMBER 31, 1921
RESOURCES
Loans and discounts.........................$282,101.41
Loans on real estate...................... 84,630.35
74.54
Overdrafts .......................................
Bonds to secure postal savings....
7,365.00
Other bonds and securities..........
4,000.00
Furniture and fixtures....................
3,000.00
•Banking house.................................
2,000.00
Items in transit...............................
254.00
1,449.42
Cash items.......................................
Due from reserve banks................ 15,515.03
6,235.36
Checks on other banks................
Currency .........................................
3,419.00
Gold ..................................................
905.00
Silver ................................................
897.93
Total cash and Ex...... $28,675.74
Other resources.................................
675.00
Total

.$412,522.04

LIABILITIES
Capital stock..................................... $ 40,000.00
Certified surplus............................... 10,000.00
Undivided profits.............................
5,310.88
Bills payable..................................... 162,417.00
Savings accounts.............................
8,571.86
Individual deposits........................... 81,418.12
Public funds..................................... 42,699.45
Certificates of deposit, time.......... 55,967.00
Cashier’ s checks...............................
2,512.51
Total deposits..............$191,168.94
Reserved for interest......................
3,625.22

Total

$412,522.04

FOREMAN
Little River County

CITIZENS BANK

Charter No. 112.

Date of Charter, February 4, 1903.

O fficers—E. G. Campbell, President; R. P. Lindsay, Vice President; F. F. Bell, Cashier, E. Y.

Dildy, Assistant Cashier.

D irectors—E. G. Campbell, R. P. Lindsay, W. M. Gathright, Frank Horner, F. F. Bell.

STATEMENT OF DECEMBER 31, 1921
RESOURCES
Loans and discounts...................... $
Loans on real estate......................
Loans on cotton...............................
Overdrafts .......................................
Other bonds andsecurities..............
Furniture and fixtures....................
Banking . house.................................
Due from reserve banks................
Checks on other banks....................
Currency ...........................................
Gold ..................................................
Silver ................................................
Total cash and Ex...... $23,627.36
Total




74,484.91
22,735.02
10,012.33
155.55
3,299.64
1,000.00
2,650.00
12,810.94
4,076.20
5,510.00
823.00
407.22

.$137,964.81

LIABILITIES
Capital stock.....................................
Certified surplus...............................
Undivided profits.............................
Bills payable.....................................
Individual deposits...........................
Public funds.....................................
Certificates of deposit, time............
Cashier’ s checks...............................
Total deposits .............. $82,674.42

Total

i5;ooo.oo

15.000.
00
'5,290.39
2 0 . 0 00 .

74,256.05
1,225.18
5,850.51
1,342.68

$ 137,964.81

00

R eport

80

of

B a n k C om m issioner

FORREST CITY
St. Francis County

BANK OF EASTERN ARKANSAS
Charter No. 3.

Date of Charter, September 2, 1886.

O fficers—Jas. Fussell, Sr., President; J. T. Fondren, Vice President; Jno. W. Alderson, Vice Pres­

ident; W. W. Campbell, Cashier; Walter Allen, Assistant Cashier.

D irectors—Jas. Fussell, Sr., Jno. W. Alderson, J. T. Fondren, Chas. Lewis, J. L. Mewborn, Jas.

Fussell, Jr., E. P. Taylor, C. W Norton, J E. Wynne, W. W. Campbell.
STATEMENT OF DECEMBER 31, 1921
RESOURCES

Loans and d iscou n ts............................ $ 3 1 8 ,6 7 7 .0 4
56,0 76 .1 2
L oans on real estate........... ..............
L oans on cotton .................................... 24,9 64 .5 3
O verd rafts .............................................
3,797.33
U . S. b o n d s .............................................
100.00
O ther bon d s and secu rities.............. 4 8 ,8 1 3 .2 6
F urnitu re and fixtures.......................
1 ,727.04
B an kin g h ou se......................................
8 ,500.00
Item s in tra n sit....................................
906.33
Due from non-reserve b an ks........... 2 0 9 ,52 0 .4 5
303.83
Cash item s................................. ............
D ue from reserve ban ks................... 4 0,5 39 .8 1
C hecks on other ban ks.....................
2,2 1 0.09
C urren cy ................................................
13,8 18 .0 0
G old .............................
205.00
S ilv er .......................................................
2,6 8 2.91
T otal cash and E x ..... $ 27 0 ,1 8 6 .4 2
3 ,000.00
O th er-resou rces......................................

Total ..............................................$715,841. 74

LIABILITIES
Capital stock..................................... $ 50,000.00
Certified surplus............................... 50,000.00
Undivided profits............................. 23,251.44
Dividends unpaid.............................
3,060.00
Individual deposits.................. ...... 418,930.60
Public funds..................................... 72,843.63
Certificates of deposit, time.......... 117,756.07
Total deposits.............. $612,590.30

Total ............................................. $735,841.74

FORREST CITY
St. Francis County
PLANTERS BANK & TRUST COMPANY
Charter No. 521. Date of Charter, April 15, 1921.
O fficers—L. R. Grobmyer, President; T. B. Green, Vice President; S. J. Dean, Cashier; L. N.

Myers, Assistant Cashier; Jno. T. Lanier, Assistant Cashier.

D irectors—L. R. Grobmyer, T. B. Green, R. J. Lanier, Louis McDaniel, J. R. Grobmyer, L.

Barnett, Oscie Walker, J. T. Sanders, S. L. Kirkpatrick, S. J. Dean, W. J. Lanier.
STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S

Loans and discounts.......................$154,891.20
Loans on real estate...................... 55.305A7
Loans on cotton.................
9 800 00
Overdrafts ................................................ ’282!94
Other bonds and securities............ 19,044.31
Furniture and fixtures....................
3|l05.20
Banking house................................. 15,OOo!oO
Cash items.......................................
X 545.50
Due from reserve banks................ 7o|o98]97
Checks on other banks..............
1756 58
Currency ......................................... 14,79 7^00
.....................................................

Sliver .... .........................................
Total cash and Ex...... $90,360.90
Other resources...............................
T otal

210.00

1,952.85
7,336.09

.................................................. $ 35 5 ,1 2 5 .8 1




LIABILITIES
Capital stock..................................... $ 50,000.00
Certified surplus....... .......................
5,000.00
Undivided profits.............................
7,816.71
Bills payable..................
30,000.00
Savings accounts............................. 25,469.88
Individual deposits....................
172,616.05
Public funds...................
39,081.80
Certificates of deposit, time........ 24,033.11
Cashier’ s checks...............................
1,108.26
Total deposits.............. $262,309.10

T ota l

.................................................. $ 3 5 5 ,1 2 5 .8 1

S tate

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81

A rkansas

FORT SMITH
Sebastian County

ARKANSAS V A L L E Y BANK

Charter No. 206. Date of Charter, March 2, 1906.
O fficers—Hugh Branson, Eresident; M. M. Hayes, Vice President; G. H. Sexton, Cashier; E. E.

Sexton, Assistant Cashier.

D irectors—Jas. B. McDonough, Rudolph Ney, S. Bernie Harper, Dr. H. Moulton, M. M. Hayes,

Hugh Branson.

STATEMENT OF DECEMBER 31, 1921
LIABILITIES
RESOURCES
Capital s to ck ........................................... $100 ,0 0 0 .0 0
Loans and discounts.........................$753,726.63
Loans on real estate........................
1,142.61
Certified surplus.................................... 20,000 00
U ndivided p rofits.................................
15,930.10
Loans on cotton............................... 15,000.00
Overdrafts .......................................
1,101.61
B ills p a ya b le........................................... 140,000.00
U. S. bonds....................................... 43,950.00
Notes red iscou n ted ..............................
9 7,9 57 .9 5
JBills p ayable “ D eposits on w hich
Other bonds and securities............................... 26,039.67
Furniture and fixtures.................... 20,735.64
m ore than 4 p er cent interest
is p a id ’ ’ ............................................. 253 ,16 8 .8 8
Items in- transit............................... 19,261.37
Savings a ccou n ts..................
215 ,13 6 .3 0
Bills of exchange............................. 95,554.89
Due from non-reserve banks........ 66,308.81
In d ivid u a l d ep osits............................... 3 32,040.22
Cash items.'......................................
3,797.61 P u b lic fu n d s........................................... 38,032.58
Due to n on -reserve b an k s................ 178 ,64 4 .3 4
Due from reserve banks.............. 39,706.25
Checks on other banks.................. 20,404.78
C ertificates o f deposit, dem and.... 18,369.22
Certificates o f deposit, tim e...........
2,3 7 9.05
Currency ............:.............................. 25.265.00
200.00
Certified ch ecks....................................
Gold ..................................................
500.00
C ashier’ s ch eck s....................................
6,323.23
Silver ................................................ 10,148.13
Total deposits..............$791,130.94
Total cash and Ex.... $281,037.34
Other resources............................... 22,285.49
T ota l ............................................... $ 1 ,1 6 5 ,0 1 3 .9 9

T otal ................................................ $ 1,1 65 ,0 1 8 .9 9

JThis amount not added in totals.

FOUKE
M iller County

STATE BAN K OF FOUKE

Charter No. 436. Date of Charter, April 6, 1914.
O fficers—J. W. Maxwell, President; Allen Winham, Vice President; R. E. Maxwell, Cashier.
D irectors—J. W. Maxwell, Allen Winham, S. J. Davis, L. C. Acruman, R. E. Maxwell.

STATEMENT OF DECEMBER 31, 1921
RESOURCES
L oans and d iscou n ts.............................$29,72 8 .7 5
Loans on real estate............................ 11,477.50
O verdrafts ................................................
76.08
F urnitu re and fixtures..........................
900.00
B an king house........................................
2 ,2 0 0.00
Cash item s................................................
76.23
D ue from reserv e ban ks..................... 15,847.65
C urrency ..................................................
2 ,199.00
S ilv er .........................................................
367.90

L IA B IL IT IE S
Capital s to ck ..............................................$10 ,00 0 .0 0
Certified surplus......................................
5,000.00
U nd ivid ed p rofits.................................... 2 ,205.70
Savings a ccou n ts......................................
2,506.52
In d ivid u a l d ep osits................................. 37,1 11 .6 1
P u b lic fu n d s.............................................
6,049.28

Total deposits......,......... $45,667.41

Total cash and Ex...... $18,490.78
Total




$62,87 3 .1 1

T otal

$62,87 3 .1 1

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B a n k C omm issioner

FOUNTAIN HILL
A shley County

F O U N T A IN H IL L B A N K

Charter No. 402. Date of Charter, January 25, 1913.
O fficers—G. W. Mears, President; A. G. Pierce, Vice President; T. H. Evans, Cashier; Mrs.
T. H. Evans, Assistant Cashier.
!—G. W. Mears, A. G. Pierce, A. A Pierce, F. N. Pugh, G. P. George.
STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
L oans and d iscou n ts...............................$ 14 ,01 7 .9 9
7 ,568.25
L oans on real estate............................
O verd rafts ................................................
86.07
O ther bonds an d secu rities................
918.31
F urnitu re and fixtures..........................
1 ,508.14
B an kin g hou se..........................
1 ,918.74
O ther real estate....................
1,246.18
Item s in tra n sit......................................
3,2 5 0.25
D ue from reserve banks.....................
2,5 1 0.40
..........................................
1,972.00
C urren cy
G old ............................................................
117.50
S ilver .........................................................
470 .02

L IA B I L I T I E S
Capital s to ck ..............................................$ 10 ,00 0 .0 0
C ertified surplus....................
2,p00.00
U nd ivid ed p rofits....................................
1,702.31
In d ivid u a l d ep osits............................... 14,427.39
6,952.10
C ertificates o f deposit, tim e..............
C ashier’ s ch eck s......................................
502.05

Total deposits................$21,881.54

Total cash and Ex........ $8,320.17
T otal

$ 3 5 ,58 3 .8 5

Total

.$35,583.85

FRANKLIN
Izard County

B A N K O F F R A N K L IN

Charter No. 182. Date of Charter, June 13, 1905.
O fficers—W. C. Gaston, President; A. F. Batterton, Vide President; E. JJ. Shell, Cashier.
D irectors—W. C. Gaston, W. L. Gaston, E. G. Shell, A. F. Batterton, J. D. Smith.
STATEMENT OF DECEMBER 31. 1921
R ESO U R C E S
L oans -and d iscou n ts.............................$ 17 ,56 1 .2 2
L oans on real estate............................... 20,0 83 .8 6
O verd rafts ................................................
4 08.31
U. S. b o n d s ................................................
885.22
F urnitu re and fixtures.........................
2 ,1 0 0.00
B an kin g hou se..... v ................................
2 ,507.00
Item s in tra n sit.....................................
56.86
Cash item s................................................
516.22
D ue from reserve banks....... ............... 2 0 ,7 50 .7 6
1,136.00
C urren cy .............
G old ........
330.00
173.92
S ilver .......................

L IA B I L I T I E S
Capital s to ck ..............................
$ 10 ,00 0 .0 0
Certified surplus......................................
2 ,000.00
U ndivided p rofits....................................
1,821.47
B ills p a ya b le........................................... ; 12,000.00
In d ivid u a l d ep osits............................... 4 0,6 87 .9 0

Total deposits............... .$40,687.90

Total cash and Ex...... $22,963.76
T otal

$ 66 ,50 9 .3 7

T otal

.$66,509.37

FULTON
Hempstead County

BANK OF FULTON

Charter No. 156. Date of Charter, April 29, 1904.
O fficers—Wm. Temple, President; W. E. Cox, Jr., Vice President; T. J. Carter, Cashier; Dan
Harkness, Assistant Cashier.
D irectors—Wm. Temple, J. R. Autry, Wr. R. Orton, W. E. Cox, Jr., S. R. Morgan.
STATEMENT OF DECEMBER 31. 1921
R ESO U R C E S
L oans and d iscou n ts................
$ 52 ,74 6 .0 2
L oans on real estate............................
3 ,2 9 6.60
O v erd ra fts ................................................
1,150.99
O ther bonds and securities................... 5 ,148.25
F urnitu re and fixtures.......................
2,000.00
Other real estate...................................
1,3 4 8.55
Due from reserve ban ks...............*......
5,784.50
Checks on other ban ks.......................
5.00
C urren cy .....................
2,5 0 6.00
G old ...............
4 76.00
S ilver .......................
1,475.19

Total cash and Ex...... $10,246.69

Other resou rces........................................
T otal

2 ,3 9 2.54

................. ................................. .$ 7 8 ,3 29 .6 4




L IA B I L I T I E S
C apital s to ck ..................
$17,12 5 .0 0
C ertified surplus.....................................
3 ,000.00
U n divided p rofits.............................
578.40
B ills p a ya b le___.,...............
10,000.00
JB ills payable “ D eposits on w hich
m ore than 4 per cent interest
is p a id ’ ’ ................................................ 11,000.00
In d ivid u a l d ep osits................................. 2 8,7 66 .0 1
P u b lic fu n d s..............................
4 ,754.88
C ertificates of deposit, dem and....
3 ,105.35
C ertificates o f deposit, fo r m oney
b orrow ed .............................
11,000.00
T otal d ep o sits...............$ 4 7 ,62 6 .2 4
T otal

.....................................................$ 7 8 ,32 9 .6 4

S tate

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83

GENTRY
Benton County

C IT IZ E N S B A N K

Charter No. 359. Date of Charter, December 4, 1911.
O fficers—Marion Wasson, President; E. D. Baker, Vice President; J. N. Covey, Cashier; Sadie

Monroe, Assistant Cashier.

D irectors—Marion Wasson, E. B. Baker, J. N. Covey, J. J. Carl, A. G. Wasson.

STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
Loans and d iscou n ts.......................... $163 ,5 8 5 .7 8
7,735.00
L oans on real estate..........................
O verdrafts ..........................
6 14.64
U. S. b on d s.............................................
1,800.00
Other bonds and secu rities..............
2 ,617.12
F urnitu re and fixtures........................
600.00
B an king house.....................
4 ,500.00
Item s in transit...................................
207.09
Due from reserve ban ks................... 65,987.73
Checks on other ban ks.....................
769.04
C urrency ..................................................
6,750.00
G old .........................................................
700.00
S ilver .......................................................
2 ,4 6 4.54

L IA B I L I T I E S
Capital s to ck ...........................................$ 25,0 00 .0 0
Certified surplus........... ............
500.00
U n divided p rofits.................
4 ,264.51
Ind ivid u al d ep osits............................... 1 68,012.25
P u b lic fu n d s...............
2 ,320.17
C ertificates o f deposit, dem and......
51,171.40
C ash ier’ s ch eck s...............
7,062.61

Total deposits..............$228,566.44

Total cash and Ex...... $76,878.40

.$ 2 58,330.94

Total

Total

$ 25 8 ,3 3 0 .9 4

JThis amount not added in totals.

GILLETT
Arkansas County

B A N K O F G IL L E T T

Charter No. 183. Date of Charter. June 20, 1905.
O fficers—Henry S. Jones, President; J. W. A. Norden, Vice President; R. R. Koen, Cashier;

L. Sager, Assistant Cashier.

D irectors—Henry S. Jones, J. W. A. Norden, A. H. Richter, J. I. Devore, Wm. Moll.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
Loans and d iscou n ts.............................$345 ,3 6 8 .4 2
L oans on real estate..........................
58,940.00
Loans on co tto n ...................................
2,1 7 5.04
O verdrafts .................................
100.00
Other bonds and secu rities..............
3,485.80
F urniture and fixtures....... ...............
2,9 4 5.36
B an king house........................................
2,534.40
Item s in transit................
109.93
Cash item s....... ..........................
167.86
Due from reserve ban k s................
20,907 60
Currency .........
5 ,396.00
G old .........................................................
207.50
S ilver .......................................................
1 306.65

L IA B I L I T I E S
Capital stock .......................................... $ 50,000.00
Certified surplus.................................... 15,000.00
U ndivided p rofits.................................
4,2 9 6.06
B ills p a ya b le....................:•..................... 1 92,441.08
T rust fu n ds.............................................
500.00
In d ivid u a l d ep osits............................... 94,4 40 .3 6
P u b lic fu n d s...........................................
73,673.58
« Certificates o f deposit, t im e .-..........
6,577.77
C ashier’ s ch eck s.................................
7,215.71

Total deposits..............$182,407.42

Total cash and Ex...... $28,595.54
Total




.$444,144.56

Total

$444 ,1 4 4 .5 6

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GILLHAM
Sevier County

B A N K O F G IL L H A M

Charter No. 179. Date of Charter, May 15, 1905.
O fficers—B. E. Hendrix, President; J. L. Flanagin, Vice President; W. A. Beckett, Cashier; Mrs.

M. M. George, Assistant Cashier.

D irectors—W. M. Campbell, R. A. Luttrell, B. E. Hendrix, W. M. Luttrell, W. A. Beckett.

STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
Loans and d iscou n ts............................... $ 60 ,8 6 0 .4 4
L oans on rea l estate........... ................. 18,866.41
O verdrafts ................................................
4.03
Other bonds and secu rities................
180.90
F urnitu re and fixtures..........................
2 ,7 8 1.94
B an kin g hou se...........................................
3 ,461.49
O ther real estate....................................'
6 30.00
Cash item s ................................................
40.00
D ue from reserve banks.....................
7,378.35
C urren cy ..................................................
1,528.00
G old .....................................................................3 45.00
S ilv er ..........................................................
386.33

L IA B IL IT IE S
C apital s to ck ..............................................$ 25 ,00 0 .0 0
5,000.00
C ertified surplus......................................
U nd ivid ed p rofits.................................... 3 ,015.15
B ills p a ya b le.............................................. 15,000.00
Notes red iscou n ted ................................. 12,358.22
In d ivid u a l d ep osits................................. 30,3 21 .0 8
P u b lic fu n ds..............................................
441.52
C ertificates o f deposit, tim e.............. 4 ,6 9 3.04
633.88
C ash ier’ s ch eck s......................................

Total ....................................................... $ 9 6 ,46 2 .8 9

T otal ....................................................... $ 9 6 ,46 2 .8 9

Total deposits................ $36,089.52

Total cash and Ex........ $9,677.68

GLENWOOD
Pike County

BANK OF GLENW OOD

Charter No. 398. Date of Charter, December 27, 1912.
O fficers—H. L. Watkins, President; D. H. Dixon, Vice President; McF. Gibbs, Cashier.; E. G.

Watkins, Assistant Cashier.

D irectors—H. L. Watkins, Geo. W. Lawless,. W. H. Penrod, McF. Gibbs, D. H. Dixon, W. E.

Taylor, W. M. Lawless.

STATEMENT OF DECEMBER 31, 1921
RESOURCES
L oans and d iscou n ts..........................!
L oans on real estate..........................
O verd ra fts .............................................
U. S. b o n d s .............................................
O ther bon d s and secu rities..............
F urnitu re and fixtures.....................
B an k in g h ou se......................................
O ther rea l estate.................................
Item s in tra n sit....................................
Cash item s.............................................
D ue from reserve ban k s..................
C urren cy ..................................................
G old .........................................................
S ilv er .......................................................

Total cash and Ex...... $22,897.95
O ther resou rces......................................
T otal




60,8 43 .2 9
2 4,7 41 .2 8
89.98
100.00
4 ,1 2 2.52
2 ,317.50
3 ,000.00
4 ,1 5 7.90
380 .91
178.20,
15,3 12 .9 0
4 ,8 6 9.00
342.50
1 ,814.44

L IA B IL IT IE S
C apital s to ck ........................................... .$15,000.00
C ertified surplus....................................
4 ,5 0 0.00
U nd ivid ed p rofits.................................
2 ,5 8 1.06
B ills p a ya b le..........................................'. 21, 000.00
In d ivid u a l d ep osits...............................
6 3,4 16 .2 1
P u b lic fu n d s...........................................
6,7 3 4.57
C ertificates o f deposit, dem and......
8 ,8 3 5.17
C ash ier’ s ch eck s............................ .......
585 .64

Total deposits............... $79,569.59

R eserv ed fo r taxes...............................

65.62

445 .85

.$ 122,716.27

T otal

.$1 2 2,71 6 .2 7

S tate

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85

GOULD
Lincoln County

BAN K OF GOULD

Charter No. 492. Date of Charter, September 10, 1919.
O fficers—J. D. Crockett, President; C. H. Holthoff, Vice President; T. W. Gill, Cashier.
D irectors— J. D. Crockett, C. H. Holthoff, W. E. Massey, T. H. Free, T. W. Gill.

STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S

Loans and discounts.........................$34,731.84
Loans on real estate........................ 18,301.49
Loans on cotton................................. 2,000.00
Overdrafts ...........
261.09
Furniture and fixtures...................... 3,500.00
Banking house................................... 5,500.00
Other real estate................................. 6,000.00
Cash items...........................................
162,04
Due from reserve banks................ 11,742.15
Currency ........................................... 2,477.00
Gold'....................................................
122.50
Silver ..................................................
91.24
Total cash and Ex...... $14,594.93
Total

.$84,939.35

L IA B IL IT IE S

Capital stock........................................$15,000.00
Certified surplus................................. 1,500.00
Undivided profits...............................
886.40
Individual deposits............................. 56,879.57
Public funds....................................... 8,407.88
Certificates of deposit, demand........
855.50
Cashier’ s checks................................. 1,410.00
Total deposits................ $67,552.95

Total

.$84,939.35

GRADY
Lincoln County

C IT IZ E N S B A N K

Charter No. 511. Date of Charter, June 30, 1920.
O fricers—T. S. Lovett, President; B. F. Ingram, Vice President; H. R. Wood, Cashier; Coy R.

Harvey, Assistant Cashier.

D irectors—C. E. Wood, J. E. Bittinger, J. H. Taliaferro, S. W. Colquitt, E. C. Hardin, T. S. Lovett,

B. F. Ingram.

STATEMENT OF DECEMBER 31. 1921
RESOURCES
Loans and discounts........................ $
Loans on real estate......................
Loans on cotton...............................
Overdrafts .......................................
Other bonds and securities............
Furniture and fixtures....................
Banking house.................................
Due from non-reserve banks...........
Due from reserve banks..................
Currency .........................................
Gold ........................... .,....................
Silver ......................... '......................
Total cash and Ex...... $32,955.87
Other resources.................................

20,122.50
15,169.28
38,605.00
5.15
385.30
2,500.00
3,500.00
22,016.55
4,857.39
3,000.00
585.00
2,496.93

25,000.00
2,600.00
2,343.54
33,915.00
153.00
22,461.91
50,636.58
2 ,000.00
28.84
534.02

26,429.79

T otal .................................................... $139 ,6 7 2 .8 9




LIABILITIES
Capital stock............... ..................... $
Certified surplus.........
Undivided profits.......
Bills payable..............
Savings accounts.......
Individual deposits....
Public funds................
Certificates of deposit, time........
Certified checks.........
Cashier’ s checks..........
Total deposits.............. ..$75,814.35

T o t a l .....................................................$ 139,672.89

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B a n k C omm issioner

GRAVETTE
Benton County

BANK OF G RAVETTE

Charter No. 46. Date of Charter, February 28, 1898.
O fficers—J. T. Edmondson, President; D. T. Roseborough, Vice President; Philo Rodgers, Vice

President; Uther Kindley, Cashier; Tom Cawood, Assistant Cashier.

D irectors—J. F. Dorsett, Alfred Austin, Philo Rodgers, D. T. Roseborough, Mollie Kindley, J. T.

Edmondson, Lanier Rodgers.

STATEMENT OF DECEMBER 31, 1921
RESOURCES
L oans and d iscou n ts.............. .......... $ 94,6 79 .4 1
L oans on real estaate........................ 78,243.40
O verd rafts ...................................
5,440.07
U. S. b on d s ...........................
2 ,3 0 0.00
Other bon d s and secu rities..............
211.46
F urnitu re and fixtures.....................
2 ,500.00
B an king hou se...............................
3,000.00
2 ,797.88
D ue from non-reserve b an ks...........
Due from reserve ban k s................
16,6 92 .0 7
Checks on other ban ks................
22.30
C urren cy .........
2 ,542.00
G old ......................................
1,085.00
S ilv er ...............
2 ,1 7 5.07

LIABILITIES
Capital stock.....................................$
Certified surplus...............................
Undivided profits................
Bills payable.....................................
Individual deposits.........................
Certificates of deposit, time...... .
Tota' deposits..............$148,599.81

25,000.00
25,000.00
3,088.85
10.000.00
68,062.97
80,536.84

Total cash and Ex...... $25,314.32
Total

.$ 2 11 , 688.66

Total

$ 2 11,688.66

GREEN FOREST
Carroll County

FARM ERS & M ER CH AN TS BANK

Charter No. 447.

Date of Charter,. July 27, 1915.

O fficers—Lum Anderson, President; M. S. Coxsey, Vice President; Ray Anderson, Cashier, W. G.

Coxsev, Assistant Cashier.

D irectors—Lum Anderson, M. S. Coxsey, W. G. Coxsey, Ray Anderson.

STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S

Loans and discounts...................... $ 84,880.25
Loans on real estate....................... 12,472.00
Overdrafts .......................................
39.92
U. S. bonds.......................................
7,200.00
Other bonds and securities............
85.50
Furniture and fixtures....................
1,600.00
Banking house...................................
2,500.00
Due from reserve ' banks.............. 11,932.48
Checks on other banks..................
876.41
Currency ..........................................
3,474.00
Gold ..................................................
320.00
Silver ................................................
1,545.61
Total cash and Ex...... $18,148.50
T otal




$ 1 2 6 ,9 2 6 .1 7

LIABILITIES
Capital stock..................................... ! 10 , 000.00
Certified surplus...............................
5.000.
00
Undivided profits....................... .....
993.20
Bills payable.....................................
9.500.00
Notes rediscounted...........................
6.635.00
Individual deposits......................... 50,708.86
Public funds.....................................
1. 000 . 00
Certificates of deposit, time.......... 43,089.11
Total deposits................ $94,797.97

Total

$ 1 2 6 ,9 2 6 .1 7

S tate

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87

A rkansas

GREENWAY
Clay County

BANK OF G R EEN W AY
Charter N o. 249.

Date of Charter, October 20, 1907.

Officers— H.

G. Shannon, President; R . W . Turner, V ice President; C. F. Brennecke, Cashier;
Opal M. Garrard, Assistant Cashier.

Directors— H.

G. Shannon, G. W . Sanders, C. F. Brennecke, R. W. Turner, S. A . Ward.
S T A T E M E N T OF DECEM BER 31, 1921

RESOURCES

L IA B IL IT IE S

Loans and discou n ts............................$44,65 5 .1 1
Loans on real estate............................
6,178.00
O verdrafts ................................................
29.95
U . S. b on d s................................................ 8,400.00
O ther bonds and securities..............
1,117.19
F urnitu re and fixtures..........................
1,344.87
B an king house........................................
2,0 0 0.00
Due from n on -reserve ban k s..............
4 91.86
Cash item s................................................
226.65
Due from reserve banks..................... 10,024.70
Currency ...................._ ...........................
4 ,905.00
G old ............................................................
50.00
S ilver .........................................................
187.70

Capital s to ck ..............................................$ 10,000.00
2,000.00
Certified surplus......................................
U ndivided p rofits.................................... 1,040.97
B ills p a ya b le............................................. 17,000.00
In d ivid u a l d ep osits................................. 31,116.13
5,715.19
P u b lic fu n d s...............
C ertificates o f deposit, tim e.............. 12,698.89
C ash ier’ s ch eck s.....................
39.85

Total deposits.................$49,570.06

Total cash and E x.......$15,885.91
T otal

.............................................. -..$ 7 9 ,6 1 1 .0 3

T otal

.....................................................$79 ,61 1 .0 3

GREENWOOD
Sebastian County

FARM ERS BANK
Charter No. 243.

Officers— G.

C. Packard, President;
A lice Holland, Assistant Cashier.

Date of Charter, August 7, 1907.

C. R. Owens, V ice President; W . N . 1Wilkinson, Cashier;

Directors— R.

H. McConnell, R . J. Davi& W . Lee Been, B. L. Ware, C. R . Owens, J. W . Carlile,
W . L. Seaman, G. C. Packard, F. P.TIolland, A lice Holland, W . N. Wilkinson.
S T A T E M E N T OF DECEM BER 31, 1921

L IA B IL IT IE S
R E SO U R C E S
Capital s to ck ..............
$25,00 0 .0 0
Loans and d iscou n ts.......................... $169 ,9 4 7 .2 3
Certified surplus.................................... 15,000.00
Loans on real estate..........................
15,369.63
U nd ivid ed p rofits.................................
1,076.56
Loans on co tto n ........... ..................
19,877.26
$Bills payable “ D eposits on w hich
O verdrafts .............................................
268.31
m ore than 4 per cent interest
U. S. b on d s.............................................
3,868.40
is p a id ’ ’ .............................................
14,301.22
Other bonds and secu rities..............
10,876.29
In d ivid u a l d ep osits............................... 1 57,599.34
Furniture and fixtures.......................
2 ,600.00
P u b lic fu n d s...........................................
14,301.22
B an king house......................................
3,700.00
Certificates o f deposit, tim e.............. 73,951.26
Due from non -reserve ban k s................................... 11,487.89
C ashier’ s ch eck s....................................
1,207.53
Due from reserve banks................... 4 5,7 60 .1 4
Total deposits...............$247,059.35
Checks on other banks.....................
1,917.36
R eserevd fo r in terest..........................
1,000.00
C urrency ................................................
3,520.00
R eserved fo r ta x se ............................
1,500.00
G old .........................................................
485.00
S ilver .......................................................
4 63.40
Total cash and E x.......$63,633.79
Other

resou rces...................................

T otal

4 95.00
$290 ,6 3 5 .9 1

$This amount not added in totals.




T otal

-.$ 2 9 0 ,6 3 5 .9 1

R eport

of

B a n k C om m issioner

GRIFFITHVILLE
W hite County

F IR S T B A N K
Charter N o. 194.

Date of Charter, N ovember 6, 1905.

Officers— Jas. A . Neaville, President; A .
Directors— Jas. A . Neaville, A . J. Smith,

J. Smith, V ice President; B. F . Grissom, Cashier.
B. F. Grissom.

S T A T E M E N T O F D ECEM BER 31, 1921
R ESO U R C E S
•Loans and discounts...-........................... $ 1 0 ,48 3 .2 0
L oans on rea l estate............................
9 ,682.99
U. S. b on d s .............................................
2 ,523.39
O ther bon d s and securities.............. 2 ,4 0 0.00
F urnitu re and fixtures........................
8 50.00
B an kin g h ou se........................................
450 .00
Item s in tra n sit......................................
1 ,9 6 5.50
D ue from reserve banks..................... 11,350.05
C urren cy ..................................................
2 ,9 9 7.00
S ilv er ..........................................................
5 12 .54

L IA B IL IT IE S
Capital s to ck ................................ /............$ 5 ,0 0 0.00
Certified surplus......................................
600 .00
U nd ivid ed p rofits....................................
1 ,2 0 6.28
In d ivid u a l d ep osits................................. 3 2 ,3 7 6 .8 6
P u b lic fu n d s................ :............................ 1 ,5 7 3.75
209.00
Certificate o f deposit, tim e................
C ash ier’ s ch eck s......................................
9 12 .16

Total cash and E x....... $35,071.77
O ther

lia b ilitie s......................................

1 ,3 3 6.62

Total cash and E x.......$16,825.09
T otal

.....................................................$ 4 3 ,21 4 .6 7

T otal

.....................................................$ 4 3 ,2 1 4 .6 7

GRUBBS
Jackson County

BAN K OF GRUBBS
Charter N o. 284.

Date of Charter, July 21, 1909.

Officers— J.

M . Ivey, President; J. R. Ballew, V ice President; P. O. N oe, Cashier; J. S. Pen­
nington, Assistant Cashier.

Directosr— J.

M . Ivey, J. R . Ballew, D. D. Camp, J. E. Williams, J. S. Pennington, P. O. N oe.
S T A T E M E N T O F D ECEM BER 31, 1921

R ESO U R C E S
L oans and d iscou n ts.............................$ 17 ,00 0 .0 5
L oans on rea l estate............................
1,243.21
O v erd ra fts ................................................
23.29
373.34
O ther bon d s and securities..............
F urnitu re and fixtures..........................
1,6 1 3.00
B an kin g hou se........................................
1,500.00
Due from - reserve banks.....................
2 ,1 5 5.04
Checks on other banks...............•_.......
478 .80
C urren cy ..................................................
533.00
S ilver ...................i.....................................
72.50

L IA B IL IT IE S
C apital s to c k ................................. .■...........$ 1 0 ,0 0 0 .0 0
Certified surplus......................................
1 ,0 0 0.00
U n d ivid ed p rofits....................................
276 .24
In d iv id u a l d ep osits................................. 13,5 87 .6 2
C ertificates o f deposit, tim e..............
1 00.00
C ashier’ s ch eck s......................................
207 .37

Total deposits................. $13,894.99

Total cash and E x......... $3,239.34
O ther resou rces.........................................
T ota l

179.00

.....................................................$ 25 ,17 1 .2 3

T otal

.....................................................$ 2 5 ,1 7 1 .2 3

OUION
Izard County

IZ A R D C O U N T Y B A N K
Charter N o. 357.

Date of Charter, Novem ber 7, 1911.

Officers— J. W . Williamson, President; M rs. E. L. Collier, V ice
Directors— J. W . Williamson, E. L. Collier, M rs. E. L. Collier.

President; E. L. Collier, Cashier.

S T A T E M E N T O F D ECEM BER 31, 1921
R ESO U R C E S
Loans and d iscou n ts..................
$ 25 ,86 0 .1 3
O verd ra fts ......................................
870.38
U . S. b on d s .....................................
4 .4 2 4.00
F urnitu re and fixtur
1,397'.21
B an kin g hou se.........
1.475.00
Cash item s................
38.65
D u e from reserv e banks.
7 ,759.36
C urren cy ................................
3 .3 6 8.00
G old ..........................................................
337.50
S ilv er ........... ............................................
358 .04

L IA B IL IT IE S
Capital s to c k ............................................ $ 10 , 000.00
1,500.00
C ertified surplus....................................
1,109.18
•U n d ivid ed p rofits..................................
6, 000.00
B ills p a ya b le............................................
2 7,2 39 .1 4
In d ivid u a l d ep osits...............................
51.9 5
C ash ier’ s ch eck s.....................................

Total deposist................. $27,291.09

Total cash and Ex.......$11,861.55

O ther resou rces.......................................
T otal




12.00
.$45 ,9 00 .2 7

TotaT

.$45 ,9 00 .2 7

S tate

of

89

A rkansas

GURDON
Clark County

CLARK CO U N TY BANK
Charter N o. 61.

Date of Charter, August 4, 1900.

Officers— B.

B. Young, President; C. V . McDaniel, V ice President; F. M . H olt, Cashier; Louis
Davis, Assistant Cashier.
Directors— Jas. G. Clark, J. C. Lipscomb, W . E. M iller, B. B. Young, C. V . McDaniel, F. M . H olt.
S T A T E M E N T O F DECEM BER 31. 1921
R E SO U R C E S
L IA B IL IT IE S
L o a n s -a n d discou n ts.......................... $ 10 5 ,2 7 6 .7 1
Capital s to ck ...........................................$ 2 5,0 00 .0 0
64,2 68 .7 5
L oans on real estate..........................
Certified surplus....................................
8 ,0 0 0.00
O verdrafts .............................................
1 ,068.01
U ndivided p rofits.................................
702.81
9,6 3 1.37
Other bonds and secu rities..............
B ills p a ya b le...........................................
10,0 00 .0 0
F urnitu re and fixtures........................
3 ,000.00
Savings a ccou n ts.................................
35,729.92
Item s in tra n sit....................................
32.50
Individtial d ep osits............................ 109,353.03
Cash item s................................................
1,500.00
P u b lic fu n d s.................................................. 9 ,576.43
D ue from reserve ban ks................... 15,997.39
Certificates o f deposit, tim e...........
10,034.80
Checks on other banks.....................
1,180.09
C ashier’ s ch eck s....................................
1 ,6 1 3.66
C urrency ................................................
4 ,5 2 4.00
Total deposits...............$166,307.84
G old .........................................................
125.00
S ilv er .......................................................
3,406.83

Total cash and E x.......$26,765.81
T otal

.$ 2 10,010.65

T otal

.$ 2 10,010.65

GURDON
Clark County

M ER CH ANTS & FARM ERS BANK
Charter N o. 380.

Date of Charter, June 13, 1912.

Officers— W . S. Hearin, President; I. H.
Directors— W . S. Hearin, W . J. Capps, I.

Seller, V ice President; Rupert A . Stuart, Cashier.
H. Seller, Dr. C. W . McLain, Rupert A . Stuart.

STA T E M E N T OF -DECEMBER 31, 1921
R E SO U R C E S
L IA B I L I T I E S
Loans and d iscou n ts....................... $ 4 1,4 80 .5 4
Capital s to ck ...........................................I 1 7.0 00 .
00
L oans on real estate........................ 32,9 63 .2 5
Certified surplus....................................
2 ,5 0 0.00
250.00
L oans on cotton .................................
20. 000.
00
B ills p a ya b le...........................................
O verd rafts ...........................................
29.59
25.0 0
D ividen ds un p aid .................................
81,509.03
19,0 00 .0 0
In d ivid u a l d ep osits............................
U. S. b on d s...........................
O ther bonds and secu rities..............
617.25
Total deposits................. $81,534.03
23.21
F urnitu re an d fixtures..................... ..
2,8 0 0.00
R eserved fo r taxes...............................
Cash item s................
.’.
148.00
D ue from reserve banks................... 1 7 ,8 5 8 .6 6 '
C urrency ................................................
3,994.00
G old .........................................................
515.00
S ilver .......................................................
1,055.77

Total cash and E x.......$23,571.43
Other resou rces......................................
T otal

345.18
$ 1 2 1 ,0 5 7 .2 4

T otal

.$ 121,057.24

HAGKETT CITY
Sebastian County

H A C K E T T C IT Y B A N K
Charter N o. 204.

Date of Charter, January 8, 1906.

Officers— L.

W . Forbes, President; P. Forbes, V ice President; W . P. Forbes, Cashier; Taylor R .
Bishop, Assistant Cashier.
Directors— L. W . Forbes, P. Forbes, W . P. Forbes, Elizabeth Forbes.
S T A T E M E N T O F DECEM BER 31. 1921
R E SO U R C E S
L IA B IL IT IE S
Capital stock ..............................................$ 1 0 ,00 0 .0 0
Loans and d iscou n ts.............................$24,55 7 .0 1
Loans on real estate............................ 12,713.48
6,000.00
Certified surplus......................................
U . S. b on d s............................................. 13,101.11
U ndivided p rofits....................................
706 .94
Other bonds and secu rities..............
278.01
{B ills payable “ D eposits on w hich
F urnitu re and fixtures..........................
2,500.00
m ore than 4 p er cent interest
B an king house........................................
2,500.00
is p a id ’ ’ ................................................
5,673.17
Cash item s..................................................
982.61
Savings a ccou n ts....................................
552.22
Due from reserve ban ks.....................
7,090.23
In d ivid u a l d ep osits................................. 38,1 94 .5 9
C urren cy ..................................................
2,740.00
C ertificates o f deposit, tim e.............. 11,2 89 .8 5
G old ............................................................
4 55.00
C ashier’ s ch eck s......................................
779.87
S ilver .........................................................
607.09
Total deposits.................$50,816.53
Total cash and E x.......$11,874.93
Other lia b ilitie s......................................
122 .06
Other resou rces........................................
120.99
T otal .....................................................$ 67 ,64 5 .5 3
{T h is amount not added in totals.




Total

$67 ,64 5 .5 3

90

R eport

of

B a n k C omm issioner

HAMBURG
Ashley County

FARM ERS BANK & TRUST C O M P A N Y
Charter N o. 331.

Date of Charter, July 24, 1911.

Officers— G.

P. George, President, Frank N . Pugh, V ice President; A . H. W ilson, V ice President;
C. J. Brown, Cashier; Leslie Serrett, Assistant Cashier.
Directors— L. T . Murphy, E. W . Kimber, B. R. Smith, C. J. Brown, G. P. George, A . H . W ilson,
Frank N . Pugh.
S T A T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
L IA B IL IT IE S
L oans and d iscou n ts................ j........ $ 11 8 ,3 4 7 .7 6
Capital s to c k ...........................................$ 50,000.00
L oans on real estate.......................... 100 ,00 0 .0 0
C ertified surplus....................................
10,000.00
U . S. b o n d s .............................................
57,7 00 .0 0
11,3 96 .2 1
U n d ivid ed p rofits.................................
O ther bon d s and secu rities...........
2 9,3 54 .2 5
B ills p a ya b le......................................... 35,0 00 .0 0
F urnitu re and fixtures.....................
6,5 0 0.00
In d ivid u a l d ep osits............................... 1 44,636.21
B an kin g hou se......................................
11,5 00 .0 0
P u b lic fu n d s...... ................ ......... .........
35,9 87 .0 0
Item s in tra n sit....................................
786.33
73,840.89
C ertificates o f deposit, tim e..............
D ue from reserve ban ks................... 4 2,8 70 .8 1
C ashier’ s ch eck s............................
5,9 8 6.44
Checks on other ban ks................
20.15
Total deposits...............$260,450.54
6,298.00
C urrency ..................................................
O ther lia b ilitie s...............—................
8,500.00
S ilv er .....................................................1 ,969.45

Total cash and E x.......$51,944.74
$ 3 7 5 ,3 4 6 .7 5

T otal

Total

$ 37 5 ,3 4 6 .7 5

HAMBURG
Ashley County

HAM BURG BANK
Charter N o. 85.

Date of Charter, February 10, 1902.

Officers— W .

L. Blank, President; R / O . Jackson, V ice President; R. W . Baird, Cashier; Robt. H.
Baird, Assistant Cashier.
Directors— J. P. Blank, W . L. Blank, M . E. Sawyer, Jno. Currie, Jr., J. W . Simpson, B. O . Jackson.
S T A T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
L IA B I L I T I E S
Capital s to ck ...........................................$
L oans and d iscou n ts.......................... $ 1 4 4 ,1 7 6 .4 6
C ertified surplus....................................
L oans on real estate.......................... 3 4,6 00 .0 0
8,0 0 0.00
U nd ivid ed p rofits.................................
L oans on cotton ....................................
O verd ra fts .............................................
11.08
In d ivid u a l d ep osits............................
U. S. b o n d s .............................................
15,5 00 .0 0
P u b lic fu n d s.....................................
C ertificates o f deposit, tim e....:.......
O ther bon d s and secu rities..............
10,911.00
C ash ier’ s ch eck s....................................
F urnitu re and fixtures.......................
500.00
Other real estate.................................
Total deposits...............$172,491.15
700.00
Due from reserve ban ks................... 32,1 60 .9 9
Checks on other banks....................—
116.47
C urren cy ................................................
7,485.00
G old ....................................-....................
'
312.50
731.42
S ilver .........................

50,000.00
20,0 00 .0 0
12,713.77
9 6,7 02 .5 5
38,373.43
35,4 80 .2 7
1,934.90

Total cash and E x.......$40,806.38
$ 25 5 ,2 0 4 .9 2

T otal

Total

$ 2 5 5 ,2 0 4 .9 2

HAMPTON
Calhoun County

BANK OF H AM PTON
Charter N o. 146.

Date of Charter, N ovember 7, 1903.

Officers— B.

E. Halpin, President; D. F. W ilson, V ice President; J. M . Thompson, A ctive V ice
President; H. B. Easterling, Cashier.
Directors— B. E. Halpin, D. F. W ilson. J. M . Thompson, W . L . Furlow, C. L. Poole.
S T A T E M E N T OF DECEM BER 31, 1921
RESOURCES
L IA B IL IT IE S
C apital sto ck ....!.....................................!
L oans and d iscou n ts............................ $ 9 7,9 23 .5 0
Loans on real estate............................
4 5,6 34 .0 7
C ertified surplus....................................
L oans on co tto n ...................................
725.00
U n d ivid ed p rofits.................................
B ills p a y a b le........................................
Other bon d s and secu rities..............
6 ,1 3 8.27
N otes red iscou n ted ...............................
F urnitu re and fixtures........................
1,800.00
B an kin g h ou se......................................
2 ,9 4 0.00
In d ivid u a l d ep osits...............................
O ther real estate.................................
1,160.60
P u b lic fu n d s...........................................
C ertificates o f deposit, tim e...........
B ills o f exchange.................................
3 ,8 3 8.10
D ue from reserve ban ks................
11,3 79 .3 3
C ashier’ s ch e ck s....................................
Total deposits...............$132,754.26
C urren cy ................................................
7,485.00
G old .........................
592.50
S ilv er .......................................................
523.89

1 5 .0 0 0 .
00
4 .5 0 0.00
4.5 0 0.00
1 5 .0 0 0 .
00
8.386.00
8 0,8 10 .8 6
2 9 ,0 19 .6 1
19,475.27
3,448.52

Total cash and E x.......$23,818.82
T otal




.$18 0,14 0 .2 6

T otal

.$1 8 0,14 0 .2 6

S tate

of

91

A rkansas

HARDY
Sharp County

FARM ERS BANK OF H AR D Y
Charter N o. 135.

Date of Charter, July 17, 1903.

Officers— A .

M . Metcalf, President; Arthur Sullivan, V ice President; S. A . Turner,
Fred G. McLean, Assistant Cashier.
Directors— A . M . Metcalf, J. R. Metcalf, Arthur Sullivan, W . S. Stokes, S. A . Turner.

Cashier;

STA T E M E N T OF DECEM BER 31, 1921
R E SO U R C E S
L IA B I L I T I E S
Capital stock ............................................. $ 7,500.00
Loans and d iscou n ts............................ $52 ,62 1 .9 9
Certified
surplus....................................
3 ,250.00
Loans on real estate............................
2 ,861.92
U ndivided p rofits..............................
2,549.93
O verdrafts .....................
58.39
P u b lic fu n ds............................................. 6 9,1 31 .1 4
U. S. b on d s................................................ 7,276.00
Total deposits................. $69,131.14
Other bonds and secu rities................
61.04
Other lia b ilitie s........................................
156.25
2 .041.27
Furniture and fixtures.......................
B an king hou se........................................
2,216.33
Cash item s................................................
250.13
Due from reserve ban ks.....................
6,456.43
5,844.00
C urrency ..................................................
G old ............................................................
1,622.50
S ilver .........................................................
1,277.32

Total cash and E x.......$15,450.38
$ 82,587.32

Total

T otal

$ 82,587.32

HARRELL
Calhoun County

CALH O U N CO U N TY BANK
Charter N o. 220.

Date of Charter, October 26, 1906.

Officers— E. T . Collins, President; B. W . Harrell, V ice President; B.
Directors-— E. T. Collins, B. W . Harrell, B. H. W ood. A . J. Talbot,

H. W ood, Cashier.
G . W . W ood, J. M . Jones,

C. A . Bennett.
STA T E M E N T O F DECEM BER 31, 1921
R ESO U R C E S
L IA B IL IT IE S
Capital s to ck ...................................
$15,00 0 .0 0
Loans and d iscou n ts............................ $32,57 1 .4 7
Loans on real estate......................
9,621.19
Certified surplus......................................
6,000.00
U. S. bon d s............................................. 19,925.00
U ndivided p rofits................................... 2 ,111.66
Other bonds and secu rities................
Ind ivid u al d ep osits................................. 45,125.53
11.75
1,000.00
18,000.00
Furniture and fixtures.......................
P u b lic fu n d s........... ............................
B anking house........................................
2,000.00
Certificates o f deposit, tim e.............. 8,737.35
Due from non-reserve b an k s.............. 16,671.27
C ashier’ s ch eck s.................
5.73
Due from reserve ban ks..................... 11,434.40
Total deposits................. $71,868.61
C urrency ....................................................
1,669.00
R eserved fo r in terest............................
291.66
Other lia b ilities........................................
37.72
G old ........................................................
152.50

Silver ........................................

253.07

Total cash and E x.......$30,180.24
T otal

$95,30 9 .6 5

Total

$ 95,309.65

HARRISBURG
Poinsett County

H A R R IS B U R G
Charter N o. 49.

STATE BANK

Date of Charter, January 10, 1899.

Officers— J.

G . Gant, President; G. T . Garvey, V ice President; Thomas Flournoy, Cashier; S. A .
Latimer, Assistant Cashier.
Directors—J. W. Gant, G . I. D ill, G . T . Garvey, J. G . Gant, Thomas Flournoy.

S T A T E M E N T O F DECEM BER 31, 1921
R ESO U R C E S
L IA B IL IT IE S
Loans and discou n ts.......................... $364 ,0 2 1 .8 0
Capital s to c k ...........................................$ 25,0 00 .0 0
22,2 30 .6 5
Loans on real estate............................
Certified surplus.................................... 50,000.00
Loans on cotton ...................................
114.44
U ndivided p rofits.................................
7,715.51
O verdrafts .............................................
1,241.23
-B ills pa ya b le........................................... 111,000.00
Other bonds and secu rities..............
9,747.85
N otes red iscou n ted ...............................
15,000.00
Furniture and fixtures........................ 10,448.34
In d ivid u a l d ep osits............................... 164,856.00
B an king house........................................
7,000.00
Due to n on -reserve ban k s................
885.69
Cash item s................................... v .........
136.01
Certificates o f deposit, tim e...........
95,924.85
D ue from reserve ban ks...... .*..........
4 8,6 38 .3 6
C ashier’ s ch eck s....................................
5,583.02
Checks on other ban ks........................
396.01
Total deposits...............$267,249.56
C urrency ................................................
7,035.00
G old .................................................'.......
880.00
S ilver .......................................................
808.38

Total cash and Ex.......$57,893.76
Other resou rces......................................
Total




3,267.00
$475 ,9 6 5 .0 7

T otal

$ 4 7 5 ,9 6 5 .0 /

92

R eport

of

B a n k C om m issioner

HARRISBURG
Poinsett County
M ERCHANTS & PLANTERS BANK & TR U ST CO M P AN Y
Charter N o. 195.

Date of Charter, November 25, 1905.

Officers— J.

E. Vanbeber, President; S. A . Bettis, V ice President; M . M . Frayser, Cashier; J. Roy
Bolin, Assistant Cashier.

Directors— J.

E. Vanbeber, S. A . Bettis, N . T . Whitaker, W'. A . Smith, J. B. Stone, J. A . Bradsher, M . H . Erayser.
S T A T E M E N T OF DECEM BER 31, 1921

R E SO U R C E S
L oans and d iscou n ts.......................... $ 2 3 0 ,6 7 6 .0 6
L oans on real estate..........................
3 7 ,6 50 .9 5
O verd ra fts .............................................
1,563.09
O ther bon d s and secu rities.............. 4 1,2 63 .7 2
F urnitu re and fixtures.......................
2 ,3 8 8.55
B an k in g h ou se......................................
8 ,000.00
Other real estate.................................
4 ,9 7 8.02
Cash item s.............................................
142.50
D ue from .reserv e banks................... 4 1,4 34 .2 0
Checks on other ban ks........................
435 .71
C urren cy ................................................
2 ,8 9 7.00
G old ..........................................................
97.50
S ilv er ............................................ -.........
1,149.89

L IA B IL IT IE S
Capital s to ck .......................................... $ 5 0,0 00 .0 0
C ertified surplus....................................
20 , 9 00.00
U nd ivid ed p rofits.................................
9 ,5 1 7.28
B ills p a ya b le........................................... 1 35 ,00 0 .0 0
S avings a ccou n ts....................................
36.0 0
In d ivid u a l d ep osits...............................
93,2 88 .6 3
P u b lic fu n d s ...........................................
1 6,0 58 .1 9
C ertificates o f deposit, tim e................
4 3 ,2 1 0 .1 4
5 ,5 6 6.95
C ash ier’ s ch eck s....:........ -....................

Total deposits...............$158,159.91

Total cash and E x.......$46,156.80
T o t a l ...... ..............................................$ 3 7 2 ,6 7 7 .1 9

T otal .....................................................$ 3 7 2 ,6 7 7 .1 9

HARRISON
Boone County

C I T IZ E N S B A N K
Charter N o. 143.

Date of Charter, October 1, 1903.

Officers— T .

E. Milburn, President; Roy W . Milum, V ice President; J. E. Andrews, V ice Presi­
dent; W . S. Pettit, Cashier; C. C. Alexander, Assistant Cashier.

Directors— J.

E . Andrews, F. W . Grenne, R . W . Milum, W . S. Pettit, C. L . Glines, Louis Keck.
T . E. Milburn.
S T A T E M E N T O F DE C EM BE R 31, 1921

R E SO U R C E S
L oans and d iscou n ts.......................... $ 3 7 5 ,6 5 5 .2 0
L oans on real estate........, ................
3 1 ,6 3 2 .1 5
O verd ra fts .............................................
349 .44
U. S. b o n d s .............................................
2 6,7 96 .3 3
O ther bon d s and secu rities..............
6 ,8 1 9.41
F urnitu re and fixtures.....................
5 ,412.82
B an kin g house'......................................
13,2 00 .0 0
Item s in tra n sit....................................
640.55
Cash item s................................................
80.75
D u e from reserve ban ks................... 118,12 9 .1 0
C hecks on other b an ks.............................2 ,1 1 6.00
C urren cy ................................................
3 1,2 80 .0 0
G old ..........................................................
3 ,8 6 5.00
S ilv er ...........................................
3 ,1 4 8.28

L IA B IL IT IE S
C apital s to ck ........................................... $ 5 0 ,0 0 0 .0 0
C ertified surplus.....................
10,0 00 .0 0
U n d ivid ed p rofits.................................
1 5,7 59 .6 7
Savings a ccou n ts.................................
6 6 ,6 2 7 .4 0
In d ivid u a l d ep osits............................... 2 8 8 ,15 2 .1 3
P u b lic fu n d s...........................................
7 ,579.02
D ue to non -reserve b an ks................
6 ,2 6 9 .1 0
D ue to geserve b an ks........................ 74,737.63
C ertificates o f deposit, tim e..............
9 6 ,8 5 8 .3 4
C ashier’ s ch eck s....................................
3 ,1 4 1 .7 4

Total deposits...............$543,365.36

Total cash and E x.....$159,259.68
T otal

............................ ..................... $ 6 1 9 ,1 2 5 .0 3




T ota l

.................................................. $ 6 1 9 ,1 2 5 .0 3

S tate

of

93

A rkansas

HARRISON
Boone County

FARM ERS BANK
Charter No. 343.

Date of Charter, June 2, 1911.

Officers— W . J. Meyers, President; L. F. Eoff, V ice President; May Zeigler, Assistant Cashier.
Directors— W . J. Meyers, L. F. Eoff, R . A . Wilson, Noah Deering, F . M . Angel, S. W . Dozier,
George Hammerschmidt.

S T A T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
L oans and d iscou n ts............................ $ 14 1 ,0 0 2 .9 6
L oans on real estate............................
17,922.88
257 .94
O verdrafts .................................. .,........
U . S. b on d s.............................................
100.00
O ther bonds and secu rities..............
1,228.52
F urnitu re and fixtures........................
3,000.00
B an king house......................................
9,500.00
O ther real estate.................................
11,455.71
D ue from reserve banks................... 14,7 19 .2 5
C hecks on other ban ks.....................
3 ,273.22
C urrency ..................................................
1,498.00
Gold, .........................................................
1,095.00
1,264.82
S ilv er ............ * .......................................

L IA B IL IT IE S
C apital s to c k ...........................................I
Certified surplus....................................
B ills p a ya b le ...........................................
Savings a ccou n ts.................................
D ividen ds u n p aid.................................
Ind ivid u al d ep osits............................
P u b lic fu n ds...........................................
Due to non -reserve b an ks................
Certificates o f deposit, tim e...........
C ash ier’ s ch eck s.................................

30,0 00 .0 0
3,000.00
4 1.5 00 .0 0
21,1172.84
40.00
71,693.85
23,767.52
750.00
15.332.00
28.12

Total deposits...............$132,724.33

Total cash and E x.......$21,850.29
O ther resou rces......................................
T otal

906.03

.$207,224.33

T otal

.$207,224.33

HARTFORD
Sebastian County

C I T IZ E N S S T A T E B A N K
Charter N o. 513.

Date of Charter, August 4, 1920.

Officers— G.

C. Packard, President; R. B. David, V ice President; W . J. Hamilton, V ice President;
J. A . Burns, Cashier; Walter Harbottle, Assistant Cashier.

Directors— G7.

C. Packard, R. B. David, W . J. Hamilton, W . L . Seaman, B. C. Milhoan, G. K.
Dixon, T . L. Johnson, P. M . Baker, J. W . Fitzjarrell, Walter Davidson, J. A . Burns.
S T A T E M E N T OF DECEM BER 31, 1921

R E SO U R C E S
L oans and d iscou n ts..........................
L oans on real estate..........................
O verdrafts .............................................
O ther bonds and secu rities..............
F urnitu re and fixtures.......................
B an k in g hou se......................................
Cash item s................................................
Due from reserve banks...................
C hecks on other banks.......................
C urren cy ................................................
G old .........................................................
S ilver .......................................................

49,8 93 .1 8
27,2 61 .7 8
271.80
378.25
3.5 0 0.00
5,056.80
14.35
17,5 95 .9 4
2,283.03
5.143.00
157.50
3 62.64

L IA B IL IT IE S
Capital s to ck ..............................................$25 ,00 0 .0 0
3 ,824.45
U nd ivid ed p rofits.................................
$Bills p ayable “ D eposits on w hich
m ore than 4 p er cent interest
'
is p a id ’ ’’ .............................................
5,799.89
Savings a ccou n ts....................................
328.77
Ind ivid u al d ep osits................ ..............
73,91-5.78
P u b lic fu n d s...........................................
8,174.26
C ertificates o f deposit, tim e..............
653.00
C ashier’ s ch eck s................ - .................
97.01

Total deposits................. $83,168.82

Total cash and E x.......$25,556.46
O ther resou rces......................................
Total

75.00
$ 11 1 ,9 9 3 .2 7

JThis amount not added in totals.




Total

$ 11 1 ,9 9 3 .2 7

94

R eport

of

B a n k C om m issioner

HARTMAN
Johnson County

BANK OF H A R T M A N
Charter No. 164.

Date of Charter, August 9, 1904.

Officers— M .

M . Thompson, President; A . N . Ragon, V ice President; M . E. Thompson, Cashier;
Hubert J. Oferste, Assistant Cashier.

Directors^-M.

M. Thompson, A . N. Ragon, M . E. Thompson.
S T A T E M E N T O F DECEM BER 31. 1921

R ESO U R C E S
L oans and d iscou n ts........................
$ 22 ,06 2 .1 3
L oans on rea l estate............................. 10,718.51
L oans on co tto n ......................................
5 ,150.00
O verd ra fts ................................................
2.80
O ther bon d s and secu rities...... ......... 11,0 49 .9 1
1,750.00
F urnitu re and fixtures................ ' ........
B an kin g hou se......................................... 1,900.00
D ue from reserve ban ks..................... 10,875.31
C urren cy ..................................................... 1,391.00
S ilver ..........................................................
453.39

T otal-cash and E x.......$12,719.70

L IA B IL IT IE S
Capital s to ck .............................................$ 10 ,00 0 .0 0
1,000.00
C ertified surplus......................................
U nd ivid ed p rofits.................................... -1 ,3 9 1 .7 9
B ills p a ya b le.............................................
5,000.00
JBills payable “ D eposits on w h ich
m ore than 4 per cent interest
is p a id ’ ’ .............................................. 1,375.00
In d ivid u a l d e p o sits................................ 33,925.00
149.98
P u b lic fu n d s .............................................
C ertificates of deposit, tim e.............. 13,2 04 .6 5
C ash ier’ s ch eck s......................................
681.63

Total deposits................. $47,961.26
T otal

.................................................... $ 6 5 ,35 3 .0 5

T otal

.....................................................$65 ,35 3 .0 5

JThis am ount not added in totals.

HATFIELD
Polk County

B A N K O F H A T F IE L D
Charter N o. 301.

Date of Charter, February 8, 1910.

Officers— M .

J. Dover, President; E. H. Butler, V ice President; J. O. Gates, V ice President;
Carle Robbins, Cashier; R . B. Holder, Assistant Cashier.

Directors— M .

J. Dover, A lex. Carper, E. H. Butler, J. O. Gates, S. W . Duke.
S T A T E M E N T OF DECEM BER 31, J921

R E SO U R C E S
L oans and d iscou n ts.............................$ 10 4 ,0 9 2 .8 9
L oans on real estate..........................
3 1,7 36 .2 1
O verd ra fts .............................................
282.33
U . S. b on d s .......................
600.00
Other bonds and secu rities..............
273.20
F urnitu re and fixtures........................
2 ,2 8 5.00
B an kin g hou se......................................
1 ,000.00
O ther real estate......................
1,350.00
Cash item s.............................................
1,560.45
Due from reserve ban ks.....................
9 ,654.13
C urren cy ..................................................
522.00
G old ...........................................
620.00
S ilver .......................................................
294.84

L IA B I L I T I E S
Capital s to ck ...............:.......................... $
B ills p a y a b le......................
Notes red iscou n ted ...............................
In d ivid u a l d ep osits..... .........................
C ertificates o f deposit, tim e..............
C ashier’ s ch eck s.......................

10,000.00
35,6 37 .8 3
20,5 39 .5 0
8 1,2 92 .6 2
7,968.92
1,510.27

Total deposits.................$90,771.81

Total cash and E x.......$12,651.42
O ther

resou rces............ ......................

Total




2,6 7 8.09
.$ 1 5 6,94 9 .1 4

Total

$ 1 5 6 ,9 4 9 .1 4

S tate

of

95

A rkansas

HAVANA
Y e ll County

B A N K O F H A V A N A (P R I V A T E B A N K )
Charter N o. 429.

Officers—J.

Date of Charter, 1905.

E. Mitchell, President; J. E. Mitchell, Jr., Cashier; R. D. Mitchell, Jr., Assistant

Cashier.
S T A T E M E N T OF DECEM BER 31, 1921
R ESO U R C E S
Loans and d iscou n ts.........................$ 61,293.53
L oans on real estate..........................
28,506.59
Loans on cotton .................................... 18,657.72
O verdrafts .................. „ ........................
230.79
U. S. b on d s .............................................
1,800.00
Other bonds and secu rities................
940.29
F urnitu re and fixtures.......................
1,440.00
B an king hou se............. .........................
2 ,840.00
Due from reserve ban ks..................
9 ,101.85
C urrency ................................................
2,240.00
G old ................,.......................................
200.00
S ilver .......................................................
1,251.58

L IA B IL IT IE S
Capital s to ck ...........................................$
Certified surplus...................................
U nd ivid ed p rofits.................................
B ills p a ya b le............ ............................
In dividu al dep osits...............................
P u blic funds - ........
Due to non -reserve b an k s..................
C ertificates o f deposit, tim e...............
C ashier’ s ch eck s....................................

5,000.00
25,000.00
4 ,731.72
35,000.00
39,186.04
2 ,625.42
495.00
16,117.t>5
346.62

Total deposits................. $58,770.63

Total cash and E x.......$12,793.43
.$ 1 28,502.35

T otal

Total

.$128,502.35

HAYNES
Lee County

BANK OF HAYNES
Charter N o. 197.

Date of Charter, November 29, 1905.

Officers—Jno. J. Hughes, President; R. D.
Directors— John J. Hughes, R. D. Hughes, L.

Hughes, V ice President; L. L. Roberts, Cashier.
L. Roberts.

S T A T E M E N T OF DECEM BER 31, 1921
R E SO U R C E S
Loans and d iscounts..........................$
Loans on real estate..........................
O verdrafts .............................................
Other bonds and secu rities..............
F urnitu re and fixtures..... ..................
Due from non-reserve b an ks..........
Due from reserve ban ks...................
C urrency ..................................................
G old .........................................................
S ilver .......................................................

Total cash and E x.......$16,148.89

6 5,6 64 .9 4
13,3 90 .1 4
3,782.98
25,0 00 .0 0
1.00
69.12
13,153.79
2,2 2 7.00
35.00
663.98

Total deposits.................$60,278.44

R eserved fo r in terest..........................
$123 ,9 8 7 .9 5

Total

L IA B IL IT IE S
Capital s to ck ...................................... ....!
Certified su rplus...................................
U ndivided p rofits.................................
B ills p a ya b le...........................................
Savings a ccou n ts.................................
In d ivid u a l d ep osits...............................
P u b lic fu n d s...... .'..................................
Certificates o f deposit, tim e...........
C ashier’ s ch eck s...................................

Total

2 5 .0 0 0 .
00
1 3.0 00 .
00
65.35
2 5 .0 0 0 .
00
1,377.92
22,279.92
23,2 62 .8 7
13,357.23
.50
644.16
$123 ,9 8 7 .9 5

HAZEN
Prairie County

B A N K O F G R A N D P R A IR IE
Charter N o. 41.

Date of Charter, A pril 7, 1896.

Officers— Ed

C. W . Wilkn, President; John Kocourek, V ice President; Hugh B. Wheatley, Cashier;
V.
A . Rogers, Assistant Cashier.
Directors— Ed C. W . Wilken, John Kocourek, Frank Kocourek, A . J. Barrett, E. J. Stocks.
STA T E M E N T OF DECEM BER 31, 1921

R ESO U R C E S
Loans and d iscou n ts..........................$
Loans on real estate............................
O verdrafts .............................................
U. S. b on d s.............................................
Other bonds and secu rities..............
Furniture and fixtures........................
B an king hou se.....................................
Cash item s................................................
Due from reserve banks...................
Checks on other ban ks.......................
C urrency ................................................
G old .........................................................
S ilver ............................

74,336.38
80,858.05
1,162.52
10,900.00
10,907.47
2,460.51
7,735.00
2,948.39
65,434.30
63.90
4 ,764.00
372.50
702.14

L IA B I L I T I E S
Capital s to ck ...........................................! ; 25,0 00 .0 0
7 .0 0 0. 00
Certified surplus...................................
In d ivid u a l d ep osits............................... 133 ,36 2 .§1
9,987.57
P u b lic fu n d s...........................................
Certificates of deposit, tim e......... 82,646.08
2 ,598.50
C ash ier’ s ch eck s............................. —

Total deposits ........... .$228,594.76
R eserved fo r in terest..........................
R eserved fo r tax es...............................

1,050.40
1.000.

Total cash and Ex.......$74,285.23
Total




$ 26 2 ,6 4 5 .1 6

Total

$262 ,6 4 5 .1 6

00

96

R eport

of

B a n k C om m issioner

HAZEN
Prairie County

N EW BANK OF H A ZE N
Charter N o. 455.

Date of Charter, July 22, 1916.

Officers— J. F. Sims, President; I. T . Sims, V ice President; J.
Directors— J. F. Sims, I. T . Sims, J. M . Zike, W . A . Johnson,

M . Zike, Cashier.
W.

D.

White.

S T A T E M E N T O F D ECEM BER 31, 1921
R E SO U R C E S
L oa n s and d iscou n ts............................ $ 2 3 3 ,2 9 0 .5 7
L oa n s on real estate..........................
9 ,3 9 3.02
1,742.12
O v erd ra fts .............................................
U . S. b on d s .............................................
2 2,5 50 .0 0
O ther bonds and secu rities..............
2 ,9 7 1.95
F u rn itu re and fixtures.......................
1 ,176.06
B an k in g h ou se......................................
5 ,000.00
Item s in tra n sit....................................
4 ,1 8 7.18
D ue from reserve banks...................
11,7 99 .4 5
Checks on other banks.....................
884.76
C u rren cy ................................................
3 ,8 8 5.00
G o ld ..........................................
185.00
413 .65
S ilv er .......................................................

L IA B IL IT IE S
Capital stock ........................................... ! : 2 5,0 00 .0 0
13,5 00 .0 0
Certified surplus....................................
1,2 1 3.74
U nd ivid ed p rofits.................................
B ills p a ya b le ........................................... 121,67 9 .0 0
JB ills payable “ D ep osits on w h ich
m ore than 4 p er cent interest
3 1.5 75 .8 6
is p a id ’ ’ ...................................... :......
8 8,6 56 .6 6
In d ivid u a l d ep osits............................ :.
3 1.5 75 .8 6
P u b lic fu n d s...........................................
13,372.80
C ertificates o f deposit, tim e..............
2,8 8 0.70
C ashier’ s ch eck s.................................

Total deposits..............$136,486.02

Total cash and E x.......$21,355.04
O ther

res ou rces ....................................

400 .00

.$29 7,87 8 .7 6

T otal

T otal

.$29 7,87 8 .7 6

JThis am ount not added in totals.

HEBER SPRINGS
Cleburne County

CLEBURNE CO U N TY BANK
Charter N o; 116.

Date of Charter. February 20, 1903.

Officers— A .

B. Banks, President; R . II. Dickenhorst, V ice President^ Lewis Stecker, V ice Presi­
dent; D . B. Bailey, Cashier; J. L. Mullens, Assistant Cashier.
'

Directors— A .

B. Banks, R j H. Dickenhorst, Lewis Stecker, S. B. Rector, O . C. Dickson, J. D.

Holmes.
S T A T E M E N T O F D ECEM BER 31, 1921
RESOURCES
L oa n s and d iscou n ts.......................... $ 1 6 3 ,9 9 1 .7 5
L oans on real estate..........................
32,4 00 .0 0
L oans on co tto n ........................................... 1,600.00
O v erd ra fts .............................................
372.48
O ther bon d s and securities..............
8,229.33
F urnitu re an d fixtures........................
3,5 0 0.00
B an k in g h ou se......................................
19,0 00 .0 0
O ther real estate....................................
6,300.00
Cash item s............................. ,.................
170.10
D ue from reserve ban ks................... 2 8 ,8 90 .0 7
C hecks on other ban ks.......................
36.21
C u rren cy ................................................
3 ,890.00
G old ..........................................................
4 42.50
S ilv er .......................................................
401.73

L IA B IL IT IE S
C apital s to c k ........................................... i 3 0 .0 0 0 .
00
C ertified surplus....................................
20.00 0 .
00
U n d ivid ed p rofits.................................
4 ,1 9 5.78
B ills p a ya b le...........................................
10,000.00
$B ills p ayable “ D eposits on w h ich
m ore than 4 p er cent interest
is p a id ’ ’ .............................................. 2 2.4 64 .7 5
In d ivid u a l d ep osits............................... 119 ,70 3 .1 3
P u b lic fu n d s...........................................
2 4.9 64 .7 5
C ertificates o f deposit, dem and....
59,0 21 .7 9
C ash ier’ s ch eck s....................................
1,338.72

Total deposits .............$205,028.39

Total cash and E x.......$33,830.61
T otal

.$ 2 69,224.17

JThis am ount not added in totals.




T otal

.$2697224.17

S tate

of

97

A rkansas

HELENA
Phillips County

GUARANTY LOAN & TRUST COMPANY
Charter N o. 302.

Date ol Charter, February 9, 1910.

Officers— Edward

S. Ready, President; A . N . Tanner, V ice President; Henry P. Anderson, Secre­
tary; E. R . Crum, Treasurer.

Directors— Edward

S. Ready, Jno. I. M oore, Henry P. Anderson, R. T . Doughtie, A . N . Tanner,
D. T . Hargraves, E. R. Crum.
S T A T E M E N T O F DECEM BER 31, 1921

R E SO U R C E S
Loans and d iscou n ts.................
L oans on real estate.................
O verdrafts .....................................
F urnitu re and fixtures...............
Due from n on -reserve b an k s...
Due from reserve ban ks..........
Checks on other ban k s............
C urrency .........................................

35,487.43
71,966.13
631.42
1.500.00
5,742.16
34,467.55
137.86
2.536.00
146.19

Total cash and Ex.......$43,029.76
Other

5 0.0 00 .
00
10 . 0 00 . 00
i 5 , 871.45
25,0 00 .0 0
3,000.00
4 6,8 71 .1 8

Other

'4 ,3 7 2 .1 1

Total deposits ...............$46,871.18

lia b ilities...................... -............

2 .500.00

resou rces...................................

.$ 1 55,114.74

T otal

L IA B IL IT IH S
Capital s to ck ........................................... !
Certified surplus...................................
U n divided p rofits.................................
B ills pa ya b le...........................................
Notes red iscou n ted........... ...................
T rust fu n d s...........- ...............................

$ 15 5 ,1 1 4 .7 4

Total

HELENA
Phillips County

PEOPLES SAVINGS BANK & TRUST COMPANY
Charter N o. 9.

Date of Charter, March 16, 1889.

Officers— Jno.

I. Moore, President; S. A . Wooten, Vic<" President;
Gilbert Yaeger, Cashier; B. A . Dunlap, Assistant Cashier.

M . Neely, V ice President;

Directors— E.

M . Allen, A . N . Tanner, C. M . Kirkman, J. B. Thomas, W . C. Russwurm, G . L.
Davidson, J. F. Epes, M . Neely, John I. M oore, S. A . Wooten.
STA T E M E N T OF DECEM BER 31, 1921

R ESO U R C E S
Loans and d iscou n ts.......................... $ 493,195.18
Loans on real estate..........................
66,621.36
Loans on cotton .................................... 58,080.10
U. S. b on d s.............................................
33,850.00
4 ,631.80
Other bonds and secu rities...........
Furniture and fixtures.......................
1.00
Other real estate.................................
13,552.90
Item s in tra n sit...................................
31.67
Due from n on -reserve hanks.........
361.88
Cash item s...............................................
1,028.95
Due from reserve *banks................... 103,946.50
Checks on other ban ks.....................
10,540.78
Currency ..................................................
7,647.00
G old .........................................................
112.50
S ilver .......................................................
3,357.70

Total cash and Ex.....$127,026.98
Other

resou rces...................................

1,301.35

L IA B I L I T I E S
Capital s to ck ...........................................$ 75,000.00
Certified surplus.................................... 15,000.00
U ndivided p rofits.................................
11,967.48
B ills p a ya b le................................. t.......
50,000.00
JBills payable “ D eposits on w hich
•more than 4 per cent interest
is p a id ’ ’ .............................................
75,000.00
Savings a ccou n ts.................................... 112,285.04
D ividen ds u n p aid .................................
460.00
In d ivid u a l d ep osits............................... 354,96 0 .8 7
P u b lic fu n d s ...........................................
36,616.09
Due to n on -reserve b an ks..........—
3 ,562.16
C ertificates o f deposit, tim e....... .
13,035.00
Certificates o f deposit, fo r m oney
b orrow ed ............................................. 125,000.00
Certified ch eck s......................................
259.03
C ashier’ s ch eck s....................................
100.00

Total deposits............ $646,278.19
Other liab ilitie s.....................................
Total .................................................... $798 ,2 6 0 .6 7
$This amount not added in totals.




15.00

Total ...............................-.................... $ 798,260.67

98

R eport

of

B a n k C omm issioner

HELENA
Phillips County

SECURITY BANK & TRUST COMPANY
Charter N o. 305.

Date of Charter, A pril 8, 1910.

Officehs— S.

C. Moore, President; Jos. L. Solomon, First V ice President; David Solomon, Second
V ice President; Louis Solomon, Cashier; J. M . Haynie, Assistant Cashier.

Directors— Jos.

L. Solomon, J. W . Cl op ton, J. N . Ware, S. Straub, Emanuel Levy, Philip Solomon,
S. C . M oore, C, G . King, H. D. M oore, Lafie Solomon.
S T A T E M E N T OF DECEM BER 31, 1921

. R E SO U R C E S
L oans and discou n ts........................$ 1,2 88 ,5 8 2 .8 3
L oans oil real estate....................—
2 50 ,00 0 .0 0
O verd rafts ........................................
2 4,0 67 .0 6
102,50 0 .0 0
U. S. b on d s ........................................
O ther bonds and secu rities.........
9 2,1 14 .9 5
F urnitu re and fixtures.....................
1.00
Item s in tra n sit...............................
2 ,374.85
D ue from non -reserve b an ks.........
105,38 3 .4 0
Cash item s..........................................
6,8 6 0.60
D ue from reserve ban ks...............
72,192.24
Checks on other ban ks...................
7,995.96
C urren cy .............................................
13,197.00
170.00
G old ............................. 1...................
S ilv er ..................................................
9 ,226.99

Total cash and Ex.. $217,401.04
O ther resou rces.................................

L IA B I L I T I E S
Capital s to ck ...................................... $
Certified surplus.................................
U nd ivid ed p rofits...............................
B ills p a ya b le......................................
Notes red iscou n ted ..........................
S avings a ccou n ts...............................
In d ivid u a l d ep osits..........................
P u b lic fu n d s......................................
D ue to non -reserve b an k s....... .....
C ertificates o f deposit, dem and..
C ertificates of deposit, tim e.........
C ash ier’ s ch eck s...............................

2 5 0 .0 0 0 . 00
50,000.00
2 7,1 43 .3 4
9 7 ,2 30 .8 4
3 03,330.48
179.76 5 .6 1
5 21.158.62
2 83 ,79 0 .0 0
13,122.08

100. 000 .

00

61,2 00 .5 3
75,275.36

Total deposits.......... $1,234,312.22
Other lia b ilitie s.................................

21,6 50 .0 0

9 ,000.00

T otal .................................................. 1 ,9 8 3,66 6 .8 8

T otal ..................................................1,98 3,66 6 .8 8

HERMITAGE
Bradley County

BRADLEY COUNTY BANK
Charter N o. 221.

Date of Charter, May 9, 1906.

Officers— A .

E. Baker, President; W . B. Reasons, V ice
Kloice Thornton, Assistant Cashier.

Directors— Nick

President;

J. D .

Stephens,

Cashier;

Jarratt, H . M . L. Carnley, J. A . Turner, W . B. Reasons, M . A . Jackson, A . E.

Baker.
S T A T E M E N T QF DECEM BER 31, 1921
R E SO U R C E S
Loans and d iscou n ts..........................$ 46,9 29 .9 3
76,5 00 .0 0
L oans on rea l estate....................
Loans on cotton ....................................
6,225.00
O verd rafts .............................................
880.99
O ther bonds and secu rities..............
3,2 8 9.14
F urnitu re and fixtures........................
850.00
B an kin g hou se......................................
4,0 0 0.00
D ue from n on -reserve b an k s...........
1,500.00
Cash item s.............................................
261.45
D ue from reserve b an k s.....................
2 ,219.12
C urren cy ................. - ............................
8,091.00
G old .....................................................
395.00
S ilv er .......
1,493.58

L IA B IL IT IE S
Capital s to ck ........................................... $
Certified surplus...................................
U nd ivid ed p rofits.................................
B ills p ayable .........................*..............
Savings a ccou n ts.................................
In d ivid u a l d ep osits...............................
P u b lic fu n d s...........................................
C ertificates o f deposit, tim e...........
C ash ier’ s ch eck s...................................

20 , 000.00
9 ,000.00
4 ,4 4 3.44
20 , 000.00
8 ,189.75
6 5,4 02 .9 6
7,778.98
17,546.00
269.63

Total deposits.................$99,187.32

Other lia b ilitie s......................................

4 .45

Total cash and Ex.......$13,960.15
T otal




$ 15 2 ,6 3 5 .2 1

T otal

.$ 1 52,635.21

S tate

of

99

A rkansas

HICKORY RIDGE
Cross County

CITIZENS BANK
Charter N o. 468.

Date of Charter, August 2, 1917.

Officers— R. J. Kibler, President; E. L. Cooper, V ice President; N . N .
Directors— R . J. Kibler, J. E. Hargis, J. C. Greenwood, E. L. Cooper,

Townsend, Cashier.
F . W . Bede, J. A . Poole,

W . O. Poole.
S T A T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
L IA B I L I T I E S
Loans and d iscou n ts............................ $ 60 ,36 6 .6 0
Capital s to ck ..............................................$10,00 0 .0 0
Loans on real estate............................
9,063.78
2,500.00
Certified surplus......................................
O verdrafts ................................................
60.63
U ndivided p rofits.................................... 3,176.41
F urnitu re and fixtures..........................
600.00
B ills p a ya b le............................................. 31,900.00
B an king house........................................
1,000.00
Individual d ep osits................................. 30,3 65 .5 7
Due from reserve ban ks..................... 10,6 62 .9 4
Certificates o f deposit, tim e..............
5,442.50
C urrency ..................................................
1,379.00
C ashier’ s ch eck s......................................
8.25
S ilver .........................................................
259.78
Total deposits................. $35,816.32

Total cash and Ex.......$12,301.72
T otal

$83,39 2 .7 3

Total

$83 ,39 2 .7 3

HINDSVILLE
Madison County

VALLEY BANK
Charter N o. 250.

Date of Charter, March 18, 1907.

Officers— T .

R. Lane, President; M- A . Linebaiger, V ice President; S. G. Parsley, Cashier; A . H.
Berry, Assistant Cashier.
Directors— T . R. Lane, M . A . Linebarger, C. F. Fitch, J. N . Phillips, L . V . "Parker, S. G . Parsley.
S T A T E M E N T OP DECEM BER 31, 1921

R ESO U R C E S
Loans and discou n ts.......................... $65 ,28 1 .4 8
L oans on real estate.......................... 22,0 64 .0 0
U. S. b on d s.............................................
6.500.00
F urniture and fixtures..'.....................
1.300.00
B an king house......................................
2.500.00
Other real estate.................................
1,051.25
Due from reserve ban ks.....................
3,382.13
1,760.48
Checks on other ban ks.....................
514:00
C urrency ................................................
350.00
G old .........................................................
239.62
S ilv er .......................................................

L IA B IL IT IE S
Capital stock ...........................................$
Certified surp lus............ ;.....................
U ndivided p rofits.................................
B ills p a ya b le...........................................
Ind ivid u al d ep osits...............................
Certificates o f deposit, tim e..............

10,000.00
10,000.00
2,948.48
9 ,000.00
38,739.33
34,1 55 .1 5

Total deposits................. $72,894.48

Total cash and Ex.........$6,246.23

.$104,842.96

T otal

Total

.$104,842.96

HIWASSE
Benton County

BANK OF HIWASSE (NOT INCORPORATED)
Charter N o. 430.

Date of Charter, September 1, 1910.

Officers— J.

B. Edwards, President; James Banks, V ice President; Maud Adcock,
V . L. Banks, Assistant Cashier.
Directors— J. B. Edwards, James Banks, Maud Adcock, V . L . Banks, A lex Galycan.

Cashier;

S T A T E M E N T OF DECEM BER 31, 1921
R E SO U R C E S
Loans and d iscou n ts.......................... .$15,822.12
Loans on real estate.......................... . 25,6 55 .0 0
O verdrafts ..............................................
71.21
U. S. bon d s..............................................
3.300.00
F urnitu re and fixtures........................
1.785.00
B an king hou se.......................................
1.500.00
Due from n on -reserve b an ks..........
630.69
Due from reserve ban ks................... . 3,097.20
C urrency ................................................
1.242.00
G old ..........................................................
490.00
S ilv er ........................................................
328.02

L IA B IL IT IE S
Capital s to ck ..............................................$10,00 0 .0 0
1,000.00
Certified surplus......................................
U ndivided p rofits.................................... 1,430.24
B ills p ayable.............................................
9,000.00
In d ivid u a l d ep osits................................. 18,749.93
Certificates o f deposit, tim e.............. 13,741.07

Total deposits................. $32,491.00

Total cash and Ex......... $5,787.91
Total




.$53,921.24

Total

$53,92 1 .2 4

R eport

100

of

B a n k C om m issioner

HOLLY GROVE
Monroe County
BANK OF HOLLY GROVE
Charter N o. 118.

Date of Charter, March 12, 1903.

Officers— Jas.

A . Walls, President; P. C. Mayo, V ice President; J. L. Matthews, Cashier; (M iss)
Pearle Matthews, Assistant Cashier.

Directors— Jas.

A . Walls, B. J. Lambert, J. W . Mayo, J. I. Matthews, P. C. Mayo, S. Geronin,
A . Patterson.

W.

S T A T E M E N T O F D ECEM BER 31, 1921
R ESO U R C E S
L oans and d iscou n ts............................ $
L oans on real estate.......................
L oans on cotton ........................ J.............
TJ. S. b o n d s .............................................
Other bonds and secu rities..............
F urnitu re and fixtures.....................
B an kin g hou se......................................
Other real estate.................................
Due from non-reserve b an ks...........
D ue from reserve banks.................. (
Checks on other ban ks................... '
C urren cy ................................................
G old ..........................................................
S ilv er .......................................................

9 6 ,5 6 6 .0 4
6 5,1 69 .3 1
2 ,000.00
1 5,3 34 .5 7
1,405.00
2 ,2 2 0.00
3 ,000.00
1,000.00
24,5 24 .3 9
9 7 ,9 89 .0 7
759.75
.9 ,7 2 8 .0 0
380.00
1,361.91

L IA B IL IT IE S
C apital s to ck ...........................................$ 2 5,0 00 .0 0
6,500.00
Certified surplus.....................
U n d ivid ed profits.................................
7,5 6 3.20
S avings a ccou n ts.................................
3 ,523.20
In d ivid u a l d ep osits............................... 2 3 5 ,98 7 .5 4
P u b lic fu n d s...........................................
89.42
C ertificates o f deposit, tim e...........
4 1,3 38 .9 7
C ashier’ s ch eck s....................................
386.08

Total deposits...............$281,325.21
O ther

lia b ilitie s...................................

1,049.63

Total cash and Ex.... $134,743.12
T otal

....................... ,......................... $ 3 2 1 ,4 3 8 .0 4

T otal

.................................................. $ 3 2 1 ,4 3 8 .0 4

HOLLY GROVE
Monroe County
PEOPLES BANK
Charter N o. 303.

Date of Charter, March 5, 1910.

Officers— R ue-A bram son,

President; Geo. W . Johnson, V ice President; Cay Hawkins,
E. J. Peterson, Assistant Cashier.

Cashier;

Directors— W .

A . Johnson, C. G . Kerr, B. Seelig, S. Seelig, Rue Abramson, Geo. W . Johnson,
Cay Hawkins.
S T A T E M E N T O F DECEM BER 31, 1921

R E SO U R C E S
L oans and d iscou n ts..........................!
L oans on real estate............................
L oans on cotton ....................................
U. S. b on d s .............................................
F urnitu re and fixtures........................
Due from n on -reserve b an ks...........
Cash items.v.............................................
Due from reserve ban ks..................
C hecks on oth e r'b a n k s .......................
C urren cy ................................................
G old ..........................................................
S ilv er ........... ..........................................

Total cash and Ex.......$25,099.92
O ther

resou rces....................................

T otal




55,441.22
3 5.3 90 .0 0
2 7,4 58 .0 6
15.3 50 .0 0
2 , 000.00
1 ,003.34
50.87
17,416.58
664.01
5,109.00
282.50
573.62

L IA B IL IT IE S
Capital s to ck ...........................................$ 15,000.00
Certified surplus....................................
3,000.00
U nd ivid ed p rofits.................................
1.605.63
S avings a ccou n ts.................................
4 ,0 8 4.00
D ividen ds u n p aid .................................
56.28
In d ivid u a l d ep osits............................... 1 26 ,44 0 .9 0
C ertificates o f deposit, tim e..............
11,444.02
C ash ier’ s ch eck s................ ...................
1 .226.64

Total deposits...............$143,251.84

2 ,1 1 8.27
$162 ,8 ^ 7.4 7

T otal

.$ 1 62,857.47

S tate

of

A rkansas

101

HOPE
Hempstead County

HEMPSTEAD COUNTY BANK & TRUST COMPANY
Charter N o. 449.

Date of Charter, November 26, 1915.

Officers— A .

L. Betts, President; H. F. Grigsby, Cashier; H. D . Booth, Assistant Cashier; F. T.
Shelton, Assistant Cashier; R. A . Boyett, Jr., Assistant Cashier.

Directors— Chas.

Aber, E. C. Brown, Dorsey McRae, A . L. Betts, H. F. Grigsby.
S T A T E M E N T OF DECEM BER 31, 1921

R ESO U R C E S
L oans and d iscou n ts............................ $368 ,4 8 9 .0 7
L oans on real estate.......................... 102,325.80
Loans on cotton .................................... 61,038.10
838.00
U. S. b on d s.............................................
Other bonds and securities..............
10,236.32
7,958.50
F urnitu re and fixtures.....................
B an king house........................................
25,704.00
Other real estate.................................
13,346.09
Item s in tra n sit...................................
140.21
979.71
Cash item s...............................................
Due from reserve banks.......................... 27,549.33
Checks on other hanks.....................
1,374.16
C urrency ................................................
7,738.00
G old ....................................................
2.50
S ilver .................................. - ..................
2 ,029.24

L IA B IL IT IE S
Capital s to ck ........................................... $ 100,000.00
Certified surplus.................................... 25,000.00
U ndivided p rofits.................................
4 ,286.12
B ills p a ya b le........................................... 265,39 5 .1 7
Savings a ccou n ts.................................
9 4,8 96 .0 6
T rust fu n d s.............................................
1,295.62
Individual d ep osits.......T..................
92,2 72 .6 0
P u b lic fu n d s...........................................
12,829.54
Due to n on -reserve hanks................
2,637.10
Certificates o f deposit, tim e...................................... 16,3 14 .7 5
C ashier’ s ch eck s....................................
1,901.49

Total deposits...............$222,147.16
Other

lia b ilities....................................

14,450.58

Total cash and Ex.......$39,813.15
Other

resou rces...................................

1,530.00
$ 631,279.03

T otal

T otal .................................................... $631,279.03

HOPE
Hempstead County

HOPE SAVINGS BANK & TRUST COMPANY
Charter No. 230.

Officers— Jas.

H. McCollum, President;
James O. Murph, Assistant Cashier.

Directors— E.

Date of Charter, March 8, 1907.
P. A . Tharp, V ice President; Lloyd Spencer, Cashier;

S. Greening, J. J. Ward, N . P. O ’Neal, Geo. Brannan, Jesse N . Riley.
S T A T E M E N T O F DECEM BER 31, 1921

R ESO U R C E S
Loans and d iscou n ts.......................... $ 26 5 ,4 6 6 .9 0
Loans on real estate............................ 115,273.00
L oans on cotton .................................... 16,438.56
Other bonds and securities..............
105.25
F urnitu re and fixtures.......................
8,200.00
B an king house.....................
20,0 00 .0 0
Other real estate.................................
12,774.32
Cash item s.............................................
460.90
Due from reserve banks................... 4 1,7 28 .2 1
Checks on other b an ks.....................
1,274.61
C urrency ..................................................
2,993.00
G old .........................................................
135.00
S ilver .......................................................
377.89

L IA B IL IT IE S
Capital s tock ...........................................$ 50,000.00
Certified surplus.................................... 40,0 00 .0 0
42.05
U ndivided p rofits.................................
B ills p a ya b le...........................................
65,000.00
Savings a ccou n ts................................. 1 65,460.66
In d ivid u a l d ep osits............................... 4 4,2 59 .2 4
P u b lic fu n d s...........................................
51,923.14
Due to reserve b an ks..........................
18,295.52
C ashier’ s ch eck s....................................
2,247.03

Total deposits...............$282,185.59
Other lia b ilitie s......................................

48,0 00 .0 0

Total cash and Ex.......$46,969.61
T otal

..................................................$ 4 8 5 ,2 2 7 .6 4




T otal

.................................................. $ 48 5 ,2 2 7 .6 4

R eport

102

of

B a n k C om m issioner

HORATIO
Sevier County
B A N K O F H O R A T IO
Charter No. 64.

Date of Charter, November 17, 1900.

Officers— J.

Walter Jones, President; B. E. Isbell, V ice President; A . T . Cowden, V ice President;
Richard Adams, Jr., Cashier; P. M . Cowden, Assistant Cashier.

Directors— J.

Walter Jones, B. E. Isbell, A . T . Cowden, H. S. Cowden, E. R. Liverett.
S T A T E M E N T OF DECEM BER 31, 1921

R E SO U R C E S
Loans and d iscou n ts.......................... $ 1 0 3 ,3 3 6 .5 6
L oans on real estate..........................
37,6 44 .7 3
O verd rafts .............................................
1 ,814.44
U . S. b o n d s ...........................................
5,000.00
O ther bon d s and secu rities..............
3 ,9 2 7.90
F urnitu re and fixtures.....................
5,045.00
H anking hou se...................................... 20,0 00 .0 0
545.97
Cash item s.............................................
Due from reserve ban k s................
14,602.55
C urrency ................................................
5,002.00
G old ..........................................................
247.50
S ilv er .......................................................
1 ,639.86

L IA B IL IT IE S
Capital s to ck ........................................... !
Certified surplus.................................
U nd ivid ed p rofits.................................
B ills p a ya b le.........................................
N otes red iscou n ted ...... .....................
In d ivid u a l d ep osits................. ..........
P u b lic fu n d s...........................................
C ertificates o f deposit, dem and......
C ertificates o f deposit, tim e..............
C ash ier’ s ch eck s.................................

Total deposits................. $94,242.34

3 5 .0 0 0 .

1 0 .0 0 0 .

4 ,541.79
53,0 00 .0 0
3 ,1 9 0.84
72,740.22
1,015.88
453 .50
19,699.12
333.62

Total cash and E x.......$22,037.88
O ther

resou rces....................................

T otal

1 ,168.46
$ 19 9 ,9 7 4 .9 7

T otal*,.

.$ 1 99,974.97

HOT SPRINGS
Garland County
AR K AN SAS TRUST C O M P AN Y
Charter N o. 232.

Date of Charter, August 18, 1907.

Officers— M .

J. Henderson, President; D. Burgauer, V ice President and Cashier; J. A . Stallcup,
V ice President; F. L. Thompson, Assistant Cashier; Dewell Jackson, Assistant Cashier.

Directors— M .

J. Henderson, J. W . Angle, W . G . Maurice, G. A . Callahan, T . A . Cockburn,
Geo. R . Belding, D . Burgauer, W . W . Gentry, J. A . Stallcup, E F. W oodcock.
S T A T E M E N T OF DECEM BER 31, 1921

L IA B IL IT IE S
R E SO U R C E S
Loans and discou n ts.......................... $ 88 2 ,8 8 8 .6 9
Capital s to ck ........................................... $ 1 0 0 ,0 0 0 .0 0
L oans on real estate.......................... 3 09 ,58 2 .8 3
Certified surplus....................................
50.0 00 .0 0
U nd ivid ed p rofits.................................
77,893.78
O verd rafts .............................................
789.13
S avings a ccou n ts................................. 1 37,691.29
12,340.00
U. S. b o n d s .............................................
O ther bon d s and secu rities..............
5 7,2 76 .8 0
In d ivid u a l d ep osits.................
707 ,80 8 .3 3
P u b lic fu n d s...........................................
2 0 ,8 62 .2 4
F urnitu re and fixtures.......................
9 .0 0 0.00
C ertificates o f deposit, dem and.........57,1 28 .3 5
B an kin g hou se........................................
2 2,0 00 .0 0
C ertificates o f deposit, tim e.............. 3 64 .0 7 6 .3 5
O ther rea l estate................................
417 .36
Certified ch eck s......................................
3 96.35
Item s in tra n sit....................................
726.06
C ashier’ s ch eck s............................ ,...... 3 1,4 86 .1 2
Due from n on -reserve b an ks....................................18,404.28
Total d e p osits.......... $1,349,449.03
Cash item s...............................................
1,600 32
R eserved fo r taxes...............................
3 ,3 3 3.34
D u e from reserve b an k s................... 1 35,328.90
O ther lia b ilitie s....................................
7,612.81
Checks on other ban ks.....................
7,267.43
C urren cy ................................................
55,7 74 .0 0
G old .........................................................
10.00
S ilver .......................................................
11,871.48

Total cash and Ex.....$230,982.47
O ther

resou rces....................................

3 3,0 11 .6 8

T otal ................................................$ 1,5 5 8 ,2 8 8 .9 6




T otal ................................................$ 1 ,5 5 8 ,2 8 8 .9 6

00

00

S tate

of

103

A rkansas

HOT SPRINGS
Garland County
COM O TRUST C O M P A N Y
Charter N o. 452.

Date of Charter, A pril 20, 1916.

Officers— E.

N . Roth, President; Ed H. Johnson, V ice President; Stanley Lee, Cashier; A . John­
son, Assistant Cashier.

Directors—E .

N . Roth, Ed H. Johnson, Stanley Lee, E. Hartley W ootton, A1 A . Reynolds, Jno.
M . Proctor, Ray S. Smith, Jacob Gesehmay, Robert -H. Kittelberger.
S T A T E M E N T OF DECEM BER 31, 1921

L IA B I L I T I E S
R E SO U R C E S
Capital s to ck .......................................... $ 60,000.00
Loans and discou n ts.......................... $447 ,0 3 2 .1 7
Certified surplus.................................... 12,000.00
Loans on real estate.......................... 126,598.58
U ndivided p rofits.................................
4,717.98
U. S. b on d s...........................................
242.04
B ills p a ya b le...........................................
50,000.00
Other bonds and secu rities................................... 15,341.28
Savings a ccou n ts.................................
20,2 77 .8 5
F urnitu re and fixtures.......................
1 ,387.27
D ividen ds un p aid .................................
1,800.00
Item s in tra n sit...................................
657.74
In d ivid ual d ep osits............................... 3 20,402.59
Cash item s.............................................
1,559.01
P u b lic fu n d s...........................................
1 ,420.35
Due from reserve ban ks................... 62,2 21 .4 5
Certificates o f deposit, dem and.— 15,4 61 .8 4
Checks on other ban ks.....................
9,224.91
Certificates o f deposits, tim e......... 1 95,543.69
C urrency ...............................
15,524.00
C ashier’ s ch eck s.................................... 13,073.45
G old .........................................................
1,985.00
Total deposits...............$567,979.77
S ilver .......................................................
4,924.30

Total cash and E x.......$96,096.41
8 , 000.00

Other resources.

.$694,697 75

T otal

Total

.$694,697.75

HOT SPRINGS
Garland County
H O T S P R IN G S S A V I N G S , T R U S T & G U A R A N T Y C O M P A N Y
(Security Bank.)

Charter No. 28.

Date of Charter, N ovember 10, 1891.

Officers— John

B. Foote, President; L. D. Cooper, V ice President; A . S. Goodwin, Cashier; B. F .
Pritchard, Assistant Cashier.

Directors— Chas.

R. Birnbaum, Howard P. Ceilings, L. D. Cooper, J. W . Corrington, John B. Foote,
E. L. Howlett, Chas. C. Sparks, M . C. Tombler, A . H. Tribble.
S T A T E M E N T OF DECEM BER 31, 1921

RESOURCES
Loans and discou n ts.......................... $ 37 3 ,8 1 5 .9 7
L oans on real estate.......................... 2 01 ,27 3 .7 9
U . S. b on d s...........................................
1,600.00
Other bonds and secu rities..............
6,770.95
B an king house......................................
82,1 08 .0 6
Other real estate.................................
15,671.22
Item s in transit....................................
133.00
Cash item s...................
1,850.48
Due from reserve ban ks................... 1 06,586.64
Checks on other ban ks...................
6,430.97
C urrency ..................................................
42,9 52 .0 0
G old .........................................................
1,815.00
S ilver ........................................... ,.........
5,841.63

Total cash and E x.....$165,609.72
T otal .................................................... $ 84 6 ,8 4 9 .7 1




L IA B IL IT IE S
Capital s to c k ....................................... .-$ 1 0 0 ,0 0 0 .0 0
Certified surplus.................................... 20,0 00 .0 0
61,586.02
U ndivided p rofits.................................
Savings a ccou n ts.................................
64,457.01
T ru st fu n d s.............................................
39.17
D ividen ds un p aid .................................
5,080.00
Ind ivid u al d ep osits............................... 339 ,58 5 .7 7
P u b lic fu n d s...........................................
2,078.16
C ertificates o f deposit, tim e.............. 31,783.18
C ertificates o f deposit, fo r m oney
b orrow ed ...........................................' 2 19,833.72
C ashier’ s ch eck s....................................
2 ,406.68

Total deposits...............$665,263.69
T otal .....................................................$ 84 6 ,8 4 9 .7 1

104

R eport

of

B a n k C omm issioner

HOUSTON
Perry County

BAN K OF HOU STO N
Charter N o. 207.

Date of Charter, March 27, 1906.

Officers— A .

B. Banks, President'; J. A . Lovelace, V ice President; D. A . Tucker, Cashier; Lulu
A . Simms, Assistant Cashier.

Directors— -A.

B. Banks, J. A . Lovelace, R.

K.

Wear, Emma Jones,

D.

A . Tucker.

S T A T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
L oans and d iscou n ts.............................$18 ,66 8 .0 0
L oans on rea l estate............................
2 ,6 3 6.65
L oans on co tto n ......................................
5 ,251.80
F urnitu re and fixtures..........................
680.00
B an k in g hou se........................................
1,000.00
D ue from reserve b an ks.....................
9,4 8 6.21
C urren cy ..................................................
1,082.00
S ilv er ..........................................................
663.50

L IA B I L I T I E S
Capital s to ck ..............................................$ 10 ,00 0 .0 0
Certified surplus......................................
1,500.00
U ndivided p rofits...................... ■............
1,163.28
In d ivid u a l d ep osits...............................
2 1,1 29 .9 1
5 ,674.97
C ertificates o f deposit, tim e..............

Total deposits.................$26,804.88

Total cash and Ex.......$11,231.71
$ 39 ,46 8 .1 6

T otal

T otal

.$39,468.16

HOXIE
Lawrence County

B A N K O F H O X IE
Charter N o. 122.

Date of Charter, A pril 3, 1903.

Officers— John

K. Gibson, President; A . G . Richardson, V ice President; A . G . Albright, Cashier;
R . R . Reynolds, Assistant Cashier.

Directors— Pat

Whalen, A . G . Richardson, A . G . Albright, J. M . Lester, J. G . Richardson, John

K. Gibson.
S T A T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
L oans and d iscou n ts.......................... $ 10 4 ,7 9 6 .6 9
L oans on real estate..........................
13,901.31
O verdrafts ................................
545.10
O ther bon d s and secu rities..............
1,687.73
F urnitu re and fixtures........................
2 ,786.75
B an kin g hou se.........................................
7,250.00
Item s in tra n sit....................................
3 33.85
D u e from reserve ban ks................... 15,7 25 .4 0
C urren cy ....................................,...........
3 ,2 2 6.00
G old ...................................
10.00
S ilv er .......................................................
1,1 9 4.85

L IA B IL IT IE S
C apital s to c k ...........................................!
C ertified surplus....................................
U n divided p rofits.................................
B ills p a ya b le ...........................................
In d ivid u a l d ep osits...............................
P u b lic fu n d s...........................................
C ertificates o f deposit, tim e..............
C ashier’ s ch eck s....................................

10 , 000.00
4 ,0 0 0.00
287.89
2 0 , 0 00.00
9 1,9 40 .8 0
1,0 3 7.10
2 1,7 82 .5 8
2 ,409.31

Total deposits...............$117,169.79

Total cash and E x.......$20,490.10
T otal

$ 1 5 1 ,4 5 7 .6 8

$ 15 1 ,4 5 7 .6 8

T otal

HUGHES
St. Francis County

BANK OF HUGHES
Charter N o. 478.

Date of Charter, March 21, 1919.

Officers— Paul Y . Gibson, President; F. O. Love, V ice President; W ,
Directors— Paul Y . Gibson, W . A . Harp, John J. Hughes, J. S. R .
F. O . Love.

A . Harp, Cashier.
Cowan, A . J. McDaniel,

S T A T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
L oans and d iscou n ts............................ !
L oans on real estate..........................
O verd ra fts .............................................
F urnitu re and fixtures.......................
Cash item s.............................................
D ue from reserve ban ks.....................
Checks on other ban ks.....................
C urren cy ..................................................
G old .........1...............................................
S ilver .......................................................

57,8 60 .0 0
3 8,0 03 .2 5
97.12
7,286.82
422.00
3 ,6 0 5.67
85.00
4 ,5 9 6.00
25.00
703.70

L IA B IL IT IE S
Capital s to ck ...........................................!
Certified surplus....................................
U ndivided p rofits.................................
B ills p a ya b le...........................................
In d ivid u a l d ep osits...............................
P u b lic fu n d s ...........................................
C ashier’ s ch eck s....................................

Total deposits.................$47,438.57

25,0 00 .0 0
2 ,500.00
1,244.17
4 3 ,2 27 .6 2
4 4,8 57 .8 3
2 ,1 3 3.55
447 .19

Total cash and E x......... $9,437.37
O ther resou rces......................................
T otal




6 ,725.80

...$ 1 1 9 ,4 1 0 .3 6

T otal

$ 11 9 ,4 1 0 .3 6

S tate

of

A

105

rkansas

HUMPHREY
Arkansas County
M ERCANTS & PLANTERS BANK
Charter N o. 185.

Date of Charter, June 29, 1905.

Officers— E. B. Stokes, President; W. L. Stillwell, V ice President; Ben
Directors— E. B. Stokes, Ben Stillwell, W. L. Stillwell, E. C. Benton.

Stillwell, Cashier.

STA T E M E N T OF DECEM BER 31, 1921
R E SO U R C E S
L oans and d iscou n ts..........................:
Loans on real estate..........................
Loans on cotton ............................ .......
O verdrafts .............................................
U. S. b on d s.............................................
Other bonds and secu rities...........
F urnitu re and fixtures.......................
B an king house........................................
Cash item s.............................................
Due from reserve ban ks..................
C urrency ..................................................
G old ...................................................
S ilv er ......................................................
T otal cash and E x ....... $17,11 0 .0 5
O ther resou rces......................................
T otal

44,2 43 .5 8
2 0,6 29 .0 4
12,205.95
496.43
300.00
7 ,012.26
900.00
2 .500.00
1,787.58
10,248.43
3.719.00
140.00
1 ,215.04

L IA B IL IT IE S
Capital s to ck ...........................................!
Certified surplus...................................
U nd ivid ed p rofits.................................
B ills p a ya b le...........................................
In d ivid u a l d ep osits...............................
P u b lic fu n ds...........................................
C ertificates o f deposit, tim e...........
C ashier’ s ch eck s....................................
T otal d ep osits...................$ 7 0 ,86 7 .5 5

2 0 , 000.00
2,5 0 0.00
3,358.63

10, 000.00
43,6 88 .5 5
23,720.68
1,547.87
1,910.45

1.328.87

$106 ,7 2 6 .1 8

Total

.$106,726.18

HUNTER
Woodruff County
BANK
Charter N o. 422.

Officers— Dr.

OF H U N TER

Date of Charter, September 11, 1913.

R . R . James, President; Chas. R. Brinneman, V ice President; Chas. R. Brinneman,

Cashier.

Directors— Dr.

R. R . James, H. O. Penrose, W . J. Penrose, Dr. U , S. Monroe, A lex Slane, C. H.
Forth, W . P. Dawson, Cbas. R . Brinneman, John M . McGowan.
S T A T E M E N T OF DECEM BER 31, 1921

R E SO U R C E S
Loans and d iscou n ts..........................!
L oans on real estate..........................
Other bonds and secu rities..............
F urnitu re and fixtures.......................
Cash item s.............................................
Due from reserve ban ks..................
C urrency ...............................................
G old .........................................................
S ilver .......................................................
T otal cash and E x ....... $17,44 9 .6 1
Other resou rces......................................
Total




57,642.99
25,142.03
1,410.77
2 ,462.97
73.10
14,217.95
2 ,317.00
5.00
836.56

L IA B IL IT IE S
Capital s to ck ........................................... i
Certified surplus...................................
U ndivided p rofits.................................
B ills p a ya b le...........................................
In d ivid u a l d ep osits...............................
P u b lic fu n d s................«..........................
Certificates o f deposit, tim e...........
T otal d ep osits...................$35 ,80 3 .3 1
Other lia b ilitie s......................................

25,000.00
2,500.00 '
7,024.09
33,0 62 .5 4
22,230.06
929.05
12,644.20
719.43

1.00

.$104,109.37

T otal

.$104,109.37

106

R eport

B a n k C om m issioner

of

HUNTINGTON
Sebastian County
H U N T IN G T O N ST A T E B A N K
Charter N o. 364:

Officers— W .

L . Seaman, President;
C. P. Green, Assistant Cashier.

Date ol Charter, January 18, 1912.

C. C. Graves, V ice

President;

G. R. Holbrook, Cashier;

Directors— W .

L. Seaman, G. K. Dixon, J. F. Graves, C. C. Graves, C. C. W oodson, C. E. Weber,
G. R . Holbrook.
S T A T E M E N T O F D ECEM BER 31, 1921

R ESO U R C E S
L oans and discou n ts.......................... $ 13 1 ,2 6 5 .7 1
L oans on real estate............................
38,580.43
O verd rafts .........................................
267.11
U. S. b o n d s ...................................;____
233.17
B ond s to secure postal savings....
17,000.00
O ther bonds and secu rities..............
129.50
F urnitu re and fixtures.......................
1,865.49
4 ,0 0 0.00
B an kin g h ou se......................................
Due from n on -reserve ban ks...........
3,0 0 0.00
Cash item s.............................................
15.00
D u e from reserve ban ks................... 4 2 ,6 06 .6 4
C urren cy ................................................
4 ,2 8 1.00
G old .................................. ,.....................
475.00
S ilver ...................................
1,235.50
T otal cash and E x ....... $ 51 ,61 3 .1 4
Other resources...v...............................
2 75.55

L IA B IL IT IE S
Capital stock ........................................... $ 25,0 00 .0 0
U nd ivid ed p rofits..........................
6,1 4 1.06
JB ills p ayable “ D eposits on w hich
m ore than 4 per cent interest
is p a id ’ ’ .............................................
11,815.70
S avings a ccou n ts.................................
7,943.24
P osta l savings a ccou n ts.....................
14,300.78
In d ivid u a l d ep osits............................... 117 ,05 9 .0 5
P u b lic fu n d s...................................................5,376.91
C ertificates o f deposit, tim e...........
64,440.13
C ash ier’ s ch eck s.................................
1,969.93
T otal d ep osits................ $ 2 1 1 ,0 9 0 .0 4
Other lia b ilitie s ....................
3 ,000.00

T otal .....................................................$2 4 5 ,2 3 1 .1 0

T otal .....................................................$ 24 5 ,2 3 1 .1 0

$This am ount not added in totals.

HUNTSVILLE
Madison County
FARM ERS & M ERCH ANTS BANK
Charter N o. 335.

Date of Charter, March 10, 1911.

Officers— J.

F. Moore, President; J. H . Guinn, V ice President; J. S. M iller, Cashier; W . A .
Easterling, Assistant Cashier.

Directors— J.

H. Guinn, W . L. Bryant, J. F. M oore, J. S. M iller, W . A . Easterling.

S T A T E M E N T OF DECEM BER 31, 1921
R E SO U R C E S
L IA B I L I T I E S
L oans and d iscou n ts..........................$ 4 3,5 48 .4 2
Capital s to ck ........................................ <
L oans on real estate....... v ...............
21,2 00 .0 0
C ertified surplus.................................
O verd ra fts ..............................................
36.90
U nd ivid ed p rofits.................................
U. S. b o n d s .............................................
3,050.00
B ills p a y a b le ........................................
Other bonds and secu rities..............
6 ,401.55
JBills p ayable “ D eposits on w h ich
F urnitu re and fixtures..... ...............
2,720.30
m ore than 4 per cent interest
B an king h ou se......................................
2 ,700.00
is p a id ’ ’ ...........................................
2,874.91
O hter rea l estate..............
In d ivid u a l d ep osits............................
Due from non-reserve b an k s...........
2 ,500.00
P u b lic fu n d s...........................................
D ue from reserve ban ks..................
9 ,890.28
C ertificates o f deposit, tim e...... .
C hecks on other ban ks...................
237.32
T otal d ep osits.................. $ 54 ,11 7 .2 2
C urren cy ................................................
1,383.00
O tner lia b ilitie s...................................
G old ...........
280.00
S ilv er .......................................................
886.50
T o ta l cash and E x ....... $15,17 7 .1 0
O ther resou rces......................................
1.31
T otal ....................................................... $ 97 ,71 0 .4 9
JThis am ount not added in totals.




Total

2 5.0 00 .
00
3,500.00
500.00
1 3.0 00 .
00
960.00
26,3 50 .2 0
13,208.64
14,558.38
1 ,593.27

.$ 97,710.49

S tate

of

107

A rkansas

IMBODEN
Lawrence County
PEOPLES B A N K
Charter N o. 40.

Date, of Charter, March 18. 1896.

Officers— T .

J. Wilson, President; J. B. Peebles, V ice President; L . H. Kaiser, Cashier; Eula
Cavitt, Assistant Cashier.

Directors— T .

J. W ilson, A . T . W ilson, J. B. Peebles, J. L. Polk, L. H. Kaiser.
'S T A T E M E N T OF DECEM BER 31, 1921

R E SO U R C E S
Loans and d iscounts..........................$ 60,610.52
11,141.96
Loans on real estate.......................
O verdrafts .............................................
182.87
U. S. b on d s...........................................
9 ,700.00
Other bonds and securities...........
6,798.65
F urnitu re and fixtures.....................
1,144.17
1,550.00
B an king house......................................
Due from non-reserve ban k s.........
190.00
Due from reserve banks................
15,810.11
C urreucy ................................................
4 ,691.00
G old .........................................................
1,414.85
S ilver .......................................................
795.04

L IA B IL IT IE S
Capita! stock ........................................ $
Certified surplus....................................
U ndivided p rofits.................................
Notes red iscou n ted ............................
{B ills payable “ D eposits on w hich
m ore than 4 p er cent interest
is p a id ’ ’ ...........................................
In d ivid u a l d ep osits............................
P u b lic fu n d s ........................................
Certificates o f deposit, tim e.........

10,000.00
8,000.00
2,103.30
5,000.00
16,355.16
55,157.42
1 6.,426.65
17,567.80

Total deposits.................$89,151.87

Total cash and E x.......$22,902.00
Other

resou rces....................................

T otal

225.00

.................................................. $ 11 4 ,2 5 5 .1 7

T otal

.................................................. $ 11 4 ,2 5 5 .1 7

{T h is amount not added in totals.

JASPER
Newton County
N EW TO N CO U N TY BANK
Charter N o. 121.

Date of Charter, March 24, 1903.

Officers— W .

W. Moore, President; James Brasel, V ice President; J. W . M oore, Cashier; S. L.
Nance, Assistant Cashier.

Directors— W .

W . Moore, James Brasel, J. F , Carlton, S. L. Nance, J. W . M oore.
S T A T E M E N T OF DECEM BER 31, 1921

L IA B IL IT IE S
RESOURCES
Capital s to c k ........................................
Loans and discou n ts.......................... $ 10 1 ,8 6 4 .9 2
Certified surplus....................................
L oans on real estate.......................
31,110.53
U ndivided p rofits.................................
O verdrafts .............................................
600.57
B ills pa ya b le........................................
Other bonds and secu rities................................... 3,755.77
In
d ivid u a l d ep osits............................
Furniture and fixtures........................
1,705.00
P u b lic fu n d s...........................................
B an king house......................................
5,000.00
C
ertificates
o f deposit, tim e.........
Other real estate.................................
978.56
C ashier’ s ch eck s.................................
Item s in transit....................................
147.13
Total deposits...............$114,634.06
Casli item s.............................................
141.78
Due from reserve ban ks................
24,277.78
C urrency ................................................
3,598.00
G old ....................
305.00
Silver ................................*.....................
604.23

20,775.00
3,0 6 6.84
4 ,883.37
31,000.00
76,044.73
9 ,201.26
28,029.83
1,358.24

Total cash and E x.......$29,073.92
Other resou rces...................................
Total




270.00
$ 1 7 4 ,3 5 9 .2 7

T otal

.$174,359.27

108

R eport

of

B a n k C om m issioner

JOINER
Mississippi County
B A N K O F J O IN E R
Charter N o. 267.

Date of Charter, December 31, 1908.

Officers— S. Ralph, President; J. A . Musick, Vice President; L . P.
Directors— S. Ralph, J. A . Musick, L . P. Burns, N . R . Hosey, Lula

Burns, Cashier.
Della Ralph.

S T A T E M E N T OF D ECEM BER 31, 1921 ~
R E SO U R C E S
L oans and d iscou n ts............................ $ 3 7 ,42 6 .0 7
L oans on real estate............................ 11,179.50
8 ,000.00
L oans on co tto n ......................................
O verd rafts ................................................
656.14
F urnitu re and fixtures.......................
1 ,620.00
B an kin g h ou se........................................
6 12.35
D ue from non -reserve ban k s.............
3 ,596.65
D ue from reserve ban ks................... 6,178.40
C urren cy ..................................................
2,0 0 0.00
S ilver .......................................................... 3,423.41

Capital s to ck ........................................... $ 1 0 ,00 0 .0 0
C ertified surplus......................................
4 ,700.00
40.00
D ivid en ds u n paid....................................
In d ivid u a l d ep osits............................... 5 8,3 58 .4 4
C ertificates o f deposit, tim e................................. 2,1 1 8.85

Total deposits................. $60,517.29

Total cash and E x.......$15,198.46
O ther

524.77

resou rces.....................................

T ota l

.....................................................$ 7 5 ,21 7 .2 9

T otal

.....................................................$ 75 ,21 7 .2 9

JONESBORO
Craighead County
A M E R IC A N T R U ST C O M P A N Y
Charter N o. 201.

Date of Charter, December 15, 1905.

Officers— B.

H . Berger, President; E. Less, V ice President; A lex Berger, Cashier; R. H . Downing,
Assistant Cashier.

Directors— B.

H . Berger, A lex Berger, E. Less, C. D. Frierson, R . E. Robertson.
S T A T E M E N T OF D ECEM BER 31, 1921

RESOURCES
L oans and d iscou n ts.......................... $ 5 7 8 ,6 5 6 .9 6
L oans on real estate........................ 1 23 ,36 2 .4 7
L oans on co tto n .................................... 18,636.47
O v erd ra fts .............................................
3.78
U . S. b on d s ...........................................
1,983.31
O ther bon d s and secu rities........... 1 19,636.34
O ther real estate.................................
5,228.93
Due from reserve ban ks................ 1 61 ,11 9 .1 5
C hecks on other ban ks...................
4 ,0 8 6.36
C urren cy ................................................
9 ,6 6 2.00
G old ........... :.............................................
757.50
S ilv er .......................................................
1,871.49

Total cash and E x.....$177,496.50
O ther

resou rces...................................

2,1 8 2.53

L IA B IL IT IE S
C apital s to c k .........................................$ 1 0 0 ,0 0 0 .0 0
Certified s u r p lu s .................................
5 0,0 00 .0 0
U n d ivid ed p rofits..........................'.......
2 9 ,1 57 .7 4
|Bills p a ya b le “ D ep osits on w h ich
m ore than 4 per cent interest
is p a id ’ ’ ...........................................
98,9 55 .4 5
S avings a ccou n ts................................. 3 7 2 ,32 7 .7 7
T ru st fu n d s...........................................
6 ,833.09
D ivid en ds un p aid .................................
507.00
In d ivid u a l d ep osits............................ 1 73 ,90 1 .7 2
P u b lic fu n d s........................................... 143,07 6 .5 5
D ue to n on -reserve b an ks................
708.91
D ue to reserve ban ks........................ 15,655.32
C ertificates o f deposit, dem and.... 130,94 0 .0 0
C ashier’ s ch eck s........r............~.........
4 ,0 7 9.19

Total d eposits.............$848,029.55
T otal

............................................. $ 1 ,0 2 7 ,1 8 7 .2 9

JThis am ount not added in totals.




T otal

............................................. $ 1 ,0 2 7 ,1 8 7 .2 9

S tate

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109

A rkansas

JONESBORO
Craighead' County
B A N K O F JO N ESBO RO
Charter N o. 6.

Date of Charter, July 7, 1887.

Officers— T .

J. Ellis, President; J. E. Parr, V ice President; J. E. McKee, V ice President; W . W .
Cate, V ice President; J. W . Gatz, Cashier; W. P. Liddell, Assistant Cashier.

Directors— T.

J. Ellis, J. E. Parr, J. E. McKee, W . W . Cate, J. H. Little, A . B. Jones, L. A . Ritter,
W. T . Lane, Jr., W . S. Dacus, R . L. Stringer, E. C. Barton.
STA T E M E N T OF DECEM BER 31, 1921

R E SO U R C E S
Loans and d iscounts..................... $ 1,3 17 ,2 4 1 .7 6
Loans on real estate.....................
2 92,780.42
O verdrafts ........................................
1,430.26
U. S. b on d s........................................
253 ,60 0 .0 0
154,675.11
Other bonds and secu rities.........
F urnitu re and fixtures................
9,000.00
B an king hou se.................................
30,000.00
Other real estate............................
27,525.00
Item s in transit...............................
7,886.16
B ills o f exchange............................
35,2 98 .4 0
Due from non-reserve b an ks......
6,789.09
Cash item s........................................
249,86
Due from reserve ban ks...........
67,9 84 .4 1
Checks on other ban ks................
8,675.90
C urrency ...........................................
36,303.00
G old ....................................................
515.00
S ilver ..................................................
5,876.67
T otal cash and E x ...$16 9,57 8 .4 9
O ther resou rces.................................
137.85
Total

.$2,255,968.89

L IA B IL IT IE S
Capital s to ck ......................................!
Certified s u r p lu s .........'..................
U n divided p rofits............................
B ills nayable......................................
Notes red iscou n ted .........................
JBills payable “ D ep osits on
w hich m ore than 4 p er cent
interest is p a id ’ ’ ..........................
Savings a ccou n ts............................
In d ivid u a l d ep osits..........................
P u b lic fu n d s......................................
Due to n on -reserve ban k s...........
C ertificates o f deposit, dem and..
C ashier’ s ch eck s...............................

Total deposits........ $1,306,510.30

34,411.18
192 ,89 1 .9 6
538 ,91 8 .0 4
183,272.01
110,047.81
174,098.13
7,282.35
347.66
83,150.00

R eserved fo r interest.....................
Other lia b ilitie s.................................

Total

2 00 , 000.00
2 50,000.00
28,461.45
232,500.00
2 54,999.48

$2,2 55 ,9 6 8 .8 9

JThis amount not added in totals.

JONESBORO
Craighead County
JO N ESBO R O T R U ST C O M P A N Y
Charter No. 68.

Date of Charter, February 4, 1901.

Officers— G.

W. Puryear, President; E. J. Mason, V ice President; Gordon Matthews, V ice President;
J. W . Armstrong, V ice President; Wm. G. Gatz, Secretary; Nathan Deutsch, Assistant Secre­
tary; C. B. Barnett, Assistant Secretary.

Directors— G.

W . Puryear, J. F. Mason, E. J. Mason, Gordon Matthews, F. R. Puryear, Thomas
Burress, J. M . Johnson, W . S. Ellis, Horace Sloan, C. B. Barnett, J. W . Armstrong.
STA T E M E N T OF DECEM BER 31, 1921

R ESO U R C E S
Loans and discou n ts....................
$718 ,4 8 0 .0 2
L oans on real estate....................... 1 83,024.12
U. S. b on d s........................
61,3 00 .0 0
Other bonds and securities........... 1 19,475.70
Furniture and fixtures..................... 10,000.00
B an king house......................................
35,000.00
Other real estate....... .........................
16,000.00
Item s in tra n sit...................................
485.81
Due from non-reserve b an ks......... 1 1 9 ,9 7 4 .4 0
Cash item s..................
3 ,472.05
Due from reserve ban ks................... 73,343.22
Checks on other banks.....................
12,949.02
Currency ...................
9,2 2 3.00
G old .........................................................
4 62.50
S ilver .......................
3,1 1 2.96
T otal cash and E x .....$223 ,0 2 2 .9 6
Other resou rces...................................
56,944.15
T otal ................................................$ 1,4 23 ,2 4 6 .9 5




L IA B I L I T I E S
Capital s to ck .........................................$ 100,000.00
Certified s u r p lu s .................................
50,000.00
U ndivided p rofits.................................
4 ,875.67
B ills p a ya b le...............„......... „ ............ 133,000.00
Notes red iscou n ted............................ 264 ,16 0 .9 7
T rust fu n d s ......................................
5,751.68
In d ivid u a l d ep osits............................ 392,064.19
P u b lic fu n d s ........................................... 182,909.00
Due to n on -reserve ban k s............... 193,541.38
C ertificates o f deposit, tim e.................................... 96,9 44 .0 6

Total deposits .............$871,210.29

T otal ................................................$1,4 23 ,2 4 6 .9 5

R eport

110

of

B a n k C om m issioner

JUDSONIA
W hite County
FARM ERS & M ERCH ANTS BANK
Charter N o. 415.

Date of Charter, May 29, 1913.

Officers— A .

W . Henson, President; W . H. L. Woodyard, V ice President; Jno. S. Eastland, V ice
President; T . J. Lowdermilk, Cashier; Paul E. Bauer, Assistant Cashier; Ford, R . Lowdermilk,
Assistant Cashier.

Directors— A .

W . Henson, W . H . L. Woodyard, Jno. S. Eastland, J. C. Rhew, W . E. Forbes, N . A .
W aller, D. I. Jones, Jno. A . Henson, J. S. Kelley, A . M . Kittler, J. H. Graves, T . J. Lowder­
milk.
S T A T E M E N T O F DECEM BER 31, 1921

R ESO U R C E S
L oans and d iscou n ts..........................$
L oans on rea l estate.......................
L oans on co tto n .................................
O verd rafts .......... .-.................................
U. S. b on d s ...........................................
O ther bonds and securities..............
F urnitu re and fixtures.....................
B an kin g h ou se......................................
Item s in tra n sit....................................
D ue from reserve banks...................
C urren cy ................................................
G old ..........................................................
S ilv er .....................................................

78,396.81
4 1,4 99 .1 2
536.98
139.09
18,987.50
200.00
3,282.83
11,370.12
785.11
4 7,2 89 .8 2
13,253.00
2 97.50
1,896.69

L IA B IL IT IE S
Capital s to ck .........................................$ 17,500.00
C ertified s u r p lu s .................................
8,000.00
U ndivided p rofits.................................
7,100.40
In d ivid u a l d ep osits............................. 1 41,424.88
P u b lic fu n d s .........................................
116.84
C ertificates o f deposit, tim e.........
4 1 ,9 99 .6 7
C ashier’ s ch eck s.................................
1,792.78

Total deposits .............$185,334.17

Total cash and E x.......$63,522.12
T otal

.................................................. $ 21 7 ,9 3 4 .5 7

T otal

.................................................. $ 21 7 ,9 3 4 .5 7

JUNCTION CITY
Union County
M ERCH ANTS & FARM ERS BANK
Charter N o. 214.

Officers— P. E. Murphy, President; W .
Directors— M . P. Muse, P. F. Gulley, P.

Date of Charter, August 2, 1906.
R. Davidson, V ice President; J. J. Grafton, Cashier.
E. Murphy, W . R. Davidson, J. E. Stevenson, J. J. Grafton.

S T A T E M E N T O F DECEM BER 31, 1921
s
R E SO U R C E S
L oans and d iscou n ts.......................... $ 21 8 ,6 9 3 .5 0
L oans on- real estate..........................
84,686.02
Loans on co tto n .................................
15,5 01 .0 2
O verd rafts .............................................
4 20.09
U . S. b on d s...........................................
13,150.00
O ther bonds and securities..............
6 ,6 0 7.30
F urnitu re and fixtures.....................
1,500.00
B an kin g hou se......................................
3 ,200.00
O ther real estate.................................
2 ,9 7 0.00
D ue from reserve ban ks................ 1 54,265.32
C hecks on other ban ks.....................
8,242.69
C urren cy ................................................
9 ,119.00
G old .............
11,070.00
S ilv er ....................................................
1,737.38

L IA B IL IT IE S
Capital s to ck ........................................ $ 50,0 00 .0 0
Certified s u r p lu s ..........<.....................
10,0 00 .0 0
1,831.51
U n d ivid ed p rofits.................................
Savings a ccou n ts.................................
31,0 87 .5 7
In d ivid u a l d ep osits.....................
3 7 9 ,56 6 .6 6
P u b lic fu n d s...........................................
3 ,500.00
C ertificates o f dep osit..............
39,5 30 .1 1
C ashier’ s ch eck s............................ .....
4 ,0 4 6.47

Total deposits ............$457,730.81
Other lia b ilitie s....................................

11,600.00

Total cash and E x.....$184,434.39
T otal

.................................................. $531 ,1 6 2 .3 2




T otal

.................................................. $ 5 3 1 ,1 6 ^ 3 2

S tate

of

A rkansas

111

REISER
Mississippi County
B A N K O F R E IS E R
Charter No. 498.

Date of Charter, November 21, 1919.

Officers— L. L. Harwell, President; H . P.
Directors— L. L. Harwell, H . P. Dunavant,

Dunavant, V ice President; L . E. Watson, Cashier.
L. E. Watson, B. R . M oore, W . P. Samse, N . B. Ellis.

STA T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
L oans and d iscou n ts........................... $ 29 ,45 7 .7 7
Loans on real estate........................... 15,830.00
O verdrafts ................................................
254.60
U. S. b on d s............................................
350.00
O ther bonds and secu rities............
60.00
F urniture and fixtures.......................
2,430.00
B an king house........................................
3,600.00
D ue from reserve banks.................... 18,752.51
C urrency ..................................................
3,0 1 2.00
G old ............................................................
72.50
S ilver .......................................................
3 ,0 0 6.44

Total cash and E x.......$24,843.45

Total deposits ...............$47,150.63

453.33

Other resou rces......................................
T otal

L IA B I L I T I E S
Capital stock ........................................... $25 ,00 0 .0 0
Certified s u r p lu s .................................... 3,500.00
U n divided p rofits.................................... 1,300.21
$Bills payable “ D eposits on w hich
m ore than 4 p er cent interest
is p a id ’ ’ ................................................ 2,000.00
Savings a ccou n ts.................................... 1,635.22
In d ivid u a l d ep osits............................... 33,1 13 .7 8
P u b lic fu n d s........................................... 10,000.00
C ertificates o f deposit, tim e.............. 2,000.00
C ashier’ s ch eck s....................................
401.63

.................................................... $ 77,279.15

R eserved fo r in terest..........................
Other lia b ilitie s......................................
T otal

300.00
28.31

.....................................................$77 ,27 9 .1 5

JThis amount not added in totals.

KENSETT
W hite County
FARM ERS & M ERCHANTS BANK
Charter N o. 387.

Date of Charter, September 7, 1912.

Officers— B.

F. Plackard, President; W . G. White, V ice President; B. D . Eaker, Cashier; M arjorie
White, Assistant Cashier.

Directors— B.

F. Plackard, W . G. White, B. D. Eaker, M rs. V erla Brewer, M . White.
S T A T E M E N T OF DECEM BER 31, 1921

L IA B IL IT IE S
R E SO U R C E S
Capital s to ck ........................................... $ 13,500.00
Loans and d iscou n ts............................ $45 ,23 4 .9 5
B ills p a ya b le.......................................... .'1 3 ,5 0 0 .0 0
Loans on real estate............................
4,800.00
In d ivid u a l d e p o sits............................... 32,003.72
O verdrafts ................................................
194.23
P u b lic fu n d s ...........................................
750.41
U. S. b on d s.............................................
700.00
Certificates o f deposit, tim e..............
1,865.02
F urniture and fixtures........................ 1,700.00
C ashier’ s ch eck s...................................
4,3 79.45
B an king house........................................
1,800.00
Total deposits ...............$38,998.60
Due from non-reserve ban k s................................. 764.04
Cash item s................................................
121.44
Due from reserve ban ks.....................
6,781.40
Currency ..................................................
1,464.00
G old ............................................................
455.00
S ilver .......................................................
684.20

Total cash and E x.......$10,270.08
Other resou rces......................................
T otal




1,299.34
$65,99 8 .6 0

T otal

.$65,998.60

R eport

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of

B a n k C om m issioner

KEO
Lonoke County
B A N K O F KEO
Charter N o. 504.

Officers— W .
Directors— W .

Date of Charter, January 13, 1920.

F. Coleman, President; S. C. Cobb, V ice President; C. E. Alexander, Cashier.
F. Coleman, S. C. Cobb, C. M . Flynn, A . L . Bowers.
S T A T E M E N T O F DECEM BER 31, 1921

R E SO U R C E S
L oans and discou n ts.............................$ 20 ,58 4 .0 9
L oans on real estate............................
6 ,372.50
2 ,4 7 2.17
L oans on cotton ......................................
O verd ra fts ................................................
7.12
O ther bon d s and secu rities..................
894.32
F urnitu re an d fixtures........................... 4,4 1 1.61
Cash item s................................................
42.70
D ue from reserve ban ks..........,.........
4 ,343.23
C urrency ..................................................
3 ,774.00
G old ............................................................
50.00
S ilv er .......................................................
842.12

L IA B I L I T I E S
Capital s to ck ........................................... $ 15 ,00 0 .0 0
C ertified s u r p lu s ....................................
1,500.00
Savings a ccou n ts....................................
3 44.12
In d ivid u a l d ep osits............................... 2 0 ,7 25 .1 4
C ertificates o f deposits, tim e................................. 6,3 7 0.00
C ashier’ s ch eck s....................................
858.00

Total deposits ...............$28,297.26

Total cash and Ex......... $9,052.05
O ther

resou rces......................................

T otal

1,003.40

.....................................................$ 4 4 ,79 7 .2 6

T otal

.....................................................$ 4 4 ,79 7 .2 6

KINGSLAND
Cleveland County
CLEVELAN D CO U N TY BANK
Charter N o. 52.

Officers— A . B. Banks, President; C
Directors— A . B. Banks, C. F. Smith,

Date of Charter, August 4, 1899.
F. Smith, V ice President; J. D. Shearer, Cashier.

A . T . Sneed, J. D. Shearer, E. R . Buster.

S T A T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
L oans and d iscou n ts..........................!
L oans on real estate..........................
O verd ra fts .............................................
U. S. b o n d s ...........................................
O ther bon d s and secu rities...........
F urnitu re and fixtures.....................
B an kin g hou se......................................
O ther real estate.................................
Due from reserve hanks...................
C urren cy ................................................
G old .........................................................
S ilv er ....................................... ...............

Total cash and Ex.......$33,726.33
O ther

resou rces.................................

T otal




6 7,3 33 .2 5
58,4 05 .7 4
3 7 04
2,175.13
1,718.59
1,260.00
1,356.35
340.00
16,839.76
14,853.00
115.00
1,918.57

L IA B I L I T I E S
Capital stock ........... - .......................... !
Certified s u r p lu s .................................
U nd ivid ed p rofits.................................
In d ivid u a l d ep osits............................
P u b lic funds...'.....................................
C ertificates o f deposit, dem and—
C ashier’ s ch eck s............ -...................

3 0 .0 0 0 .
00
11 . 0 0 0 .
00
6 ,909.08
72,4 91 .9 4
1 1,7 96 .3 5
3 3,0 33 .7 6
1,618.00

Total deposits .............$118,940.05

516.40
.$ 1 66,849.13

Total

.$166,849.13

S tate

of

A rkansas

113

KINGSTON
Madison County

B A N K O F K IN G S T O N
Charter N o. 338.

Date of Charter, A pril 7, 1911.

Officers— J.

N . Bunch, President; Tom Hargis, V ice President; R . C. Bunch, Cashier; A . B. Bunch,
Assistant Cashier.
Directors— J. N . Bunch, Tom Hargis, A . B. Bunch, H . R. McCracken, R. C. Bunch, H. P. M c­
Cracken, H. C. Fields.
S T A T E M E N T OF DECEM BER 31, 1921
L IA B I L I T I E S
R ESO U R C E S
Capital s to ck ........................................ $ 10,0 00 .0 0
Loans and d iscou n ts......................... ! 51,709.73
L oans on real estate.........................
Certified s u r p lu s .................................
9 ,000.00
29,8 99 .6 1
U ndivided p rofits.........- ........... -........
1,121.36
U. S. b on d s...........................................
8 ,200.00
33,280.91
1.750.00
In d ivid u a l d ep osits............................
F urnitu re and fixtures.....................
B an king house......................................
Certificates o f deposit, tim e.........
55,185.79
1, 000.00
Total deposits ...............$88,466.70
Other real estate.................................
230.00
Due from reserve ban ks..................
12,635.18
C urrency ...............................................
2.479.00
265.00
G old ..................................................... .
419.54
S ilver .......................................................

Total cash and E x.......$15,798.72
Total

.$108,588.06

Total

.$108,588.06

KNOBEL
Clay County

BANK OF KNOBEL
Charter No. 167.

Date of Charter, September 9,'1904.

Officers— Joseph

Sellmeyer, President; R . Whitaker, V ice President; H . C. Sellmeyer, Cashier;
J. Knoppe, Assistant Cashier.
Directors— Wallace J. Brown, H. C. Sellmeyer, F. J. Sellmeyer, R. Whitaker, Joseph Sellmeyer.

STA T E M E N T O F DECEM BER 31, 1921
L IA B I L I T I E S
R ESO U R C E S
Capital s to ck ...........................................$ 5,575.00
Loans and d iscou n ts............................ $ 41,836.42
Certified su rp lu s'.................................... 7,425.00
Loans on real estate............................
1,600.00
2,628.07
U ndivided p rofits..................
Loans on cotton ...................................... 13,417.0.0
Ind ivid u al d ep osits............................... 64,614.72
O verdrafts ................................................
176.32
P u b lic fu n d s...........................
3,143.75
U. S. b on d s.............................................
7,908.37
Certificates o f deposit, tim e.............. 9,531.12
1,826.59
Other bonds and secu rities..............
C
ashier’
s
ch
eck
s...................................
279.23
F urniture and fixtures.......................
700.00
Total deposits ...............$77,568.82
1,500.00
B an king hou se........................................
Other real estate...................................
250.00
Cash item s................................................
76.72
Due from reserve ban ks..................... 20,220.51
C urrency ..............-........................-.........
2,598.00
G old .......
476.00
Silver .......................................................
610.96
T otal cash and E x ____ $ 23,982.19
T otal

.................................. ..................$93 ,19 6 .8 9

Total

.....................................................$93,196.89

LAFE
Greene County

BANK OF LAFE
Charter N o. 476.

Officers—J. A . Poole, President; Peyton
Directors— J. A . Poole, Peyton Robb, W .

Date of Charter, March 10, 1919.
Robb, V ice President; Harvey Farrell, Cashier.
O. Poole, Then C. Barner, Fred Watson, L . F. Miller,

J. H. Barner.
STA T E M E N T OF DECEM BER 31, 1921
R E SO U R C E S
L IA B I L I T I E S
$15,000.00
Capital s to ck .............................
Loans and d iscou n ts............................ $ 26,685.39
Certified s u r p lu s ........................
3,750.00
O verdrafts ................................................
9.01
U ndivided p rofits...................................
661.98
U. S. b on d s.............................................
2,100.00
In d ivid u a l d ep osits............................... 19,894.77
Other bonds and securities................
.16
Certificates o f deposit, tim e.............. 2,927.39
Furniture and fixtures.......................
1,125.00
Total deposits ...............$22,822.16
B an king hou se........................................
5,394.83
Due from non-reserve b an ks..............
1,374.95
Cash item s.........................................
'901.25
Due from reserve ban ks.....................
3,220.40
C urrency ..................................................
800.00
G old ............
15.00
Silver .......................................................
608.15
*

Total cash and E x.........$6,919.75
Total




.$42,234.14

Total

$42 ,23 4 .1 4

114

R eport

of

B a n k C om m issioner

LAKE CITY
Craighead County
BANK OF LAKE CITY
Charter N o. 317.

Officers— W .

B. Armstrong, President;
Bryan Armstrong, Assistant Cashier.

Directors— W .

Date of Charter, July 5, 1910.
P. J. Springer, V ice President; E. M . Stotts, Cashier;

B. Armstrong, P. J. Springer, G . W . Spencer, F . W . Taylor, E. M . Stotts.
S T A T E M E N T O F DECEM BER 31, 1921

R E SO U R C E S
L IA B IL IT IE S
L oans and discou n ts.......................... $ 2 3 9 ,6 1 8 .6 7
C apital s to ck .........................................i 2 0 , 000.00
3 0 .0 0 0 .
00
L oans on real estate..........................
32,4 50 .0 0
C ertified s u r p lu s .................................
00
L oans on cotton .................................
5,000.00
B ills p a ya b le......................................... 6 8 . 0 0 0 .
otes red iscou n ted ............................
19,3 00 .0 0
O ther bonds and secu rities.................................... 2 ,4 9N
3.94
F urnitu re and fixtures...... ..............
3 ,414.60
$B ills p ayable “ D eposits on w hich
R an kin g h ou se........................
5 ,680.37
m ore than 4 per cent interest
7,700.00
D ue from n on -reserve ban k s.........
304.33
is p a id ’ ’ ..............................................
10,977.19
T ru st fu n d s...........................................
Cash item s.............................................
150.40
2 , 000.00
Due from reserve banks...................
19,869.45
D ividen ds un p aid .................................
C urren cy ................................................
2,2 2 7.00
In d ivid u a l d ep osits............................ 1 15,732.33
S ilv er .....................................................
758.46
P u b lic fu n d s ......................................... 32,3 17 .5 2
961.61
Total cash and E x.......$23,309.64
D ue to reserve ban k s........................
12,678.57
C ertificates o f deposit, tim e.........

Total deposits .............$174,667.22
.$3 1 1,96 7 .2 2

T otal

T otal

$ 3 1 1 ,9 6 7 .2 2

JThis am ount not added in totals.

LAKE VILLAGE
Chicot County

CHICOT BANK & TRUST COMPANY
Charter N o. 246.

Date of Charter, September 26, 1907.

Officers— W alter

Davies, President; J. B. Simms, V ice President; C. F . Tompkins, Cashier; R. C.
Chotard, Assistant Cashier.

Directors-—W alter

Davies, J. B. Simms, J. R . Parker, V . M . Howell, M . E. Rosenzweig, J. T.
Hammond, R . D. Chotard, Hermon Carlton.
S T A T E M E N T O F DECEM BER 31, 1921

R ESO U R C E S
L IA B I L I T I E S
L oans and d iscou n ts.......................... $ 27 5 ,6 2 6 .9 7
Capital s to c k ........................................ $ 15 0 ,0 0 0 .0 0
2 4,8 79 .9 4
Loans on real estate....................... 2 0 2 ,21 4 .8 7
U nd ivid ed p rofits.................................
L oans on cotton .................................
98,7 00 .0 0
4 4 ,6 1 1 .6 4
B ills p a ya b le........................................
O verd rafts ............................ ................
Notes red iscou n ted ..... ...................... 116 ,92 0 .8 5
41.83
U. S. b on d s..........................................
7,210.15
7 5 .0 0 0 .
00 S avings a ccou n ts.................................
O ther bon d s and secu rities...........
In d ivid u a l d ep osits............................ 1 51,176.99
2 ,859.90
89,507.98
F urnitu re and fixtures..................... 2 8,2 19 .9 0
P u b lic fu n d s ........................................
4 5 ,6 5 9 .6 4
B an king hou se......................................
C ertificates o f deposit, tim e.........
53,5 95 .6 8
8,7 0 6.54
O ther real estate.................................
10 . 00 0 .
00 C ash ier’ s ch eck s.................................
Item s in tra n sit.................................
Total deposits .............$302,261.30
780.67
75,000.00
O ther lia b ilitie s....................................
B ills o f exchange.................................
5.380.15
D ue from n on -reserve ban ks.........
2 8,4 73 .7 4
Cash item s.............................................
41.39
D ue from reserve banks................... 23,1.64.39
Checks on others banks..................
863.29
C urrency ................................................
6 .607.00
G old .........................................................
3.300.00
S ilv er .................................. ....................
1,575.51
T otal cash and E x ....... $70,18 6 .1 4
O ther resou rces...................................
5 .405.16
T otal




$ 76 7 ,7 6 2 .0 9

T otal

$ 7 6 7 ,7 6 2 .0 9 .

S tate

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115

A rkansas

LAMAR
Johnson County
BANK OF L A M A R
Charter N o. 123.

Officers— J. W . Hawkins,
Directors— R. F. Hardie,

Date of Charter, A pril 8, 1903.

President; Ike Hawkins, Cashier; Donald Barger, Assistant Cashier.
J. W . Hawkins, J. H. Lollis, D. L. Overbey, W . G. Weeks, J. S. W in-

ningham.
S T A T E M E N T OF DECEM BER 31, 1921
R ESO U R C E S
Loans and d iscou n ts..........................$ 70,514.66
L oans on real estate..........................
36,3 52 .3 7
Other bonds and securities...........
2,862.21
O ther real esta te...*...........................
1,347.15
Due from reserve banks................... 22,1 65 .9 5
125.85
Checks on other banks.....................
C urrency ..................................
4 ,767.00
S ilver .....................................................
1,236.89

L IA B IL IT IE S
Capital s to ck ........................................$
Certified s u r p lu s .................................
U ndivided p rofits.................................
In d ivid u a l d ep osits............................
P u b lic fu n d s.........................................
Certificates o f deposit, tim e...........
C ash ier’ s ch eck s............................

Total cash and Ex.......$28,295.69

R eserved fo r in terest..........................
.$139,372.08

Total

15,000.00
10,000.00
10,964.56
64,701.48
8,239.32
29,4 14 .8 6
56.91

Total deposits .............$102,412.57
994.95
$ 139,372.08

T otal

LAMAR
Johnson County
BLU E STONE BANK
Charter N o. 323.

Date of Charter, November 4, 1910.

Officers— G.

T. Cazort, President; L. I. Barger, V ice President; C. L . 'Burden, Cashier; Garland
Nichols, Assistant Cashier.

Directors— G.

T . Cazort, L. I. Barger, John Brown, P. H. Garner, Max Lau.
S T A T E M E N T OF DECEM BER 31, 1921

R ESO U R C E S
Loans and d iscou n ts............................ $49 ,13 8 .6 8
Loans on real estate............................
8,576.26
O verdrafts ................................................
53.77
F urniture and fixtures.......................
2,396.80
B an king house........................................
2,500.00
Due from reserve ban ks.....................
1,663.71
Checks on other ban ks.....................
106.37
C urrency ..................................................
1,924.00
G old ...................... -....................................
45.00
S ilver .............................................. -.......
383.02

L IA B I L I T I E S
Capital stock ........................................... $ 20,000.00
Certified s u r p lu s .................................... 1,700.00
B ills p a ya b le........................................... 25,109.52
$Bills p ayable “ D eposits on w hich
m ore than 4 p er cent interest
is p a id ’ ’ ................................................ 2 ,707.77
In d ivid u a l d ep osits............................... 15,430.26
Certificates o f deposit, tim e..... ........
6,038.78

Total deposits ...............$21,469.04

Total cash and Ex......... $4,122.10
Other

resou rces......................................

T otal

1,490.95

.................. -................................ $ 68 ,27 8 .5 6

JThis amount not added in totals.




T otal

.................................................... $68 ,27 8 .5 6

116

R eport

of

B a n k C om m issioner

LAVACA
Sebastian County

C I T IZ E N S B A N K O F L A V A C A
Charter N o. 308.

Date of Charter, May 5, 1910.

Officers— J.

F. Bugg, President; J. E. Coker, V ice President; Lawrence Wright, Cashier; Sam E.
West, Assistant Cashier.

Directors— J.

F. Bugg, J. E. Coker, J. S. Coffman, Sam E. West, Ozette Wright.
S T A T E M E N T OF DECEM BER 31, 1921

R E SO U R C E S
L oans and d iscou n ts..........................:
L oans on real estate..........................
L oans on co tto n .................................
U. S. R onds............................. .............
Other bonds and secu rities...........
F urnitu re and fixtures.....................
B an kin g h ou se......................................
Due from reserve ban ks................
C urren cy ................................................
G old .........................................................
S ilv er .....................................................

52,769.43
150.00
9 ,0 9 0.48
12,300.00
18,0 15 .8 3
700.00
1,500.00
14,0 13 .1 8
815.00
20.00
209.11

Total cash and Ex.......$15,057.29
Other

resou rces....................................

270.00

L IA B IL IT IE S
C apital s to ck ........................................ i
Certified s u r p lu s .................................
U nd ivid ed p rofits.................................
B ills p a ya b le..................................... ...
|Bills p ayable “ D eposits on w h ich
m ore than 4 per cent interest
is p a id ’ ’ .............................................
D ivid en ds un p aid .................................
In d ivid u a l d ep osits.............................
P u b lic fu n d s.........................................
C ertificates o f deposits, - tim e......
C ashier’ s ch eck s.................................

.................................................. $ 10 9 ,8 5 3 .0 3

7 .0 0 0.
00
3 .0 0 0 . 00
61,9 19 .8 1
8 ,231.61
7,560.93
487.49

Total deposits ............... $81,199.84
R eserved fo r taxes............................
Other lia b ilitie s.............................. .....

T otal

15,0 00 .0 0
6 , 000.00
500.00
5 ,0 0 0.00

400.60
1 ,752.59

.$109,853.03

T otal

tT h is am ount not added in totals.

LEAGHVILLE
Mississippi County

B AN K OF LEAC H V1LLE
Charter N o. 464.

Date of Charter, June 21, 1917.

Officers— J.

F. Roderick, President and Cashier; R . A . Nelson, V ice President; H . C. Jones.
Assistant Cashier.

Directors— R .

A . Nelson, P. M . Nelson, J. F . Roderick, B. L . Appleby, H. C. Jones.
S T A T E M E N T O F DECEM BER 31. 1921

R E SO U R C E S
Loans and discou n ts............................ $73 ,05 2 .2 2
L oans on real estate....... .................... 11,118.00
O verd rafts ................................................
114.98
1,600.00
F urnitu re and fixtures.......................
B an kin g h ou se........................................
3 ,424.00
Cash item s,........................
561.60
D ue from reserve ban ks.....................
610.31
C urren cy ...........................
5,480.00
S ilver .....................................
502.98

L IA B IL IT IE S
Capital s to ck ....................................
$ 1 5 ,00 0 .0 0
U nd ivid ed p rofits....................................
638.95
In d ivid u a l d ep osits............................... 73,5 51 .3 7
Due to reserve ban ks..........................
2 ,0 8 2.67
Certificate o f deposit, tim e.............. 1,022.05
C ash ier’ s ch eck s.................................... 3 ,5 2 5.26

Total deposits ...............$80,181.35
Other lia b ilitie s......................................

643.79

Total cash and Ex......... $7,154.89
T otal

............................................ ,......... 9 6,4 64 .0 9

T otal

....................................................... 9 6 ,4 64 .0 9

LEAD HILL
Boone County

B A N K O F L E A D H IL L
Charter No. 438.

Date of Charter, A pril 13, 1914.

Officers— T.

R. Cantrell, President; L. W . Parrish, V ice President; Jas. C. Penix, Cashier; H . C.
Penix, Assistant Cashier.

Directors— T .

R. Cantrell, L. W . Parrish, W . H . Raley, H. C. Penix, Jas. C. Penix.

S T A T E M E N T O F DECEM BER 31, 1921
R ESO U R C E S
L IA B I L I T I E S
L oans and discou n ts.............................$ 40 ,88 2 .9 0
C apital s to ck ........................................... $ 10 ,00 0 .0 0
L oans on real estate............................ 12,831.35
Certified s u r p lu s ....................................
3,350.00
O verd rafts ................................................
26.28
U nd ivid ed p rofits................................... 3,177.77
F urnitu re and fixtures........................ 1,2 5 0.00
In d ivid u a l d ep osits............................... 5 4,8 65 .6 5
B an kin g hou se........................................
1,200.00
C ertificates o f deposit, dem and........
1,000.00
D ue from reserve ban ks..................... 2 6,5 88 .0 4
C ertificates o f deposit, tim e........... 11,2 14 .4 5
C urren cy ..................................................
930.00
C ash ier’ s ch eck s....................................
392.56
Total deposits ...............$67,472.66
G old ............................................................
197.50
S ilver .......................................................
304.21
R eserv ed fo r taxes...............................
209 .85

Total cash and E x.......$28,019.75
T otal

.....................................................$ 8 4 ,21 0 .2 8

tT h is am ount not added in totals.




T otal

.$84,210.28

S tate

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117

A rkansas

LEOLA
Grant County
STATE BANK OF LEO LA
Charter N o. 479.

Date of Charter, May 5, 1919.

Officers— J. Cull Elliott, President; R. F. Butler, V ice
Directors— J. Cull Elliott, R . F. Butler, Gantt Reid, O.

President; R . L. W esbrook, Jr., Cashier.
W . Hope, Sam Wallace.

STA T E M E N T OF DECEM BER 31, 1921
R E SO U R C E S
.
Loans and d iscou n ts........................... .$ 1 5 ,5 58 .7 4
Loans on real estate........................... . 19,085.82
Other bonds and securities............ . 4 ,000.00
F urniture and fixtures.................... . 1,462.50
B anking house....................................... . 1,440.00
Other real estate.................................. . 1,300.00
Item s in transit.—'.............................
213.30
Due from reserve ban ks................. . 7,265.46
C urrency ................................................. . 5,377.00
110.00
G old ........... ..............................................
590.46
T otal cash and E x ....... $ 13 ,55 6 .2 2
131.72
Other resou rces....................................
T otal

................................................... .$ 56,535.00

L I A B IL IT IE S
Capital s to ck .................
Ceritfied s u r p lu s ...........
U ndivided p rofits...........
In d ivid u a l d ep osits......
P u b lic fu n d s..................
Certificates o f deposit, tim e............
C ashier’ s ch eck s...........
T otal d eposits ............... $41,89 2 .0 4

T otal

............................

.$10,000.00
. 2,000.00
. 2,642.96
. 31,758.01
. 7,649.95
. 2,478.51
5.57

.$56,535.00

LEPANTO
Poinsett County
BANK OF LEPANTO
Charter N o. 326.

Date of Charter, December 5, 1910.

Officers— W .

R . Payne, President; J. M . Coppage, V ice President; J. H. Weatherly, Cashier;
Romer C. Finn, Assistant Cashier.

Directors— Sam

Stuckey, W . R .
Weatherly, R. H. Wilmoth.

Payne, J. M . Coppage, C. L .

Marcom, C. B. Hanna, J.

H.

S T A T E M E N T O F DECEM BER 31, 1921
R ESO U R C E S
Loans and d iscou n ts............$ 150,377.82
Loans on real estate.............. 27,223.70
Loans on cotton .....................
4,5 6 9.96
O verdrafts .............................................
121.50
U. S. b on d s...............................
8,431.50
O ther bonds and secu rities..
3 ,287.17
F urnitu re and fixtures.........
2 ,920.26
B an king hou se..........................
10,934.29
Cash item s.................................
1 ,315.86
D ue from reserve ban ks........... .......
37,667.58
Checks on other ban ks.......
4 14.55
C urren cy ................................................
3,724.00
G old ........................................................ 1
500.00
S ilver ....................................................
994.63

Total cash and Ex.......$44,616.62
T otal .................................................. $ 252,482.82
{T h is amount n ot added in totals.




L IA B I L I T I E S
Capital s to ck ........................................ $ 25,000.00
Certified s u r p lu s .................................
15,000.00
U ndivided p rofits.........................
8,142.61
B ills p a ya b le......................................... 15,000.00
JBills payable “ D eposits on w hich
m ore than 4 p er cent interest
is p a id ’ ’ .............................................
7,000.00
In d ivid u a l d ep osits............................ 126,376.59
P u b lic fu n d s........................................
25,678.48
Certificates o f deposit, tim e...........
22,7 85 .1 4
Certificates o f deposit, fo r m oney
b orrow ed ...........................................
7,000.00

Total deposits .............$181,840.21
Other lia b ilitie s....................................
T otal

7,500.00

.................................................. $252 ,4 8 2 .8 2

118

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of

B a n k C om m issioner

LESLIE
Searcy County
A M E R IC A N E X C H A N G E B A N K
Charter N o. 486.

Date of Charter, July 21, 1919.

Officers— Ed

Mays, President; T . F. Clemons, V ice President; Buck Mays, Cashier; Jim Hackett,
Assistant Cashier.

Directors— Buck

Mays, C. W . Collins, Jim Hackett, T . F. Clemons, Ed Mays.
S T A T E M E N T O F DECEM BER 31, 1921

R ESO U R C E S
, L oans and discou n ts............. $ 1 1 6 ,9 8 8 .7 5
L oans on real estate............. 11,625.40
U. S. b on d s .............................
2 ,218.85
B onds to secure p ostal savings....
500.00
12,527.07
Other bonds and securities..... ........
F urnitu re and fixtures.....................
4 ,3 3 6.38
B an kin g h ou se......................................
3 ,692.00
1 0,8 45 .4 4
O ther real estate..........................
Item s in tra n sit..........".........................
100.00
Cash item s.............................................
994.52
Due from reserve ban ks................... 50,552.32
Checks on other ban ks.....................
2,762.52
C urrency ................................................
1,612.00
G old ..........................................................
200.00
S ilv er .....................................................
2 ,018.09

L IA B IL IT IE S
Capital s to ck ........................................ $ 5 0 ,0 00 .0 0
Certified s u r p lu s .................................
7,000.00
U n d ivid ed p ro fits........ ........................
2 ,0 0 0.00
137.46
P osta l savings a ccou n ts...................
In d ivid u a l d ep osits............................ 1 62 ,91 8 .7 6
P u b lic fu n d s...........................................
3 ,5 0 0.00
C ash ier’ s ch eck s.................................
795.21

Total deposits ............$167,351.43
Other lia b ilitie s....................................

1,1 4 8.08

Total cash and Ex.......$58,239.45
O ther resou rces....................................
T otal

6 ,5 2 6.17

....................................,............. $ 22 7 ,4 9 9 .5 1

T otal

.................................................. $ 2 2 7 ,4 9 9 .5 1

LESLIE
Searcy County
SEARCY C O U N T Y BANK
Charter N o. 508.

Date of Charter, March 9, 1920.

Officers— Hugh

Leonard, President; N . G. Sawyer, V ice President; S. H . Kunau, Cashier; W m. .
Ashley, Assistant Cashier.

Directors— Hugh

Leonard, D. T . Cotton, George Blair, S. H. Kunau, N. G . Sawyer, S. J. Pekema,
A . L. Barnett.
S T A T E M E N T O F DECEM BER 31, 1921

R E SO U R C E S
L oans and d iscou n ts.............................$ 58 ,29 9 .2 1
L oans on real estate............................
5,135.00
O verd ra fts ....................................
97.50
U . S. b o n d s .............................................
500.00
O ther bonds and securities..............
1 ,843.51
F urnitu re and fixtures...............
3,307.93
B an kin g house................................
4,0 0 0.00
D u e from reserve ban ks................... 20,9 14 .4 3
Checks on other ban ks........................
183.94
C urren cy ........................................
3 ,426.00
G old ............................................................
362.50
S ilver .......................................................
530.56

L IA B I L I T I E S
C apital s to ck .....................
$ 15 ,0 0 0 .0 0
C ertified surplus .............................
2 ,0 0 0.00
U n d ivid ed p rofits.................................... 3 ,292.89
S avings a ccou n ts.................................... 3,4 4 9.99
In d ivid u a l d ep osits............................... 5 4,8 18 .7 5
P u b lic fu n d s.............................................
1 ,0 0 0.00
C ertificates o f deposit, tim e........... 15,155.00
C ashier’ s ch eck s.................................... 3 ,8 8 3.95

Total deposits ...............$78,307.69

Total cash and E x.......$25,417.43
T otal

....................................................$ 9 8 ,6 00 .5 8




T otal

.....................................................$ 9 8 ,6 0 0 .5 8

S tate

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119

A rkansas

LEWISVILLE
Lafayette County
PEOPLES B A N K & L O A N C O M P A N Y
Charter No. 347.

Date of Charter, August 25, 1911.

Officers— W. D. Stewart, President; N. D. Hairell, Vice President; T. P. Lemay, 'Vice President;

B. S. Montgomery, Cashier.
Directors—W. D. Stewart, N. D. Harrell, T. P. LeMay, B. S. Montgomery, J. B. Burton, P. D.

Burton, W. B. Nash.
STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
Loans and discou n ts..........................!
Loans on real estate.........................
Loans on co tto n ....... ..................... ......
Other bonds and secu rities.............
F urnitu re and fixtures.....................
B an king house......................................
Due from non-reserve ban k s.........
Due from reserve ban ks..................
Checks on other ban ks..................
C urren cy ...............................................
G old .........................................................
S ilver ....................................................
T otal cash and E x ....... $ 20 ,65 5 .4 6
Other resou rces...................................
Total

64,695.63
41,4 19 .7 9
6,745.23
1,706.06
3,150.20
5.645.00
5,000.00
6,117.81
1,363.69
7.497.00
40.00
636.96

L IA B I L I T I E S
Capital- s to ck ........................................ $
Certified s u r p lu s ..... ...........................
U ndivided p rofits.................................
B ills p a ya b le........................................
Ind ivid u al d ep osits............................
P u b lic fu n d s........... ............................
Due to non -reserve ban nks..............
Certificates o f deposit, tim e...........
C ashier’ s ch eck s.................................
T otal deposits ................ $ 79 ,59 8 .0 2

3 0 .0 0 0 .
00
12.000.
00
3 ,309.35
2 0 , 000.00
61,861.20
10,029.55
796.26
6,534.13
376.88

890.00

$ 14 4 ,9 0 7 .3 7

$144 ,9 0 7 .3 7

T otal

LINCOLN
Washington County
B A N K OF L IN C O L N
Charter No. 119.

Date of Charter, March 19, 1903.

O fficers— T. N. English, President; J. A. English, Vice President; T. L. McColloch, Cashier;

W. T. Shannon, Assistant Cashier.
D irectors— T. N. English, J. A. English, T. L. McColloch, J. B. Little, F. P. Earle.

STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
Loans and d iscou n ts.......................... $129 ,5 9 3 .7 1
Loans on real estate.......................... 36,7 66 .4 1
O verdrafts .............................................
819.04
Furniture and fixtures.....................
2 ,400.00
B an king house..............
2 ,700.00
Other real estate.................................
1,000.00
Cash item s.....................
19.18
Due from reserve banks................... 2 0,1 19 .3 6
Checks on other ban ks.....................
177.22
C urrency ................................................
2,692.00
G old .........................................................
265.00
S ilver ....................................................
631.76
T otal cash and E x ....... $23,90 4 .5 2
Total




$ 19 7 ,1 8 3 .6 8

L IA B I L I T I E S
Capital s to ck ........................................ :
Certified surplus .................................
U nd ivid ed p rofits.................................
B ills p a ya b le............................•...........
Notes red iscou n ted ............................
Ind ivid u al d ep osits........................... .
P u b lic fu n d s...........................................
C ertificates o f deposit, dem and......
T otal depoists ..............$ 13 3 ,9 3 4 .7 7

Total

2 5 .0 0 0 .
00
1 , 000.00
1,448.91
2 5 .0 0 0 .
00
10,800.00
70,866.08
91.28
62,977.41

.$197,183.68

R eport

120

of

B a n k C om m issioner

LITTLE ROCK
Pulaski County
A M E R IC A N B A N K O F C O M M E R C E & T R U S T C O M P A N Y
Charter No. 23. Date of Charter, November 24, 1890.
O fficers— J. D. Goldman, President; Ed Cornish, Geo. W. Rogers, J. D. Covey, Geo. A. Knox,

L. B. Leigh, Ad Hamberg, R. W. Rightsell, Vice Presidents; W. A. Hicks, Vice President and
Cashier; J. F. Walker, Vice President and Treasurer; F. J. Schmutz, Trust Officer; T. W.
Kirkwood, Secretary; R. E. Cornish, R. L. Bradley, James Keatts, Assistant Cashiers.
D irectors— H. M. Bennett, Gus Bertner, J. P. Blanks, John B. Bond, J. D . Covey, Ed Cornish,

T. N. Doyle, J.
Kempner, Louis
Plunkett, George
Weinmann, J. F.

D. Goldman, Ad Hamberg, W. A. Hicks, Alex M. Keith, Herfnan Kahn, Ike
Koers, George A. Knox, L. B. Leigh, E. O. Manees, M. B. Moore, R. E.
W. Rogers, C. C. Rose, R. W. Rightsell, W. B. Smith, F. J. Schmutz, J. F.
Walker.
STATEMENT OF DECEMBER 31. 1921

R E SO U R C E S
L oans and d iscou n ts.................. $ 5 ,5 0 7,72 1 .0 4
L oans on real estate...................
2 95 ,17 5 .1 2
L oans on cotton ............................
1 ,3 25,696.53
O verd ra fts ......................................
7 ,742.96
U . S. b on d s ......................................
531,95 0 .0 0
B ond s to secure postal savings
25,0 00 .0 0
O ther bon d s and secu rities......
2 1 1 ,3 2 7 .6 6
F urnitu re and fixtures................
43,8 59 .1 3
B an kin g hou se...............................
3 99 ,58 0 .7 1
Other real estate..........................
3 3,0 77 .9 3
Item s in tra n sn it..........................
1,21 3,92 4 .6 8
B ills o f exch a n ge..........................
1 10 ,34 2 .0 8
D ue from n on -reserve b an ks....
8 12 ,50 5 .4 6
3 4,7 71 .7 4
Cash item s....................
Due from reserve ban ks.........
4 9 2 ,83 0 .9 4
118 ,68 8 .1 4
C hecks on other banks..............
C urrency ...................................
171,76 4 .0 0
5 ,867.50
G old ..................................................
S ilver ................................................
15,8 82 .8 6

L IA B I L I T I E S
Capital s to ck —................................$
C ertified surplus........................... ,
U n d ivid ed p rofits..........................
B ills p a ya b le ....................................
Notes red iscou n ted ........................
S avings a ccou n ts..........................
P osta l savings a ccou n ts..............
T ru st fu n d s......................................
D ivid en ds un p aid .................
In d ivid u a l d ep osits........................
P u b lic fu n d s....................................
Due to n on -reserve ban k s.........
C ertificates o f deposit, dem and
C ertificates o f deposit, tim e.—
Certified ch eck s................. r.........
C ashier’ s ch eck s............................

7 50,000.00
1 50,000.00
112.31 2 .4 5
4 0 0 ,00 0 .0 0
1 ,6 3 6,41 5 .9 0
1,8 9 9,14 0 .8 8
4 ,6 2 6.96
27,0 24 .1 1
37,7 35 .0 0
3 ,0 1 0,60 6 .0 9
51,2 37 .9 0
2 ,6 1 1,09 0 .9 0
7,893.32
5 93,846.41
281.10
59,830.57

Total deposits......$8,303,313.24

R eserved fo r in terest...................
R eserved fo r taxes........................

3,748.41
3,051.50

Total cash & Ex. $2,976,577.40
O ther
T ota l

1,133.02

resou rces............................

...........................................$ 11 ,3 5 8 ,8 4 1 .5 0

T otal

........................................... $ 11 ,35 8 ,8 4 1.50

LITTLE ROCK
Pulaski County

BANKERS TRUST C O M P A N Y
Charter No. 416. Date of Charter, June 9, 1913.

O fficers— H. L. Remmell, President; C. S. McCain, G. W. Donaghey, W. C. Ribenack, Guy E.

Thompson, F. W. Niemeyer, Vice Presidents; E. S. Rodman, Vice President and Cashier;
R. C. Irvine, Assistant Cashier.
D irectors—H. L. Remmel, Geo. W. Donaghey, Guy E. Thompson, R. F. Drummond, E. S. Rodman,

Gordon H. Campbell, Jas. G. Clark, H. C. Couch, Robert K. Beal, C. S. McCain, W. C.
Ribenack, J. S. Cargile, S. W. Tucker, Chas. G. Henry, Gilbert J. Blass, F. W. Niemeyer,
Julian G. Blass, Sam Frauenthal.
STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts..................... $ 2 ,3 96 ,8 1 0 .4 7
L oans on rea l estate.....................
1 04,800.00
L oans on co tto n ...............................
1 76,592.43
O verd ra fts .........................................
2 ,697.60
U . S. b o n d s .........................................
15,450.00
O ther bon d s and secu rities.........
4 90 ,71 1 .1 3
F urnitu re and fixtures...................
18,0 00 .0 0
B an kin g h ou se.................................
150,00 0 .0 0
Item s in tra n sit..............................
2 8,5 70 .2 6
B ills o f exch a n ge............................
37,1 49 .1 8
D ue from n on -reserve b an ks......
2 53 ,15 8 .2 0
Cash item s.—................
3 2,3 21 .3 6
D u e from reserve banks................
6 2 6 ,34 6 .4 4
Checks on other ban ks................
88,6 48 .2 7
C urren cy ...........................................
64,6 39 .0 0
G old .....................................................
105.00
S ilv er ..............................
9 ,221.73

Total Cash & Ex. $1,140,159.44
O ther

resou rces..............................

T otal




L IA B I L I T I E S
Capital s to ck ......................................$ 3 00 ,00 0 .0 0
Certified surplus...............................
75,000.00
U nd ivid ed p rofits............................
15,9 52 .9 5
2 12 ,75 0 .0 0
B ills p a ya b le......................................
Notes red iscou n ted ..........................
4 66 ,9 1 5 .2 7
S avings a ccou n ts............................
6 41 ,60 6 .8 5
T ru st fu n d s........................................
18,751.66
D ividen ds un p aid............................
879.50
In d ivid u a l d ep osits.......................... 1,73 8,98 0 .0 0
P u b lic fu n d s......................................
16,684.58
Due to n on -reserve b an ks...........
881 ,54 0 .7 6
C ertificates o f deposit, dem and..
3 0,0 88 .0 0
C ertificates o f deposit, tim e.........
8 3,2 17 .2 5
C ertified ch eck s...............................
1,704.38
C ashier’ s ch eck s...............................
7,549.87

Total d ep osits......$3,421,002.85
R eserved fo r interest.....................
O ther lia b ilitie s...............................

3 ,6 0 0.00
101,00 0 .0 0

1 01 ,00 0 .0 0

.$ 4 ,5 9 6,22 1 .0 7

T otal

.$4 ,5 9 6,22 1 .0 7

S tate

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121

LITTLE ROCK
Pulaski County
CENTRAL BANK
Gharter No. 379.

Date of Charter, June 6, 1912.

O fficers— C. C. Kavanaugh, President; T. W. Mattingly, Joe. Jung, S. G. Dillard, Walter E. Taylor,

Vice Presidents; D. B. Renfro, Cashier; Perry Simpson, Assistant Cashier; T. W. Mattingly,
Jr., Assistant Cashier
D irectors— Ben D. Schaad, M. C. Hutton, H. S. Turner, Joe Storthz, Leo D. Fuchs, D. H. Cantrell,

L. J. Baer, Fred A. Snodgress, John H. Tuohey, H. W. Anderson, Wm. L. Rogoski, Russell H.
Thompson, Pat F. Ring, Jno. R. Frazer, Otto Weideman, George W. Clements, C. C, Kavanaugh,
T. W. Mattingly, Joe Jung, S. G. Dillard, Walter E. Taylor.
STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
Loans and d iscou n ts..........................$ 58 7 ,4 2 7 .4 6
Loans on real estate....................
60,585.00
O verdrafts .............................................
1,047.82
U. S. b on d s........................................... 36,2 50 .0 0
B onds to secure postal savings....
10,000.00
Other bonds and securities...........
11,430.61
Furniture and fixtures.....................
5,400.00
2,080.28
Other real estate.................................
Item s in transit...................
961.15
Cash item s.............................................
1,300.38
D ue from reserve ban ks................... 1 46,207.97
Checks on other banks.....................
10,309.80
C urrency ................................................ 10,600.00
G old .........................................................
227.50
S ilver ....................................................
2 ,262.74
T otal cash and E x ....... $ 17 1 ,8 6 9 .5 4
Other resou rces...................................
142.43
Total

.$ 8 86,233.14

L IA B IL IT IE S
Capital s to ck ........................................ $ 2 00 ,000.00
Certified s u r p lu s .................................
39,100.00
U ndivided profits.................................
890.39
Savings a ccou n ts................................. 121,357.28
D ividen ds un p aid ...............................
3,000.00
In d ivid u a l d ep osits............................ 405,38 3 .4 3
P u b lic fu n d s........................................... 9 2,4 86 .9 4
19,607.62
Certificates o f deposit, tim e...........
1.60
Certified ch eck s....................................
C ashier’ s ' ch eck s.................................
4,405.88

Total deposits .............$646,242.75

T otal

$ 88 6 ,2 3 3 .1 4

LITTLE ROCK
Pulaski County
C O M M E R C IA L T R U ST C O M P A N Y
Charter No. 442.

Date of Charter, June 6, 1914.

O fficers— Harry Lasker, President; Emet Morris, Vice President; R. W. Newell, Secretary; Henry

Lasker, Treasurer.
D irectors— Geo. B. Rose, Jos. Jung, R. W. Newell, M. L. Altheimer, Emmet Morris, Sam J. Storthz,

Alex M. Keith, Harry Lasker, Joe Berger, Theo D. Abeles, Henry Lasker.
STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
Loans and d iscou n ts......................... $495 ,6 7 5 .8 3
Loans on real estate.......................... 218,83 9 .8 0
485.63
O verdrafts .............................................
4 .2 0 0.00
U. S. b on d s...........................................
Other bonds and secu rities...........
1, 000.00
11,621.29
Furniture and fixtures.....................
28,501.22
B an king house......................................
4,734.73
Item s in transit............. .-....................
215.60
Gash item s.............................................
96,0 29 .6 2
Due from reserve banks'..................
21,1 03 .1 2
C hecks on other banks.....................
C urrency ................................................ 11, 666.00
1.255.00
G old .........................................................
1,825.55
S ilver .......................................................

L IA B IL IT IE S
Capital s to ck .........................................$100 ,0 0 0 .0 0
Certified s u r p lu s .................................
20,000.00
U nd ivid ed p rofits.................................
17,896.43
B ills p a ya b le........................................
45,000.00
Notes red iscou n ted ............................
37,000.00
S avings a ccou n ts................................. 290,872.92
T ru st fu n d s...........................................
7,100.35
In d ivid u a l d ep osits............................ 3 31,959.77
P u b lic fu n d s...........................................
24,707.02
C ertificates o f deposit, dem and....
5,400.00
C ertificates o f "deposit, tim e......... 16,400.00
Certified ch eck s....................................
25.00
C ashier’ s ch eck s.............................
2 ,051.00

Total deposits .............$678,516.06

Total cash and E x.....$136,829.62
Other resources.-..................................
Total




1,259.10

.$898,412.49

Total

$ 898,412.49

R eport

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B a n k C om m issioner

LITTLE ROCK
Pulaski County
E X C H A N G E TRUST CO M P AN Y
Charter No. 522.

Date of Charter, April 23, 1921.

O fficers—Jno. M. Davis, President; R, H. Thompson, B. P. Kidd, A. J. Reap, C. M. Connor, Vice

Presidents; E. M. Harrington, Secretary; W. B. Kennedy, A. A. Condray, Assistant Secretaries.
D irectors— C. N. Alexander, William Back, T. E. Burrow, Jno. M. Davis, S. P. Davis, J. B. Duncan,

B. P. Kidd, C. K. Lincoln, J. T. Lloyd, A. M. McKennon, J. Merrick Moore, R. H. Thompson.
STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts.......................... $ 2 1 2 ,4 9 9 .4 6
63,1 50 .0 0
L oans on real estate..........................
O verd rafts .....................
2 45.80
F urnitu re and fixtures.....................
19,715.51
.C ash item s.............................................
23.71
Due from reserve banks................ 2 1 8 ,21 4 .5 2
3 ,925.41
Checks on other banks.....................
C urren cy ...............................................
1,654.00
S ilver .....................................................
13.57
T otal cash and E x .....$ 22 3 ,8 3 1 .2 1
Other res ou rces ...................................
3 ,195.00
T otal

.................................................. $ 52 2 ,6 3 6 .9 8

L IA B I L I T I E S
C apital s to ck .........................................$ 10 0 ,0 0 0 .0 0
Certified s u r p lu s .................................
10,000.00
U nd ivid ed p rofits...............
9,6 1 4.96
Notes red iscou n ted ............................
22,9 00 .0 0
S avings a ccou n ts................................. 330,88 5 .1 7
In d ivid u a l d ep osits............................. 4 5,6 52 .8 5
C ertificates o f deposit, tim e....................................3,500.00
C ashier’ s ch eck s................................ .
84.00
T otal d eposits ............. $ 38 0 ,1 2 2 .0 2

T otal

.................................................. $ 52 2 ,6 3 6 .9 8

LITTLE ROCK
Pulaski County
PEO PLES S A V IN G S B A N K
Charter No. 9 L

Date of Charter, September 17, 1902.

OFFlCEfes—W. E. Lenon, President; A. J. Mercer, J. H. Hamiter, B. Bodemann, J. F. Lenon, Vice

Presidents; A. J. Mercer, Cashier; H. W. Trigg, Jr., Assistant Cashier; O. D. Hadfield,
Secretary.
D irectors—W. E. Lenon, J. H. Hamiter, J. F. Lenon, B. Bodemann, D. E. Bradshaw, A. J. Mercer,

O. D. Hadfield, H. W. Trigg, Jr.
STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts........................$ 1 ,1 5 5 ,9 7 8 .1 5
L oans on rea l estate.....................
4 51 ,30 2 .7 7
O verd rafts .........................................
3,452.60
13,852.79
Other bonds and securities.........
F urnitu re and fixtures...................
3 ,2 7 9.06
B an kin g hou se.................................
1 7,5 84 .9 5
Other real esta te...........................
2 9,9 98 .5 6
Item s in tra n sit...............................
13,748.37
Cash item s.............................................
8,801.33 ,
D ue from reserve ban ks................
2 34 ,15 1 .4 8
C hecks on other ban ks................
2 5,5 76 .3 2
C urrency ...........................................
4 0,1 64 .0 0
G old .....................................................
18,837.50
S ilv er .......................................................
3 ,1 99.54

L IA B IL IT IE S
Capital s to ck ......................................I
Certified surplus...............................
U n d ivid ed p rofits............................
S avings a ccou n ts...............................
T ru st fu n d s........................................
D ivid en ds u n p aid ............................
In d ivid u a l d ep osits..........................
P u b lic fu n d s......................................
C ertificates o f deposit, tim e.........
Certified ch eck s.................................
C ashier’ s ch eck s...............................
T ota l d ep osits...... $ 1 ,7 6 0 ,2 9 1 .3 7

2 00 , 000.00
4 0,0 00 .0 0
2 1.0 42 .0 4
6 47 ,22 1 .1 9
1,161.86
2 ,080.00
9 36 ,35 9 .1 6
35,1 83 .3 8
71,6 74 .7 0
5 5.5 66 .0 5
11,045.03

Total cash and Ex. $344,478.54
O ther

resou rces...............................

1,405.99

rp0ta l ................................................ $ 2 ,0 2 1 ,3 3 3 .4 1




T otal ................*............................... $ 2 ,0 2 1 ,3 3 3 .4 1

S tate

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123

A rkansas

LITTLE ROCK
Pulaski County
SOUTH ER N TRUST C O M P A N Y
Charter No. 189.

Date of Charter, August 24, 1905.

O fficers—A . B. Banks, President; J. H. Stanley, Vice President; A. C. Conway, Secretary; Beall

Hempstead, Assistant Secretary.
D irectors— Jno. P. Baird, Wm. R Bathurst., R. C. Bright, Elmer E. Clarke, M. W. Elkins, J. H.

Estes, Jno. R. Hampton, Q. L. Porter, C. G. Price, Fred Rossner, Sr., M. B. Sanders, J. Rudy
Smith.
STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
L oans and discou n ts..................... $2,5 78 ,0 1 1 .0 3
L oans on real estate.....................
312,66 5 .4 6
Loans on cotton ...............................
65,350.00
O verdrafts ........................................
545.23
U. S. b on d s........................................
1,088.00
101,700.72
Other bonds and secu rities.........
F urniture and fixtures...................
50,000.00
B an king house.................................
2 50,000.00
4 6,6 11 .6 5
Other real estate............................
Item s in tra n sit..............................
412.02
B ills o f exchange............................
90,679.78
Due from non-reserve ban k s......
94,3 72 .9 4
Cash item s...........................................
6,249.59
D ue from reserve ban k s..............
4 06 ,63 4 .0 5
Checks on other ban ks...................
1 50,239.86
C urrency ...........................................
28,6 16 .0 0
G old ....................................................
1,040.00
S ilver .............
3,360.69

L IA B I L I T I E S
Capital stock ........................... .......... $ 500,000.00
Certified surplus...............................
1 00,000.00
U ndivided p rofits............................
70,624.36
662 ,48 6 .9 7
Savings a ccou n ts............................
Trust fu n d s................................
33,707.27
22,9 35 .5 0
D ividen ds un p aid ............................
In d ivid u a l d ep osits.......................... 2,1 8 7,01 6 .5 3
Due to non-reserve ban k s...........
4 23 ,05 2 .9 2
50,956.50
P u b lic fu n d s ......................................
Certificates o f deposit, dem and..
36,000.00
Certificates o f deposit, tim e........
58,158.75
Certified ch eck s.................................
28,887.47
C ashier’ s ch eck s...............................
1 0,8 48 .4 6
T otal d ep o sits...... $ 3,5 14 ,0 5 0 .3 7
R eserved fo r interest.....................
15,384.34
3,277.58
R eserved fo r taxes..........................
Other liab ilities.................................
14,795.19

Total cash and Ex. $781,604.93

Other resou rces.................................

30,5 54 .8 2

T otal ............................................... $ 4 ,2 1 8 ,1 3 1 .8 4

T otal ................................................$ 4 ,2 1 8 ,1 3 1 .8 4

LITTLE ROCK
Pulaski County
U N IO N & M E R C A N T IL E T R U S T C O M P A N Y
Charter No. 83.

Date of Charter, January 18, 1902.

O fficers— Moorhead Wright, President; E. J. Bodman, Vice President and Secretary; Z. B. Curtis,

Vice President and.Cashier; A. E. Cates, W. R. Snodgrass, Assistant Cashiers.
D irectors— Samuel W. Reyburn, Chairman; F. W. Allsopp, A. Brizzolara, Sr., Mark M. Cohn,

M. W. Hardy, Fred Heiskell, W. L. Hemingway, J. F. Loughborough, C. J. Mansfield, John M.
Moore, C. E. Neeley, C. P. Perrie, George B. Rose, Charles L. Thompson, H. M. Trieber,
H. H. Tucker, Moorhead Wright.
STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
Loans and d iscounts..................... $ 3 ,2 97 ,4 8 8 .9 7
Loans on real estate.......................
1 51 ,62 9 .0 7
Loans on cotton ...............................
587,470.69
O verdrafts .................
4 ,6 1 5.27
U.
S. b on d s......................................
1 78,105.20
Other bonds and secu rities...........
226,65 4 .0 7
F urniture and fixtures...................
12,131.30
Other real estate.............................. . 122,565.33
Item s in transit.......................
2 41,305.71
B ills o f exchange............................
41,778.99
Due from non-reserve b an ks......
7 67,429.95
Cash item s..........................................
6,396.18
Due from reserve banks................
6 40,588.70
Checks on other banks...................
4 1,6 30 .9 5
Currency ...........................................
54,173.00
G old ....................................................
2,365.00
S ilver ..................................................
8,886.42
T otal cash & E x. $1,8 04 ,5 5 4 .9 0
Other resou rces.................................
298,38 1 .3 7
T otal ...




.$6,8 8 3,59 6 .1 7

L IA B IL IT IE S
Capital s to ck ...................................... $ 4 00 ,00 0 .0 0
Certified surplus...............................
200 , 000.00
U n divided profits............................
1 60,059.65
B ills p a ya b le......................................
200 , 000.00
Savings a ccou n ts............................... 1 ,7 1 3,37 3 .5 5
T rust fu n ds........................................
128.470.70
D ivid en ds un p aid ............................
2 ,310.00
In dividual d ep osits..................... .
1 ,6 62,095.91
P u b lic fu n d s...................................... 1 ,022,470.18
Due to non-reserve b an ks...........
801 ,22 6 .7 5
Certificates o f deposit, dem and..
1 23,375.06
Certified ch eck s................................. .
8,088.64
C ashier’ s ch eck s...............................
117,902.81

Total deposits......$5,579,313.60

R eserved fo r interest.....................
R eserved fo r taxes..........................
Other lia b ilitie s...............................

Total

3 ,615.44
27,586.78
313.02 0 .7 0

.$6,883,596.17

R eport

124

of

B a n k C omm issioner

LITTLE ROCK
Pulaski County
W . B. W O R T H E N C O M P A N Y
Charter N o. 94.

Date of Charter, August 4, 1902.

O fficers— Gordon N . Peay, President; George G . Worthen, J. T . Hammond, Jr., Jno. F . Boyle,
V ice Presidents; J. T . Hammond, Jr., Cashier; Jas. B. Pettyjohn, J. H. Penick, Jno. W . Ram­
sey, Assistant Cashiers.
D irectors— Jno. F. Boyle, Hugh D . Hart, G . D . Henderson, Mahlon D . Ogden, Gordon N . Peay,
George G . Worthen, J. T . Hammond, Jr.
S T A T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
L oans and d iscou n ts..................... $ 1,7 8 1 ,7 2 8 .9 7
Loans on rea l estate.......................
338 ,05 4 .7 1
L oans on co tto n ...............................
1 10,450.00
U . S. b on d s ........................................
103,15 0 .0 0
O ther bon d s and securities.........
7 5,2 06 .4 4
F urnitu re and fixtures...................
14,365.29
O ther real estate............................
1 27 ,28 7 .4 8
Item s in tra n sit...............................
4 0 ,5 9 5 .0 4
B ills o f exchange............................
16,206.17
D u e from n on -reserve ban k s......
280 ,38 3 .4 8
Cash item s........................................
21,2 69 .5 3
D ue from reserve ban ks..............
192 ,63 9 .7 8
Checks on other ban ks................
31,9 53 :2 1
C urren cy ...........................................
2 2,6 49 .0 0
G old .....................................................
1,670.00
S ilver ..................................................
3,323.42
T otal cash & E x ..... $610 ,6 8 9 .6 3
7,453.73
O ther resou rces.................................
.$3 ,1 6 8,38 6 .2 5

T otal

L IA B IL IT IE S
Capital stock ...................................... $ 200,00 0 .0 0
Certified surplus...............................
300,00 0 .0 0
U nd ivid ed p rofits............................
437 .85
B ills p a ya b le......................................
187 ,00 0 .0 0
341,50 0 .0 0
N otes red iscou n ted ..........................
S avings a ccou n ts.............................
601 ,10 4 .2 6
D ivid en ds un p aid............................
10,000.00
In d ivid u a l d ep osits.......................... 1 ,1 9 6,27 3 .7 8
P u b lic fu n d s......................................
3 4,1 45 .7 5
Due to non -reserve b an k s...........
63,285.53
C ertificates o f deposit, tim e.......
124,13 3 .7 0
Certified ch eck s.................................
641.75
C ash ier’ s ch eck s......................... —93,1 63 .6 3

Total

deposits......$2,122,748.40

O ther

lia b ilitie s...............................

T otal

16,700.00

.$3,168,386.25

LOGKESBURG
Sevier County
B AN K OF LOCKESBURG
Charter N o. 99.

Date of Charter, October 14, 1902.

O fficers— R. A . Gilliam, President; M . L. Norwood, V ice President; R . S._ Hunsucker, Cashier;
Custer Steel, Assistant Cashier; W . L. Norwood, Assistant Cashier.
D irectors— R . A . Gilliam, T . W . Park, M . L. Norwood, Roy Edwards, R. Sanford, S. E. Gilliam,
Hugh Latimer.
S T A T E M E N T O F D ECEM BER 31, 1921
R E SO U R C E S
L oans and d iscou n ts...................
$ 16 9 ,2 3 1 .4 1
7,597.0(1
L oans on real estate..........................
O verd rafts .............................................
125 .74
O ther bonds and secu rities...........
2,4 3 1.00
F urnitu re and fixtures.....................
2,5 0 0.00
B an kin g h ou se......................................
5,000.00
O ther real estate.................................
1,500.0.0
B ills o f exchange...............................
1 ,627.86
D ue from reserve banks...................
8,760.03
Checks on other ban ks.....................
86.00
C urren cy ................................................ ' 6,4 1 2.00
G old ..........................................................
3 10.00
S ilv er .....................................................
723.97

L IA B IL IT IE S
Capital s to ck ........................................ !
C ertified s u r p lu s .................................
U nd ivid ed p rofits.,...............................
B ills p a ya b le........................................
In d ivid u a l d ep osits............................
P u b lic fu n d s.........................................
C ertificates o f deposit, dem and....
C ashier’ s ch eck s.................................

Total deposits ...............$85,799.81
Other lia b ilitie s....................................

5 0 .0 0 0 .
00
2 5 .0 0 0 .
00
3,0 0 2.34
4 2.5 00 .0 0
55,1 93 .3 4
1 ,077.19
28.5 54 .0 1
975.27
2 .86

Total cash and E x.......$17,919.86
T otal




.$20 6,30 5 .0 1

T otal

.$206,305.01

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A rkansas

LOGKESBURG
Sevier County

PLANTERS BANK
Charter N o. 506.

Date of Charter, February 26, 1920.

O fficers— James S. Steel, President; L. D. McCown, V ice President; L. A , Wardlaw, Cashier;
Bruce S. White, Assistant Cashier.
D irectors— Jas. S. Steel, L. D . MfcCown, J. F. Cannon, F. W . Park, R . W . Grady.
S T A T E M E N T O F DECEM BER 31, 1921
L IA B I L I T I E S
R E SO U R C E S
Capital s to ck ........................................... $35 ,00 0 .0 0
Loans and discou n ts.............................$36,22 9 .4 5
Certified surplus.................................... 3,500.00
L oans on real estate............................
943.34
U ndivided p rofits....................................
744.50
L oans on cotton ...................................
4 10.01
In d ivid u a l d ep osits............................... 17,772.60
O verdrafts ................................................
5.71
C ertificates o f deposit, tim e.............. 3,2 4 9.05
Other bonds and secu rities..............
272.70
C ashier’ s ch eck s....................................
949.46
F urnitu re and fixtures........................ 3,191.10
Total deposits ...............$21,971.11
B an king hou se........................................ 4 ,4 0 0.00
. 12.09
Other lia b ilities......................................
Item s in tra n sit......................................
75.00
Cash item s................................
17.01
D ue from reserve ban ks................... 13,039.77
Checks on other ban ks........................
115.72
Currency ..............
1,881.00
G old ............................................................
485.00
S ilver .......................................................
161.89
T otal cash and E x ....... $15,77 5 .3 9
T otal .................................................... $61,22 7 .7 0

T otal

.................................................. $61,22 7 .7 0

LONDON
Pope County

FARM ERS & M ERCHANTS BANK
Charter N o. 397.

Date of Charter, Decembeb 12, 1912.

O fficers—rL. G . Martin, President; A . B. Sims, V ice President; N . S. Booher, Cashier.
D irectors— L. G. Martin, A . B. Sims, T . B. Booher, J. G. Hickey, R. Hines, N . S. Booher.
S T A T E M E N T O F DECEM BER 31, 1921
R ESO U R C E S
L IA B I L I T I E S
L oans and d iscounts.............................$25 ,87 3 .9 1
Capital stock ........................................ $ 15,000.00
O verdrafts ................................................
78.46
Certified s u r p lu s ................................. .
556.73
1,600.00
2 04.24
U. S. b on d s.............................................
U ndivided p rofits................................. .
Other bonds and secu rities................................... 42.30
B ills p a ya b le........................................
3,000.00
F urnitu re and fixtures.......................
734.27
In d ivid u a l d ep osits............................. 12,961.56
349.62
Due from reserve ban ks.....................
2 ,8 5 5.06
Certificates o f deposit, tim e............
C urrency ........
370.00
Total deposits ...............$13,311.18
G old .........................
50.00
S ilv er ..........................................
4 68.15

Total cash and E x.........$3,743.21
T otal

$ 3 2 ,07 2 .1 5

Total

$ 32,072.15

LONOKE
Lonoke County

BANK OF C E N TR A L ARKANSAS
Charter N o. 36.

Date of Charter, October 3, 1895.

O fficers— D. R. Boone, President; W . Y . Bransford, V ice President; Pat H. Wheat, V ice President;
W. T. Couch, Cashier; E. M . Spencer, Assistant Cashier; Pat H. Wheat, Jr., Assistant Cashier.
D irectors— D. R. Boone, W . Y . Bransford, S. S. Glover, W. P. Fletcher, Jr., W . T . Couch, Pat H .
Wheat, J. N . Eagle.
S T A T E M E N T O F DECEM BER 31, 1921
R ESO U R C E S
L IA B I L I T I E S
Loans and discou n ts.......................... $ 35 6 ,9 4 4 .6 5
Capital s to ck ........................................ $ 25,000.00
79,450.00
Loans on real estate..........................
Certified s u r p lu s .................................... 25,000.00
O verdrafts ......
310.89
U n divided p rofits....................................
12,659.25
U. S. b on d s...........................................
2,600.00
B ills p a ya b le...........................................
40,0 00 .0 0
Other bonds and secu rities................................... 1,750.40
Ind ivid u al d ep osits............................ 322,011.38
Furniture and fixtures...............
2,000.00
P u b lic fu n ds.............................................
75,256.48
B an king house......................................
5,000.00
Due to n on -reserve b an ks..................
20,000.00
Cash item s.............................................
782.25
Certificates o f deposit, tim e...........
10,552.97
Due from reserve ban ks................... 65,010.53
Total deposits .............$427,820.83
Checks on other ban ks...................
1,480.20
C urrency ................................................ 13,922.00
Silver ........................................ .'.............
1,229.16

Total cash and E x.......$82,424.14
Total




$530 ,4 8 0 .0 8

T otal

.$530,480.08

R eport

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B a n k C omm issioner

LONOKE
Lonoke County

LONOKE CO U N TY BANK
Charter N o. 222.

Date of Charter N ovember 10, 1906.

O fficers— W . W . McCrary, President; Chas. G. M iller, V ice President; J. M . Gates, V ice Presi­
dent; W . H. Young, Cashier; H. E. Benton, Assistant Cashier.
D irectors- -W . W . McCrary, J. M . Gates, Chas. A . Walls, L. C. McCrary, W. C. Ellis, Chas. G.
M iller, W . H. Young, T . C. Trim ble, Jr., E. R. Herron.
STA T E M E N T OF DECEM BER 31, 1921
R E SO U R C E S
L IA B IL IT IE S
L oans and d iscou n ts.......................... $ 29 4 ,1 8 2 .6 2
Capital s to ck ........................................ $ 30,000.00
L oans on real estate..........................
26,2 78 .1 8
Certified s u r p lu s .................................
30,0 00 .0 0
118.49
O verd rafts .............................................
U n d ivid ed p rofits.................................
8,2 8 3.24
F urnitu re and fixtures.....................
1,000.00
20,0 00 .0 0
B ills p a ya b le........................................
B an king hou se..........................
4 ,0 0 0.00
In d ivid u a l d ep osits............................ 1 89,414.58
Due from non -reserve hanks....................................2 0,0P
00
0 fu n d s........................................... 123 ,27 7 .5 2
u.0
b lic
Due from reserve banks...................
70,076.66
C ertificates o f deposit, tim e...... .
25,7 66 .6 9
Checks on other ban ks...................
2 ,7 0 2.36
Total deposits ............ $338,458.79
C urrency ................................................
4 ,505.00
G old .........................................................
1,045.00
S ilv er .................................................
2 ,023.72

Total cash and E x.....$100,352.74
O ther res ou rces ...................................
T otal

810.00
.$426,742.03

T otal

.$426,742.03

LOWELL
Benton County

BANK OF LOW ELL
Charter No. 263.

Date of Charter, October 18, 1908.

O fficers— Edward Somers, President; A . C. Mayes, V ice President; W . N . Hurd, Cashier.
D irectors— T . N . Ford, J. T. Howard, W . N . Hurd, W . J. Langley, A . C. Mayes, Edward Somers,
M . M . Hays.
S T A T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
L IA B I L I T I E S
L oans and d iscou n ts.............................$45,71 6 .9 9
Capital s to c k ........................................... $10 ,0p 0 .0 0
L oans on real estate............................ 10,525.00
Certified s u r p lu s ....................................
7,500.00
O verd rafts ................................................
109.01
U nd ivid ed p rofits....................................
294 .86
O ther bonds and secu rities................
197.75
B ills p a ya b le...........................................
5,000.00
F urnitu re and fixtures........................ 1,725.00
In d ivid u a l d ep osits............................... 15,842.21
B an king h ou se.....................................
1,600.00
C ertificates o f deposit, tim e.............. 24,9 98 .5 2
Due from n on -reserve ban ks................................. 286.12
Total deposits ...............$40,840.73
Due from reserve ban ks................... 1,909.13
Other lia b ilitie s......................................
35.22
C urren cy ........
1,028.00
G old .............
30.00
S ilver .......................................................
543.81

Total cash and E x.........$3,797.06
T otal

.$ 63,670.81

T otal

$ 63 ,67 0 .8 1

LUXORA
Mississippi County

L U X O R A B A N K IN G C O M P A N Y
Charter N o. 54.

Date of Charter, September 28, 1899.

O fficers— A lvin Wunderlich, President; G . E. Thompson, V ice President; J. L. Dean, Cashier;
J. A . Rush, Assistant Cashier.
D irectors— A lvin Wunderlich, M . C. Cooke, J. W . Spann, J. E. Permenter, E. R. Bogan (Secretary),
G. E. Thompson, J. I. Mifflin, J. C. Spann, Sam Bowen.
S T A T E M E N T OF DECEM BER 31, 1921
R E SO U R C E S
L IA B I L I T I E S
L oans and d iscou n ts.......................... $147 ,4 4 8 .0 3
Capital s to ck ........................................ $ 50,000.00
L oans on real estate..........................
58,2 55 .1 4
U n divided p rofits.................................
4 ,0 4 9.97
O verd rafts ............................................. '
1 ,206.74
{B ills p ayable “ D eposits on w hich
O ther bonds and securities................................. 430.50m ore than 4 per cent interest
F u rn itu re and fixtures.....................
3 ,423.75
is p a id ’ ’ .............................................
15,000.00
B an kin g h ou se......................................
6 ,729.75
In d ivid u a l d ep osits............................ 1 39,649.19
P u e from non -reserve b an ks....................................104.40
P u b lic fu n d s............................!.............. 42,3 14 .2 3
Due from reserve ban ks................... 29,3 80 .3 9
C ertificates o f deposit, tim e.........
5,235.50
C urrency ................................................
6 ,558.00
C ertificates o f deposit, fo r m oney
S ilv er .............
2 ,712.19
b orrow ed ...........................................
1 5,0 00 .0 0

Total cash and E x.......$38,754.93
T otal

.................................................. $ 2 5 6 ,2 4 8 .8 9

{T h is am ount not added in totals.




Total deposits .............$202,198.92
T otal

,j........$ 25 6 ,2 4 8 .8 9

S tate

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A rkansas

MAGAZINE
Logan County
B A N K O F M A G A Z IN E
Charter N o. 115.

Date of Charter, February 16, 1903.

O fficers— A . M . Leftwich, President; J. A . Newman. V ice President; Claude H . Kyle, Cashier;
Hoyt M . Chitwood, Assistant Cashier.
D irectors— C. C. Leftwich, A . M . Leftwich, I. Peck, J. A . Newrnan, Chas. X . Williams.
STA T E M E N T OF DECEM BER 31, 1921
R E SO U R C E S
Loans and d iscou n ts..........................$
Loans on real estate..........................
Loans on qotton...................................
O verdrafts ......................... :....................
U. S. b on d s...........................................
Other bon d s and secu rities..............
F urnitu re and fixtures.....................
B an king house......................................
Cash item s.............................................
Due from reserve ban ks..................
C urrency ................................................
G old ....................-....................................
S ilver ....................................................

55,941.10
12,337.60
52,564.47
148.54
13,360.00
9,684.27
1.125.00
1.125.00
643.99
16,650.34
3.524.00
1.400.00
1,088.89

L IA B I L I T I E S
Capital stock ........................................ !
Certified s u r p lu s .................................
U ndivided p rofits.................................
B ills p a ya b le........................................
Savings a ccou n ts.................................
In d ivid u a l d ep osits.................'...........
Certificates o f deposit, tim e.........
C ashier’ s ch eck s.................................

12,500.00
5,000.00
7,057.20
30,000.00
792.08
85,345.19,
29,2 10 .9 6
631.77

Total deposits .............$115,980.00

Total cash and E x.......$23,307.22
Other

944.00

resou rces...................................

T otal

.$170,537.20

Total

$ 17 0,537.20

MAGNOLIA
Columbia County
C O L U M B IA C O U N T Y B A N K
Charter N o. 29.

Date of Charter, May 18, 1892.

O fficers— J. O. Hutcheson, President; J. G. Wepfer, V ice President; J. C. M cN eill, Cashier;
C. C. Campbell, Assistant Cashier; R. C. McDaniel, Assistant Cashier.
D irectors-—J. E. Bass, A . M . Grumpier, J. O. Hutcheson, J. L. Jean, J. C. M cN eill, W . W . Sorrells,
J. C Wepfer, H. P. Carrington, C. M . Fomby, C. R. Hutcheson, Sr., C. W . Martel, A . A . Reid,
J. Y . Stevens.
STA T E M E N T OF DECEM BER 31, 1921
R ESO U R C E S
Loans and d iscou n ts.......................... $334 ,0 6 1 .5 1
Loans on real estate..........................
63,009.24
Loans on cotton .................................
566.42
U. S. b on d s...........................................
78,050.00
F urniture and fixtures.....................
2,964.80
B an king hou se..„ .................................
10,7 56 .1 1
Other real estate...............................
1,910.31
Due from non-reserve b an ks.........
68,536.48
Due from reserve ban ks..................
25,325.71
Checks on other banks.....................
2,774.08
C urrency ................................................
5,918.00
G old .............
661.50
S ilver .....................................................
1,192.54

L IA B I L I T I E S
Capital stock ........................................ > 50,000.00
Certified surplus .................................
22.500.00
230.98
U nd ivid ed p rofits.................................
83.385.00
B ills p a ya b le ........................................
46.88
D ividen ds un p aid .................................
Ind ivid u al d ep osits..........................I. 2 50,030.63
72,642.17
P u b lic fu n d s ........................................
Certificates o f deposits, tim e......... 1 13,918.24
5,072.80
C ashier’ s ch eck s.................................

Total deposits .............$441,710.72

Total cash and E x.....$104,408.31
Other

resou rces...................................

Total




2,100.00
.$597,826.70

T otal

.$597,826.70

128

R eport

of

B a n k C om m issioner

MAGNOLIA
Columbia County
FARM ERS BANK & TRUST C O M P A N Y
Charter N o. 217.

Date of Charter, September 26, 1906.

O fficers— T . S. Grayson, President; W. H. Warnock, V ice President; J. B. Lee, Cashier; H .
Reid, Assistant Cashier; M rs. Maude Goode, Assistant Cashier.

A.

D irectors— T . S. Grayson, W . H. Warnock, J. B. Lee, Jas. G . Brown, S. D. Chaffin, J. L . Davis,
C. L Grayson, A . A . Reid, W . B. Robinson, J. F. Runyan, C. W . McKay, J. A . W . Souter,
J. G.‘ Langston, John T . Souter.
v
S T A T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
L oans and d iscou n ts.......................... $ 35 5 ,3 1 6 .2 1
L oans on real estate..........................
73,500.00
L oans on co tto n .................................... 1 06 ,54 3 .3 6
O verd rafts .............................................
68.58
U. S. b o n d s ...........................................
6 1,6 50 .0 0
O ther bon d s and securities..............
4 ,9 3 0.23
F u r n itu ft and fixtures.....................
1,600.00
11,000.00
B an kin g hou se......................................
O ther real estate.................................
1,250.00
D u e from non -reserve ban k s.........
54,7 39 .8 4
D ue from reserve banks...................
52,490.62
C hecks on other ban ks.....................
1,770.23
C urren cy ................................................
18,940.00
G old ..........................................................
9 07.50
S ilver .....................................................
2 ,6 3 0.14

L IA B IL IT IE S
Capital s to ck ........................................ : ! 50,000.00
00
Certified s u r p lu s ................................. 45.000.
2,405.61
U nd ivid ed p rofits.................................
56.000. 00
B ills p a ya b le........................................
In d ivid u a l d ep osits............................ 486,049.79
4,718.14
P u b lic fu n d s .........................................
21,919.63
Due to non -reserve ban k s................
45,040.35
C ertificates o f deposit, tim e...........
203.19
C ash ier’ s ch e ck s.................................

Total deposits .............$557,931.10

O ther lia b ilitie s....................................

36.000.

Total cash and E x.....$131,478.33
T otal

.$74 7,33 6 .7 1

T otal

.$747,336.71

MAGNOLIA.
Columbia County
PEOPLES B A N K
Charter N o. 90.

Date of Charter, May 8, 1902.

O fficers— N . J. Gantt, President; J. L. Davis, V ice President; T . A . M onroe, Cashier; E. C .
Lyle, Assistant Cashier; W . A . Boyd, Assistant Cashier.
D irectors— N . J. Gantt, J. L. Davis, J. O. Hutcheson, T . P. Gantt, W . R. Gantt, T . A . Monroe,
E. C. Lyle, J. M. Kitchens, J. A . Joiner.
S T A T E M E N T OF DECEM BER 31, 1921
L IA B IL IT IE S
R E SO U R C E S
Capital s to ck ........................................ $ 50,000.00
L oans and d iscou n ts.......................... $ 4 1 3 ,5 1 8 .6 7
6 8,5 83 .5 4
50,000.00
L oans on real estate..........................
C ertified s u r p lu s .................................
L oans on co tto n .................................. i 19,355.76
U ndivided p rofits.................................
10,1 77 .7 6
O verd rafts .............................................
36.50
B ills p a ya b le ......................................... 60,0 00 .0 0
D ivid en ds un p aid .................................
U. S. b on d s........................................... 150,55 0 .0 0
200.00
d ivid u a l d ep osits............................ 3 8 0 ,54 2 .4 4
Other bonds and securities.................................... 2 ,3 5In
2.24
F u rn itu re and fixtures.....................
2,438.70
P u b lic fu n d s ...............
5,000.00
O ther real estate.................................
1,533.78
Due to non-reserve b an k s..............
20,0 00 .0 0
Cash item s.............................................
2 ,069.69
C ertificates o f deposit, dem and....
55,314.47
Due from reserve banks................... 66,3 71 .4 2
C ash ier’ s ch eck s.................................
770 .27
C hecks on other ban ks.....................
2 ,827.54
Total deposits ............ $461,827.18
Other lia b ilit ie s -................................. 118,95 0 .0 0
C urrency ................................................
15,7 39 .0 0
G old ..........................................................
1,850.00
S ilver ................................
2 ,378.10

Total cash and E x.......$91,235.75
O ther

resources.

T otal




1,350.00
.$75 0,95 4 .9 4

T otal

.$ 750,954.94

00

S tate

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A rkansas

MALVERN
Hot Spring County
BANK OF M ALVER N
Charter N o. 10.

Date of Charter, June 24, 1889.

O fficers— W . H. Cooper, President; T . R. McHenry, V ice President; A . W . Brassier, V ice Presi­
dent; Robert Smith, Jr., Cashier; W . R. Collie, Assistant Cashier; Chas. S. Smith, Assistant
Cashier.
D irectors— W . H. Cooper,* T . R. McHenry, A . W . Brassier, J. L . Coaker, W . K. Smith, Chas. S.
Smith, J. Elmo Young, Robt. Smith, Jr.
S T A T E M E N T OF DECEM BER 31, 1921
R E SO U R C E S
L oans .and d iscou n ts......................... $846 ,0 7 6 .9 4
76,750.91
Loans on real estate.......................
O verdrafts .............................................
1.964.12
U. S. b on d s........................................... 21,850.00
Other bonds and securities..............
7,490.34
2,809.00
F urnitu re and fixtures.....................
B an king house......................................
4,000.00
Cash item s.............................................
442.32
Due from reserve banks................... 1 09,638.64
Checks on other ban ks.......................
3,170.17
C urrency ................................................ 13,387.00
G old .................................................-.......
4,2 7 0.00
S ilver ....................................................
1,339.83

L IA B IL IT IE S
C apitol stock ........................................ $ 50,000.00
Certified surplus .................................
25,0 00 .0 0
26,2 01 .2 7
U ndivided p rofits....................
Ind ivid u al d ep osits......................... - 2 44,079.98
C ertificates o f deposit, dem and.... 242 ,97 5 .9 1

Total deposits .............$487,055.89
R eserved fo r in terest.............
R eserved fo r taxes................
Other lia b ilitie s...............

1,500.00
1,143.90
2 ,288.21

Total cash and E x.....$132,247.96
.$593,189.27

Total

Total

.$593,189.27

MALVERN
Hot Spring County
FARM ERS & M ERCHANTS BANK
Charter No 426.

Date of Charter, October 3, 1913.

O fficers— T . N. Atchison, President; J. P. Chamberlain, V ice President; George B. Cox, Cashier;
J. A . Birch, Jr., Assistant Cashier.
D irectors— T. N . Atchison, J. P. Chamberlain, R . Y . Phillips, H. B. Means, George B. Cox.
STA T E M E N T OF DECEM BER 31, 1921
R ESO U R C E S
Loans and d iscou n ts..............
$ 101,328.13
Loans on real estate....................
28,745.22
Loans on cotton .................................
18,289.41
O verdrafts ........
1,968.55
U. S. b on d s............ ..............................
6,750.00
Other bonds and securities..............
19,113.60
F urnitu re and fixtures--------- -------2,500.00
B an king house......................................
9,000.00
Cash item s .............................................
48.80
Due from reserve banks..... ,............ 28,001.85
Checks on other ban ks.....................
2,545.60
C urrency ................................................
8,914.00
G old .......................................- ......-........
195.00
Silver .......................................
1,434.57
T otal cash and E x ....... $ 41,139.82
Other resou rces...................................
4 50.00
T otal

..... ..........................-.................$ 229,384.73

{T h is amount not added in totals.




L IA B I L I T I E S
Capital s to ck ........................................$
Certified s u r p lu s ................
U ndivided p rofits..................... .........
B ills p a ya b le.........................
{B ills p ayable “ D eposits on w hich
m ore than 4 per cent interest
is p a id ’ ’ ................................
Savings a ccou n ts.............
D ividen ds un p aid ..... ......................—
In dividu al d eposits...................... —
P u b lic fu n d s....... ................................
Certificates o f deposit, dem and....
Total d eposits .............. $159,868.38

T otal

30,000.00
4,5 0 0.00
9,916.35
25,000.00
39,361.32
8,288.90
50.00
65,098.25
39,361.32
4 7,0 69 .9 1

.............. _ ..................................$229,384.73

130

R eport

of

B a n k C omm issioner

MAMMOTH SPRING
Fulton County
C IT IZ E N S B A N K
Charter N o. 160.

Date of Charter, June 24, 1904.

O fficers— C. W. Dixon, President: G. C. Buford, V ice President; J. L. Dixon, Cashier.
D irectors— G. C. Buford, Wm. Lytle, E. A . Dixon, J. N . Sutherland, Edw. C. Bellamy, M . W.
Nesbit, C. W . Dixon, J. L. Dixon
S T A T E M E N T O F D ECEM BER 31, 1921

RESOURCES
L oans and discou n ts..........................$
L oans on real estate........................
O verd ra fts .............................................
U. S. b on d s ...........................................
O ther bon d s and securities..............
F urnitu re and fixtures........................
B an kin g h ou se......................................
O ther real estate.................................
Item s in tra n sit....................................
D ue from reserve banks..... ;............
Checks on other .banks.....................
C urren cy ................................
G old ..........................................................
S ilv er ...................................

88,6 23 .6 2
19,293.68
6 92.77
225.19
2 0,8 22 .1 1
2 ,177.00
3 ,0 0 5.44
3 ,300.00
17,648.47
14,205.88
273.12
7,215.00
245.00
1,461.57

L IA B I L I T I E S
Capital s to ck ........................................ !
C ertified s u r p lu s .................................
U nd ivid ed p rofits.................................
B ills p a ya b le.........................................
S avings a ccou n ts.................................
In d ivid u a l d ep osits............................
D ue to n on -reserve b an k s..............
C ertificates o f deposit, dem and....
C ashier’ s ch eck s.................................

2 5 .0 0 0 .
00
7,500.00
1,815.52
10 . 0 0 0 .
00
1,107.58
98,5 40 .7 8
1,104.35
31,9 02 .6 5
2 ,217.97

Total deposits .............$134,873.33

Total cash and E x.......$41,049.04
T otal

$ 1 7 9 ,1 8 8 .8 5

Total

.$ 1 79,188.85

MAMMOTH SPRING
Fulton County
PEOPLES B A N K
Charter N o. 519.

Date of Charter, February 8, 1921.

O fficers— John Reed, President; J. E. Ford, V ice President; J. F. Martin, Cashier.
D irectors— John Reed, J. F. Martin, J. E. Ford, H. S. M orris, G . C. Carpenter.
S T A T E M E N T O F DECEM BER 31, 1921

RESOURCES
L oans and d iscou n ts.............................$ 30 ,91 5 .5 4
L oans on real estate................. 1.........
4 0 0 .00 r
O v erd ra fts ................................................
4.95
F urnitu re and fixtures........................ 3,1 6 4.89
D ue from n on -reserve ban k s...........
1,836.07
Due from reserve ban ks................... 2 2,9 83 .6 8
C hecks on other ban ks.......................
165.78
C urren cy ..................................................
3,388.00
G old ............................................................
35.00
S ilv er ...............................
919.92

L IA B IL IT IE S
Capital s to ck ........................................... $ 10 ,00 0 .0 0
C ertified s u r p lu s ....................................
1,804.33
In d ivid u a l d ep osits..... ......................... 36,806.51
C ertificates o f deposit, tim e.............. 15,038.31
C ashier’ s ch eck s....................................
164.68

Total deposits ...............$52,009.50

Total cash and E x.......$29,328.45
T otal




$ 63 ,81 3 .8 3

T otal

$63,81 3 .8 3

S tate

of

A rkansas

131

MANILA
Mississippi County

B A N K OF M A N IL A
Charter N o. 124.

Date of Charter, April 13, 1903.

O fficers— J. M . Hutton, President; H. W . Cowan, V ice President; Geo. A . Henry, Cashier.
D irectors— W . W . Shaver, H . W . Cowan, Jake Rice, H. W . Graham, G . O. Stuart, J. M . Hutton, '
Geo. A . Henry.
STA T E M E N T OF DECEM BER 31. 1921
R E SO U R C E S
Loans and d iscou n ts..........................$ 41,922.58
Loans on real estate..........................
15,462.04
Loans on co tto n ...................................
3,247.69
143.20
O verdrafts .............................................
Other bonds and secu rities..............
18.30
F urnitu re and fixtures.....................
1,350.00
B an king house......................................
2,900.00
Item s in transit.................................
158.40
Cash item s.............................................
76.51
Due from reserve banks................... 57,022.55
C urren cy ................................................
7 ,9 2 7.00
47.50
G old .........................................................
S ilver ...........................................
1,088.79

L IA B I L I T I E S
Capital s to ck ........................................ ;
Certified s u r p lu s .................................
U ndivided p rofits.................................
In d ivid ual d ep osits............................
P u b lic fu n d s.................................. .....
Certificates o f deposit, tim e.........
C ashier’ s ch eck s.................................

1 5.0 00 .
00
11 . 000 .
00
3,850.00
87,814.08
7,619.83
4 ,436.51
1,544.14

R eserevd fo r interest.......................

100.00

Total deposits ............$101,414.56

Total cash and E x.......$66,320.75
T otal

.$ 1 31,364.56

T otal

.$131,364.56

MANSFIELD
Sebastian County

PEOPLES B A N K
Charter N o. 247.

Date of Charter, October 9, 1907.

O fficers— C. C. Graves, President; R. Y . Baldwin, V ice President; V . H . Sorrells, Cashier.
D irectors— W . L. Seaman, R. Y . Baldwin, G. E. Otis, C. C. Graves, T . A . Cherry, G . K. Dixon,
G . C. Packard.
STA T E M E N T O F DECEM BER 31. 1921
R ESO U R C E S
L oans and d iscou n ts................... i.......$ 43,255.08
L oans on real estate............................ 25,460.50
141.63
O verdrafts ...... .“.......................................
U . S. b on d s................................................ 1,700.00
F urnitu re and fixtures.....A ...............
942.01
D u e from reserve ban ks.....................
5,128.18
Checks on other ban ks........................
245.39
C urrency ..................................................
3,660.00
G old ............................................................
127.50
1,146.76
S ilver .......................................................

L IA B I L I T I E S
Capital stock ........................................... $12 ,50 0 .0 0
Certified, s u r p lu s .................................... 2,500.00
U ndivided p rofits.................................... 5,658.52
B ills p a ya b le........................................... 7,500.00
In d ivid u a l d ep osits............................... 19,186.60
P u b lic fu n d s.............................................
1,000.00
Due to non-reserve b an k s................... 12,047.37
Certificates o f deposit, dem and......... 2 1,4 14 .5 6

Total deposits ...............$53,648.53

Total cash and E x.......$10,307.83
T otal

.................................................... $81 ,80 7 .0 5

T otal

.....................................................$81 ,80 7 .0 5

MARIANNA
Lee County

BANK OF COM M ERCE
Charter N o. 491.

Date of Charter, September 10, 1919.

O fficers— W . D. Newbern, President; D. L. Griffis, V ice President; S. H . Crowe, V ice President;
D. S. Clark, Cashier.
D irectors— W . D. Newbern, D. L. Griffis, S. H. Crowe, D. S. Clark.
STA T E M E N T OF DECEM BER 31. 1921
R E SO U R C E S
Loans and discou n ts......................... $230 ,6 8 8 .4 8
Loans on real estate..........................
19,141.08
Loans on cotton ...................................
58,085.88
O verdrafts .............................................
617.79
F urnitu re and fixtures.....................
3,308.20
Due from reserve banks................... 38,4 68 .5 1
Checks on other banks.....................
1,571.41
C urren cy ...............................................
4,6 6 3.00
535.00
G old .........................................................
S ilver ....................................................
4 ,1 8 4.14

L IA B I L I T I E S
Capital s to ck ........................................ $ 50,000.00
Certified s u r p lu s .................................
10,000.00
U ndivided p rofits.................................
12,910.30
B ills p a ya b le........................................
65,000.00
In d ivid ual d ep osits............................ 160 ,24 2 .1 4
P u b lic fu n d s...... .................................... 43,075.58
C ertificates o f deposit, tim e...........
25,878.40
C ashier’ s ch eck s.................................
116.34

Total deposits .............$229,312.46

Total cash and E x.......$49,422.06
Other

resources

T otal




5,959.27
.$367,222.76

T otal

.-...$367,222.76

132

R eport

of

B a n k C om m issioner

MARIANNA
Lee County
B A N K OF M A R IA N N A
Charter No. ,134.

Date of Charter, July 15, 1903.

O fficers— M ax D . Miller, President; O . L. Williamson, V ice President; Hugh M ixon, Cashier;
J. E. Allen, Assistant Cashier; W . E. M cClintock, Assistant, Cashier.
D irectors— M ax D. M iller, P. R . Turner, F. N . Burke, Jacob Shaul, J. R. Felton, R . L. M ixon,
W . R. McClintock, M . H. Ford, O. L. Williamson.
S T A T E M E N T OF DECEM BER 31, 1921
R E SO U R C E S
L oans an d discou n ts.......................... $ 44 9 ,2 9 4 .9 3
L oans on rea l estate..........................
3 7,6 86 .2 1
L oans on cotton .................................... 1 73 ,53 8 .0 5
O verd ra fts '..........................................
578.31
U. S. b on d s ........................................... 3 1,9 00 .0 0
Other bonds and securities..............
842.00
F urnitu re and fixtures.....................
5,717.92
B an kin g h ou se......................................
2 3,2 55 .0 0
Item s in tra n sit............................
100.00
3 ,000.00
Due from n on -reserve b an ks.........
Cash item s.............................................
319.30
D ue from reserve banks................... 4 1,2 09 .7 6
4 ,6 6 4.78
Checks on other banks.....................
C urren cy ..........:..........
2 3,2 92 .0 0
G old ..........................................................
92.50
S ilv er .....................................................
6 ,642.71
T otal cash and E x ....... $ 79 ,32 1 .0 5
O ther resou rces........... •.......................
11,0 38 .7 4
T otal

.................................................. $ 81 3 ,1 7 2 .2 1

L IA B IL IT IE S
C apital s to ck .........................................$ 75,000.00
4 0 ,0 00 .0 0
C ertified surplus.................................
U n d ivid ed p rofits.................................
2 2,1 08 .4 2
B ills p a ya b le......................................... 94,6 18 .0 9
N otes red iscou n ted .............................
2,0 0 0.00
70,275.44
Savings a ccou n ts.................................
In d ivid u a l d ep osits............................ 329,04 4 .1 0
P u b lic f u n d s ......................................... 1 36,466.68
C ertificates o f deposit, tim e...........
34,7 68 .3 0
C ashier’ s ch eck s.................................
6,8 9 1.18

Total deposits .............$577,445.70
Other lia b ilitie s....................................

T otal

2 ,0 0 0.00

.................................................. $ 81 3 ,1 7 2 .2 1

MARION
Crittenden County
C R IT T E N D E N C O U N T Y B A N K & T R U S T C O M P A N Y
Charter N o. 270.

Date of Charter, January 9, 1909.

O fficers— Louis Barton, President; W . S. Danner, V ice President;
President; E. J. White, Cashier.

W . B. Rhodes, A ctive V ice

D irectors— Ed Talbfrt, H. A . M cGee, Geo. W . Patterson, A lbert Horner, H. E. W ilder, Louis
Barton, C. G. Barton, W . S. Danner, E. J. Badinelli, W . B. Rhodes.
S T A T E M E N T OF D ECEM BER 31, 1921
R E SO U R C E S
L IA B I L I T I E S
Loans and discou n ts.......................... $ 27 7 ,3 8 3 .9 0
Capital s to ck .........................................$ 1 0 0 ,0 0 0 .0 0
L oans on real estate.............................4 66 ,45 9 .2 2
Certified s u r p lu s .................................
4 5,0 00 .0 0
O verd rafts .............................................
215.40
U n d ivid ed p rofits.................................
4 ,5 3 4.74
O ther bonds and secu rities..............
31,212.48
Notes red iscou n ted ............................ 2 0 0 ,31 8 .0 6
F urnitu re and fixtures..............
8,031.45
JBills payable “ D eposits on w hich
B an kin g hou se......................................
17,1 00 .0 0
m ore than 4 per cent interest
D ue from n on -reserve ban ks................................. 4 3,4 50is
.0 9 p a id ’ ’ .......................
17,600.00
Due from reserve b an ks.........- .......
44,9 04 .8 2
S avings a cco u n ts.................................
4 1,0 56 .1 2
C urren cy ................................................
10,537.00
In d ivid u a l d e p osits............................ 354 ,06 0 .0 3
S ilv er .....................................................
5,883.28
P u b lic fu n d s......................................... 1 08,513.93
Total cash and Ex.....$104,775.19
C ertificates o f deposit, tim e....................................4 4,7 79 .6 0
C ash ier’ s ch eck s.................................
6,9 1 5.16

Total deposits .............$555,324.84
T otal

.................................................. $ 9 0 5 ,1 7 7 .6 4

$This am ount n ot added in totals.




T otal

.................................................. $ 9 0 5 ,1 7 7 .6 4

S tate

of

A rkansas

133

MARKED TREE
Poinsett County
FARM ERS & M ERCHANTS BANK
Charter N o. 356.

Date of Charter, November 4, 1911.

O fficers— B. F. Taylor, President; S. P. Thompson, V ice President; J. D . DuBard, Cashier; S. S.
M ajor, Assistant Cashier.
D irectors— B. F. Taylor, S. P. Thompson, T . G. Staton, W . H. Powell, W . H. Dilatush, E. P. Burton,
M . P. Kirby, J. Schonberger, J. D. DuBard.
S T A T E M E N T OF DECEM BER 31, 1921
R E SO U R C E S
Loans and d iscou n ts.......................... $ 25 0 ,5 7 1 .6 4
L oans on real estate..........................
85,000.00
Loans on cotton..*.................................
10,000.00
862.77
O verdrafts .............................................
U. S. b on d s...........................................
653.58
Other bonds and secu rities..............
1,000.00
F urnitu re and fixtures.....................
4 ,8 1 6.64
B an king hou se......................................
9,500.00
23,071.09
Due from reserve ban ks................
Checks on other banks.....................
1,731.28
C urren cy ................................................ '7 ,2 7 2 .0 0
G old ................................... - ...................
235.00
S ilver .......................................................
1,814.51

Total cash and E x.......$34,123.88

L IA B I L I T I E S
Capital s to ck ........................................ $ 50,000.00
Certified s u r p lu s .................................
12,500.00
U ndivided profits.................................
38.66
B ills p a ya b le......................................... 1 00,500.00
Notes red iscou n ted ...............................
12,350.00
JBills payable “ D ep osits on w hich
m ore than 4 per cent interest
is p a id ’ ’ ................................i............ 20,0 00 .0 0
Savings a ccou n ts.................................
26,844.17
In d ivid ual d ep osits............................ 134 ,80 4 .7 6
P u b lic fun ds ......................................... 3 6,6 13 .9 4
2 ,633.37
C ertificates o f deposit, tim e.........
Certificates o f deposit, fo r m oney
, borrow ed ...........................................
20,000.00
C ashier’ s ch eck s.................................
243.61

* Total deposits ............ $221,139.85
.$396,528.51

Total

T otal

.$396,528.51

JThis amount not added in totals.

MARMADUKE
Greene County
BANK OF M ARM ADUKE
Charter N o. 131.
O fficers— A . Bertig, President;
Boone, Assistant Cashier.

Date of Charter, June 27, 1903.

Robert Cudd, V ice

President;

A.

E. Randol,

Cashier;

S. F.

D irectors— A . Bertig, Robt. Cudd, W . J. Lively, A . E. Randol, Leon Waxman, J. M . Ramsey,
S. F . Boone.
S T A T E M E N T OF DECEM BER 31, 1921
R E SO U R C E S
Loans and d iscou n ts..........................$ 67,084.42
Loans on real estate..........................
3,810.00
Loans on co tto n .................................
7,294.29
5,039.67
O verdrafts .............................................
Other bonds and secu rities...........
226.10
F urniture and fixtures.....................
1,980.00
B an king house......................................
3,000.00
Other real estate............................
6 ,3 2 6.66
Cash item s ...........................................
22.30
Due from reserve banks................... 17,525.38
Checks on other b an ks...................
2,1 1 3.10
C urren cy ................................................
2,2 5 3.00
G old .........................................................
207.50
S ilver .....................................................
867.19

L IA B IL IT IE S
C apital s to ck ........................................ $
Certified s u r p lu s .................................
U ndivided p rofits.................................
B ills p a ya b le.........................................
In d ivid u a l d ep osits............................
P u b lic fu n d s ........................................
C ertificates o f deposit, tim e...........

15,000.00
7,500.00
1,700.33
15,000.00
54,496.41
3,853.52
20,1 99 .3 5

Total deposits ...............$78,549.28

Total cash and E x.......$22,988.47
T otal




$117 ,7 4 9 .6 1

T otal

$ 117,749.61

R eport

134

B a n k C om m issioner

of

MARMADUKE
Greene County
FARM ERS BANK
Charier N o. 340.

Date of Charter, March 10, 1911.

O fficers-—Eli Meiser, President; J. R . Burks, V ice President; J. W . Lipscomb, Cashier; G . T .
Randol, Assistant Cashier.
D irectors— Eli Meiser, J. G . Meiser, W . F. Kirsch, J . W . Lipscomb, W . B .. Vanarsdel, J. R. Burks.
S T A T E M E N T OF D ECEM BER 31, 1921
R E SO U R C E S
Loans and discou n ts.........................$ 58,363.52
O verd rafts .............................................
94.74
U. S. b on d s...........................................
24,6 00 .0 0
Other bonds and secu rities..............
981.66
F urnitu re and fixtures.....................
1,800.00
B an kin g h ou se.....................
3,4 5 9.80
4,112.89
Due from n on -reserve ban k s........
Cash item s ...........................................
306.25
D u e from reserve ban ks................... 10,432.11
Checks on other ban ks.....................
3,471.10
C urren cy ................................................
893.00
G old ..........................................................
45.00
S ilver ......................
569.35

L IA B IL IT IE S
Capital s to ck ........................................ $
C ertified surplus.....................
U n d ivid ed p rofits.................................
In d ivid u a l d ep osits.............................
C ertificates of deposit, tim e.........
C ash ier’ s ch eck s..........................

15,0 00 .0 0
12,000.00
1,336.63
66,747.29
13,5 67 .5 0
4 78.00

Total deposits ...............$80,792.79

Total cash and E x.......$19,829.70
T otal

.................................................. $109 ,1 2 9 .4 2

T otal

.................................................. $ 1 0 9 ,1 2 9 .4 2

MARSHALL
Searcy County
BAN K OF M AR SH A LL
Charter N o. 520.

Date of Charter, February 14, 1921.

O fficers— Sam G . Daniel, President; H. G. Preece, V ice President; Hardy Kuykendall, Cashier.
D irectors— A . T. Hudspeth, Sam G. Daniel, H. G. Preece, Hardy Kuykendall.
S T A T E M E N T OF DECEM BER 31, 1921
R ESO U R C E S
L oans and d iscou n ts........................... $ 3 2 ,36 2 .4 7
O verd rafts ..............................................
45.34
O ther bonds and securities............
2,010.11
F urnitu re and fixtures......................
3 .600.00
B an kin g hou se.......................................
3 .750.00
Due from n on -reserve ban ks............
1,583.28
Cash item s...... .......................................
143.50
Due from reserve ban ks....................
2 ,9 1 5.96
C hecks on other ban ks......................
1 886.00
C urren cy .................................................
1,848.00
G old ......................................................... .
35.00
S ilver .....................................................
136.06

.

L IA B I L I T I E S
$ 1 0 ,00 0 .0 0
C apital s to ck ....................
Certified s u r p lu s .....................................
1,000.00
U nd ivid ed p rofits...............................
112.25
D ivid en ds un p aid ....................................
5 00.00
In d ivid u a l d ep osits............................... 31,0 23 .2 0
P u b lic fu n d s ............................................ 3 7,0 00 .0 0
C ash ier’ s ch ecks.....................................
680 .27

Total deposits ...............$39,203.47

Total cash and E x......... $8,547.80
T otal




$50 ,31 5 .7 2

T otal

$50,315.72^

S tate

of

A

13S

rkansas

MARVELL
Phillips County

BANK OF M AR V ELL
Charter N o. 109.

Date of Charter, January 8, 1903.

O fficers— S. L. Cooke, President; John L. Turner, V ice President; J. B. Swift, Cashier;
Cooke, Assistant Cashier.
,

Roy

D irectors— S. L. Cooke, John L. Turner, J. B. Swift, L. A . Jackson, V . E. Cooke.
STA T E M E N T OF DECEM BER 31, 1921
R ESO U R C E S
Loans and d iscou n ts....................
$ 178,548.59
L oans on real estate...... .........
45,036.13
Loans on cotton .................................... 40,9 39 .0 8
O verdrafts .............................................
861.26
U. S. b on d s................
20,400.00
Other bonds and secu rities.............
10,506.82
F urniture and fixtures.....................
3,446.80
B an king house...............
15,000.00
Other real estate.................................
700.00
Due from non-reserve b an k s......... 100,348.05
1,738.83
Cash item s.............................................
Due from reserve banks...................- 29,927.28
C urrency ................................................ 13,648.00
G old .........................................................
613.50
S ilver ..........................
2,408.33
T otal cash and E x .....$148 ,6 8 3 .9 9
Other resou rces...................................
53.66
Total

$464 ,1 7 6 .3 3

L IA B IL IT IE S
Capital s to ck ........................................ $ 50,000.00
Certified s u r p lu s ........... .....................
8 , 000.00
U ndivided p rofits....... ...................... .
4,605.70
D ividen ds un p aid .................................
785.00
In d ivid u a l d ep osits............................ 3 62,084.70
14,101.94
P u b lic fu n d s ....... ................................
Certificates of deposit, tim e......... 23,3 89 ,6 6
C ashier’ s ch eck s.................................
691.21

Total deposits .............$401,052.51

Other lia b ilitie s....................................

T otal -

518.12

.$464,176.33

MAYNARD
Randolph County

B A N K ' OF M A Y N A R D
Charter No. 55.

Date of Charter, December 14, 1899.

O fficers— Dr. J. R . Loftis, President; J. B. Weaver, V ice President; Lee Bolin, Cashier.
D irectors— Dr. J. R. Loftis, J. B. Weaver, E. C. Mock, Joe Abbott, Lehman Abbott, J. T , Johnson,
W. L. Johnson.
S T A T E M E N T OF DECEM BER 31. 1921
R E SO U R C E S
L IA B IL IT IE S
L oans and d iscou n ts............................ $30 ,45 2 .2 8
Capital s to ck ........................................... $13,60 0 .0 0
5,100.00
L oans on real estate............................
Certified s u r p lu s .................................... 2,000.00
O verdrafts ...............................................
1.202.04
U ndivided p rofits.................................... 2,495.28
U. S. b on d s.............................................
3,299.50
B ills p a ya b le...........................................
1,500.00
Furniture and fixtures........................ 1,705.90
In d ivid u a l d ep osits............................... 33,072.50
B an king house........................................
1,534.26
P u b lic fu n d s ................................
361.13
Due from reserve ban ks.....................
5,512.35
Certificates o f deposit, tim e................. 2,268.32
C urren cy ..................................................
5,788.00
C ashier’ s ch eck s............- .......
320.77
G old ............................................................
142.50
Total deposits ............... $36,022.72
S ilver ...................................
881.17

Total cash and E x.......$12,324.02
Total

$55,61 8 .0 0

Total

.$55,618.00

McGASKILL
Hempstead County

B A N K O F M c C A S K IL L
Charter N o. 507.

Date of Charter, February 27, 1920.

O fficers-.—C. T . Atkins, President; J. D. Eley, V ice President; William R . Atkins, Cashier.
D irectors— C. T. Atkins, J. D. Eley, William R. Atkins, M rs. C. T . Atkins, D . B. McCaskill.
S T A T E M E N T OF DECEM BER 31, 1921
R E SO U R C E S
L IA B I L I T I E S
Loans and d iscou n ts.......................... $23,56 9 .0 7
Capital s to ck ........................................... $ 15,000.00
U. S. b on d s..............................................
93.20
Certified s u r p lu s ....................................
1,500.00
F urnitu re and fixtures......................
2,842.50
B ills p a ya b le...............................* .........
2,500.00
B an king house.......................................
Savings a cco u n ts....................................
18.31
4 ,300.00
129.06
T ru st fu n d s.............................................
24.83
Due from reserve banks...................
707.00
In d ivid u a l d ep osits............................... 13,403.88
C urrencv ................................................
G old ..........................................................
7.50
C ertificates o f deposit, dem and......
612.50
S ilver .............................. ;.....................
142.02
C ashier’ s ch eck s....................................
430.96

Total deposits ...............$14,490.48

Total cash and E x............. $985.58
Other resou rces....................................
Total




4 ,537.96
.$36,328.31

Other lia b ilitie s......................................
Total

2,837.83

.$36,328.31

R eport

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B a n k C omm issioner

McCRORY
Woodruff County

B A N K OF M cC R O R Y
Charter No. 128.

Date of Charter, June 8, 1903.

O fficers— H. W. Jernigan, President; J. F. Morgan, Vice President; W. E. McCain, Cashier.
D irectors— H. W. Jernigan, J. F. Morgan, E. T. Wherry, L. W. Winfree.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts..........................$ 73,204.22
L oans on real estate..........................
73,712.99
O verd ra fts ........................................
398.49
Other bonds and securities..............
800.07
F u rn itu re and fixtures.......................
1,206.00
B an k in g hou se......................................
2,6 4 6.00
O ther real estate.................................
2,9 4 0.00
D ue from reserve banks................... 174,64 5 .2 6
C urren cy ................................................
13,728.00
G old .............................-...........................
387.50
S ilv er ..................... *.............................
3 ,383.34

L IA B IL IT IE S
Capital stock ........................................ $ 25,0 00 .0 0
C ertified s u r p lu s .................................
15,000.00
U n d ivid ed p rofits................. „ .............
10,882.19
In d ivid u a l d ep osits............................. 166,71 9 .7 5
P u b lic fu n d s ......................................... 105,58 9 .2 6
2 3,9 50 .6 7
C ertificates o f deposits, tim e.........

Total deposits .............$296,259.68

Total cash and E x.....$192,144.10
T otal

.................................................. $ 3 4 7 ,1 4 1 .8 7

T otal

.................................................. $ 3 4 7 ,1 4 1 .8 7

McGEHEE
Desha County

C I T IZ E N S S T A T E B A N K
Charter No. 463.

Date of Charter, May 14, 1917.

O fficers— R. H. Wolfe, President; Dean R. Morley, Vice President; D. O. C. Cleveland, Cashier;

Fay Joyner, Assistant Cashier.
D irectors— R. H. Wolfe, Dean R. Morley, B. C. Pickens, Jo Nichols, Lamar Williamson, W. H.

Paul, R. F. White, W. M. McCloy, D. O. C. Cleveland.
STATEMENT OF DECEMBER 31, 1921
RESOURCES
L oans and d iscou n ts.......................... $ 1 2 7 ,5 2 6 .0 7
L oans on real estate........................ 1 36,902.19
L oans on co tto n .................................... 2 3,3 92 .0 0
U . S. b on d s ...........................................
2 ,100.00
O ther bon d s and secu rities..............
3 ,179.10
F urnitu re and fixtures.....................
2 ,7 8 5.97
Item s in tra n sit........................ .•.........
1,903.68
Cash item s.............................................
1,066.60
D ue from reserve ban ks................... 79,3 47 .3 8
C urren cy ................................................
13,739.00
G old .....................................................
552.50
S ilv er .....................................................
2,9 7 6.73

Total cash and E x.......$99,585.89
O ther resou rces....................................
T otal

Total deposits .............$303,995.42
15,8 31 .0 5

.................................................. $ 41 1 ,3 0 2 .2 7

JThis am ount not added in totals.




L IA B IL IT IE S
Capital s to c k ........................................ $ 50,0 00 .0 0
Certified surplus......................................... 10,000.00
U nd ivid ed p rofits.................................
5 ,442.96
B ills p a ya b le......................................... 4 1,5 00 .0 0
JBills payable “ D eposits on w hich
m ore than 4 p er cent interest
is p a id ’ ’ .............................................. 14,856.85
S avings a ccou n ts.................................
22,8 61 .1 0
D ivid en ds un p aid.................................
32.00
Ind ivid u al d ep osits............................ 2 6 6 ,21 4 .4 7
C ertificates o f deposit, tim e...... —.
1 4,8 56 .8 5
C ashier’ s ch eck s........................... —
31.00
O ther lia b ilitie s....................................
T otal

363.89

.... ..............................................$ 4 1 1 ,3 0 2 .2 7

S tate

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A rkansas

McNEIL
Columbia County

B A N K O F M c N E IL
Charter N o. 208.

Date of Charter, June 30, 1906.

O fficers— J. J. Lusk, President; L. A . Westbrook, V ice President; Jno. E. Blair, Cashier.
D irectors— J. C. Milner, J. G. Wepfer, W . A . Kelly, J. J. Luck, L . A . W estbrook.
STA T E M E N T OF DECEM BER 31, 1921
R E SO U R C E S
Loans and d iscou n ts.............................$39,90 6 .1 0
Loans on real estate............................ 29,487.20
U.
S. b on d s........................................... 4 ,400.00
Furniture and fixtures...........................
1,020.60
B an king hou se...................
1,020.60
Due from reserye ban ks....................... 6,217.60
C urrency ..................................................
4,625.00
G old ............................................................
435.00
S ilver .......................................................
751.34

L IA B IL IT IE S
Capital s to ck ........................................... $15,00 0 .0 0
Certified s u r p lu s .................................... 7,000.00
U ndivided p rofits...................................
3,626.02
Ind ivid u al d ep osits............................... 53,031.75
P u b lic fu n d s ...........................................
540.29
Certificates of deposit, tim e.............. 8,935.38

Total deposits ...............$62,507.42

Total cash and E x.......$11,928.94
Other

270.00

resou rces......................................

Total

.................................................... $ 88 ,13 3 .4 4

T otal

.....................................................$88,13 3 .4 4

McRAE
W hite County

PEOPLES B A N K
Charter N o. 515.

Date of Charter, October 4, 1920.

O fficers— H. W . Lawrence, President; E. N . Goldman, Cashier; G. M . Bennett, Assistant Cashier.
D irectors— H. W . Lawrence, H. F. Hammock, H. E. Herring, Chas. Chambers, C. B. Tucker.
G. T . Hall.
STA T E M E N T OF DECEM BER 31, 1921
R E SO U R C E S Lohns and discou n ts....................... $ 88,313.22
Loans on real estate..........................
17,611.06
O verdrafts .....................
197.79
# th e r bonds and securities..............
3.00
F urniture and fixtures.....................
2,400.00
B an kip g house......................................
2,800.00
1,683.25
Item s in transit........... ;......................
Due from reserve ban ks....... ..........
8,572.62
C urrency ...................
3,660.00
G old .........................................................
87.50
S ilver ....................................................
793.44

L IA B I L I T I E S
Capital s to ck ........................................ S 10,000.00
1 , 100.00
Certified s u r p lu s .................................
1,944.14
U ndivided p rofits.................................
30,000.00
B ills p a ya b le........................................
73,344.53
In d ivid u a l d ep osits............................
1,3 7 6.24
P u b lic fu n d s ........................................
7,022.87
C ertificates o f deposit, tim e...........
1,334.10
C ashier’ s ch eck s.................................

Total deposits ...............$83,077.74

Total cash and E x.......$14,796.81

.$126,121.88

Total

Total

.$126,121.88

MELBOURNE
Izard County

BANK OF M ELBOURNE
Charter N o. 42.

Date of Charter, July 29, 1896.

O fficers— J. B. Baker, President; G . W . Bray, V ice President; R . D. Harris, Cashier.
D irectors— J. B. Baker, G . W . Bray, H. A . Jacobs, R. D. Harris, R ; J. Estes.
S T A T E M E N T OF DECEM BER 31, 1921
RESOU RCES
Loans and d iscou n ts.........................!
Loans on real estate..........................
Loans on cotton ...................................
O verdrafts .............................................
U . S. b on d s........................................
F urnitu re and fixtures.......................
B an king house......................................
Cash item s.............................................
Due from reserve banks...................
Checks on other banks..................
C urrency ...............................................
G old .........................................................
S ilver ....................................................

Total cash and E x.......$34,309.93
Other resou rces...................................
Total




17,083.61
4 0,8 08 .5 5
11,803.52
162.41
9.012.00
1, 000.00
1 , 000.00
987.00
28,0 52 .9 6
1,321.51
3.207.00
660.00
81.46

L IA B I L I T I E S
Capital stock ........................................ :
Certified s u r p lu s .................................
In d ivid u a l d ep osits............................
P u b lic fu n d s ........................................

15,000.00
7,500.00
69,029.18
23,953.92

Total deposits ...............$92,983.10

303.08
.$115,483.10

T otal

.$115,483.10

138

R eport

B a n k C om m issioner

of

MENA
Polk County

FARM ERS & M ERCH ANTS BANK
Charter N o. 193.

Date of Charter, October *12, 1905.

O fficers— M . A . Stratton, President; Clyde Cuningham, V ice President; J. F. H ood, V ice Presi­
dent; E. H. Sapp, Cashier; Monroe Martin, Assistant Cashier.
D irectors— M . A . Stratton, Clyde Cunningham, J. F. Hood, T . R. Jones, Jr., Dr. J. G . Hilton,
E. H. Sapp.
S T A T E M E N T OF DECEM BER 31, 1921
R E SO U R C E S
L I A B IL IT IE S
Loans and d iscou n ts.......................... $ 2 8 2 ,2 9 1 .3 6
Capital s to ck ........................................ ! ; 50,000.00
Loans on real estate..........................
12,000.00
C ertified s u r p lu s .................................
10 , 000.00
O verdrafts ............................................
267.28
U nd ivid ed p rofits.................................
7,220.99
U. S. b on d s ...........................................
8 ,300.00
B ills p a ya b le........................................
10 , 000.00
O ther bonds and securities....................................16,840.39
Notes red iscou n ted ............................
5,000.00
F urnitu re and fixtures.....................
2 ,000.00
S avings a ccou n ts................................. 128 ,16 2 .6 0
B an kin g hou se......................................
15,000.00
In d ivid u a l d ep osits...... ..................... 1 37,798.62
Other real estate.................................
2,272.43
P u b lic f u n d s ........................................
16,779.04
112.30
Item s in tra n sit..........................
Due to n on -reserve b an k s................
2,643.80
Cash item s................................
1 ,206.27
C ertificates o f deposit, tim e...........
2 0,3 32 .4 0
Due from reserve ban ks................... 3 0,1 32 .4 4
Certified ch eck s....................................
30.40
Checks on other ban ks.....................
4 ,500.02
C ash ier's ch eck s.................................
2,5 5 6.95
C urren cy ................................................
11,3 59 .0 0
Total deposits .............$308,303.81
2,380.00
G old ..........................................................
S ilver .....................................................
1,863.31

Total cash and E x.......$51,553.34
Total

.$39 0,52 4 .8 0

T otal

.......$ 3 9 0 ,5 2 4 .8 0

MENA
Polk County

PLANTERS STATE BANK
Charter No. 336.

Date of Charter, A pril 1, 1911.

O fficers— W . W . Townsend, President; W . E. Watkins, V ice President; R. B. Board, Cashier;
Fred C. Embry, Assistant Cashier.
D irectors-—W . W . Townsend, W . E. Watkins, G . W . Petty, Mark P. Olney, W . I. McKinney.
S T A T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
L IA B I L I T I E S
Loans and d iscou n ts.......................... $ 20 8 ,2 3 0 .2 1
Capital stock ........................................ $ 30,000.00
L oans on real estate..........................
21,8 17 .0 0
C ertified s u r p lu s .................................
9,000.#©
O verd ra fts ..................
43.86
U nd ivid ed p rofits.................................
3,973.09
U. S. b o n d s ...........................................
15,931.58
B ills p a ya b le......................................... 15^000.00
O ther bon d s and secu rities....................................15,937.77
In d ivid u a l d ep osits............................ 1 59,164.61
F urnitu re and fixtures.....................
P u b lic f u n d s .........................................
8 ,264.90
1,432.00
B an kin g h ou se......................................
6 ,540.60
D ue to non -reserve b an k s................
4 ,1 4 9.28
Item s in tra n sit....................................
105.00.
C ertificates o f deposit, dem and....
81,955.23
Due from reserve ban ks................... 30,5 81 .7 1
C ash ier’ s ch eck s....................... >........
1,212.41
Checks on other ban ks.....................
3,272.08
Total deposits .............$254,746.43
C urren cy ................................................
4,4 1 0.00
G old ..........................:..............................
2 ,7 1 5.00
S ilv er .....................................................
1,702.71

Total cash and E x.......$42,786.50.
.$ 312,719.52

T otal

T otal

$ 3 1 2 ,7 1 9 .5 2

MIDLAND
Sebastian County

M ID L A N D S T A T E B A N K
Charter N o. 373.

Date of Charter, May 4, 1912.

O fficers— G . C. Packard, President; G. K. Dixon, V ice President; Jerry Bell, Cashier.
D irectors— G. C. Packard, G . K. Dixon, Jerry Bell.
S T A T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
L IA B I L I T I E S
L oans and discou n ts..............
$ 4 9 ,02 9 .0 4
Capital s to c k ........................................... $ 5,275.00
Loans on real estate............................ 11,500.90
Certified s u r p lu s ...................................
3,059.00
O verd rafts ................................................
177.84
U n d ivid ed p rofits....................................
700.62
U. S. b o n d s..........................
2,8 6 0.00
JB ills p ayable “ D eposits on w hich
F urnitu re and fixtures........................ 1 ,175.00
m ore than 4 p er cent interest
B an kin g h ou se........................................
2 ,9 9 2.65
is p a id ’ ’ ................................................
5,500.00
Due from reserve b an ks................... 10,354.12
In d ivid u a l d e p o sits............................... 4 8,8 81 .7 5
C urren cy ..................................................
2 ,9 5 8.00
C ertificates of deposit, tim e.............. 2 3,8 17 .0 0
G old ............................................................
190.00
C ashier’ s ch eck s....................................
893.19
S ilv er .......................................................
1,475.13
Total deposits ...............$73,591.94
Total cash and E x.......$14,977.25
R eserv ed fo r taxes...............................
86.12
T otal

.................................................... $ 8 2 ,71 2 .6 8

JThis am ount not added in totals.




T ota l

$ 82 ,71 2 .6 8

S tate

of

A rkansas

139

MONETTE
Craighead County
C IT IZ E N S B A N K
Charter N o. 275.

Date of Charter, March 26, 1909.

O fficers— A . R . Lunsford (deceased), President; J. E. Goss, V ice President; Robert Braden, A ctive
V ice President; H. S. Bass, Cashier; M rs. Zephia Braden, Assistant Cashier.
D irectors-—J. D. Wallace, C. A . Wallace, Dr. N . H. Grady, J. E. Goss, W . G . Magers, Robt. Braden.
STA T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
Loans and d iscou n ts..........................$ 93,988.23
Loans <Jb real estate.......................... 31,141.01
3.57
O verdrafts .............................................
U. S. b on d s......................................
50.00
F urnitu re and fixtures.....................
3,453.83
B an king house......................................
5,250.00
Item s in tra n sit...................................
1,500.00
D ue from reserve ban ks...................
3,380.98
Checks on other banks...................
801.07
C urrency ................................................
3,957.00
227.50
G old .........................................................
S ilver ..................................................
639.07

L IA B I L I T I E S
Capital stock ..............„ ........................i
U nd ivid ed p rofits.................................
JBills p ayable “ D eposits on w hich
m ore than 4 p er cent interest
is p a id ’ ’ .........................- ..................
In d ivid u a l d ep osits........~..................
P u b lic f u n d s ........................................
Certificates o f deposit, tim e...........
C ertificates o f deposit, fo r m oney
b orrow ed ...........................................

25,0 00 .0 0
432.92
3.540.00
86,871.95
20,319.15
8,2 2 8.24
3.540.00

Total deposits .............$118,959.34

Total cash and E x.......$10,505.62
.$ 1 44,392.26

T otal

Total

.$ 1 44,392.26

$This amount not added in totals.

MONTIGELLO
D re w C ou n ty
C O M M E R C IA L L O A N & T R U ST C O M P A N Y
Charter N o. 396.

Date of Charter, November 29, 1912.

O fficers— G. W . Lambert, President; R. L. Hardy, V ice President; Joe S. Harris, V ice President;
J. D. M cCloy, Cashier; T. A . W ood, Assistant Cashier.
D irectors— L. D. McQuiston, J. R. Dishongh, V . J. Trotter, Jr., G . W . Lambert, Jno. B. Posey,
J. D. M cCloy, Joe S. Harris, M . L. Sigman, R. L. Hardy, M. S. Collins, Lamar Williamson.
S T A T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
Loans and d iscou n ts.......................... $ 139,040.63
L oans on real estate.......................... 11:7,299.86
Loans on cotton ....................................
8,199.23
O verdrafts ........................................................... 74.46
U. S. b on d s............................................. 15,000.00
Other bonds and secu rities.............. 33,989.99
Furniture and fixtures.....................
2,998.00
Other real estate.................................
2 ,153.86
Item s in transit...................................
50.00
Due from reserve banks................... 38,564.72
Checks on other ban ks.....................
628.22
C urrency ................................................
7,423.00
G old .........................................................
885.00
S ilver ....................................................
1 ,040.44

L IA B IL IT IE S
Capital s to ck ........................................ $ 60,000.00
Certified s u r p lu s .................................
70,000.00
U nd ivid ed p rofits.................................
742.44
47,5 00 .0 0
B ills p a ya b le........................................
D ividen ds un p aid .................................
3,000.00
In d ivid u a l d ep osits............................ 116,800.79
Due to n on -reserve b an ks.............. 11,000.00
Certificates o f deposit, dem and.... 58,140.37
C ash ier’ s ch e ck s.................................
217.44

Total deposits ............ $189,158.60

Total cash and E x.......$48,591.38
Other resou rces....................................
T otal

53.63

...... ........................................... $ 36 7 ,4 0 1 .0 4




T otal

.................................................. $ 36 7 ,4 0 1 .0 4

140

R eport

of

B a n k C omm issioner

MONTICELLO
Drew County
DREW C O U N T Y BANK & TRUST C O M P AN Y
Charter N o 517.

Date of Charter, January 7, 1921.

O fficers— L . W . Dillard, President; H. P. Cruce, A ctive V ice President; Jack Curry, V ice Presi­
dent; M . L . Sigmon, V ice President; Guy Stephenson, Cashier; S. B. Jaggers, Assistant Cashier.
D irectors— L . W . Dillard, M . L. Sigmon, H. M . W ilson, Evie Boyd, John W. White, Pat Henry,
Nick Kizer, T . C. Deal, Jack Curry, H . P. Cruce, W . H . McQuiston, W . H. Nunn, C. W.
Porter, E. H. Dozier, C. C . Whittington.
S T A T E M E N T O F D ECEM BER 31, 1921
R E SO U R C E S
L IA B I L I T I E S
L oans and d iscou n ts.......................... $ 34 5 ,2 8 7 .1 1
C apital s to ck .........................................$ 2 0 0 ,0 0 0 .0 0
L aons on real estate.......................... 1 64,325.72
C ertified s u r p lu s ................................. 100,00 0 .0 0
L oans on cotton ............ ....................
15,986.81
U n d ivid ed p rofits.................................
3 ,139.49
3 ,014.42
10,000.00
O verd ra fts ........
D ivid en ds un p aid .................................
U. S. b on d s...........................................
4 2,6 84 .0 0
In d ivid u a l d ep osits............................ 2 35 ,94 1 .7 6
O ther bonds and secu rities....................................2 7,8P74
7 fu n d s...........................................
u .7
b lic
1 ,496.15
F urnitu re and fixtures.....................
2 ,899.53
11,0 00 .0 0
Due to n on -reserve b an ks..............
B an kin g h ou se......................................
4 ,5 0 0.00
C ertificates o f deposit, dem and.... 1 19,877.90
-Cashier’ s ch eck s.................................
O ther real esta te.................................
6 ,639.00
1,071.79
B ills o f exch a n ge.................................
6,461.01
Total deposits .............$379,387.60
Due from reserv e banks................... 4 0,9 19 .5 2
C hecks on other ban ks...................
5,817.09
C urren cy ................................................
12,7 65 .0 0
G old ..........................................................
852.50
S ilv er .........................................-.........
2 ,5 0 0.61

Total cash and E x.......$69,315.73
T otal

$ 6 8 2 ,5 2 7 .0 9

T otal

$ 68 2 ,5 2 7 .0 9

MONTICELLO
Drew County
U N IO N B A N K & T R U S T C O M P A N Y
Charter N o. 448.

Date of Charter, September 15, 1915.

O fficers— V . J. Trotter, President; R. L. Hyatt, E irst V ice President; J. G . W illiamson, Second
V ice President; James Jackson, Cashier; Walter Carter, Assistant Cashier.
D irectors— V . J. Trotter, Walter Lambert, C. T . Harris, E. B. McCullough, Arthur W ells, R . L .
Hyatt, H . M . Wilson, J. G . Williamson, A . T. Cotham, M . Y . Pope, W . R . M cCloy.
S T A T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
L oans and d iscou n ts.......................... $503 ,0 5 5 .6 3
L oans on real estate..........................
74,854.17
Loans on co tto n ....................................
8,885.61
O verd ra fts .............................................
596.27
U . S. b o n d s ...........................................
9 2,6 42 .8 0
52,0 32 .4 3
O ther bon d s and secu rities..............
F urnitu re and fixtures.....................
4 ,0 0 0.00
B an kin g h ou se......................................
2 0,0 00 .0 0
Item s in tra n sit...................................
1,180.64
D ue from n on -reserve b an ks.............
2 2,0 00 .0 0
D u e from reserve ban ks...................
59,4 60 .4 7
C hecks on other ban ks.....................
1,513.27
C u r r e n c y -................................................
12,4 19 .0 0
G old ..........................................................
2,3 2 1.50
S ilv er .......................................................
2,2 1 0.53

L IA B I L I T I E S
C apital stock .........................................$ 1 5 0 ,0 0 0 .0 0
75,0 00 .0 0
C ertified s u r p lu s .................................
6 0 ,3 94 .1 4
U nd ivid ed p rofits.................................
B ills p a ya b le ......................................... 50,0 00 .0 0
Notes red iscou n ted .............................
2 ,160.00
T ru st fu n d s ...........................................
4,0 8 9.63
D ivid en ds un p aid .................................
2 ,0 5 0.00
In d ivid u a l d ep osits............................. 266,78 4 .0 3
P u b lic fu n d s ......................................... 4 3 ,7 92 .8 5
Due to n on -reserve b an ks..............
10,226.28
C ertificates o f deposit, tim e......... 190,66 8 .5 2
C ashier’ s ch eck s.................................
2 ,0 0 6.87

Total deposits .............$519,618.18

Total cash and E x.....$101,105.41
T otal




.$ 8 57,172.32

T otal

.$857,172.32

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141

MONTROSE
Ashley County
BAN K OF M ONTROSE
Charter N o. 327.

Date of Charter, December 16, 1910.

O fficers— W . T. Cone, President; John R . Cone, V ice President; J. E. Lawrence, Cashier.
D irectors— W . T . Cone, John R. Cone, U . J. Cone, Mattie A . Cone, T . R. Pugh.
S T A T E M E N T <)F DECEM BER 31, 1921
R ESO U R C E S
Loans and d iscou n ts.............................$32,27 6 .4 1
Loans on real estate............................ 15,088.47
Loans on cotton ......................................
2,000.00
O verdrafts ................................................
117.90
Other bonds and securities..............
8,988.76
F urnitu re and fixtures........................ 1,531.39
2,500.00
B an king house........................................
O ther real estate....................................
200.00
Cash item s................................................
50.00
7,798.47
D ue from reserve ban ks...,..... ........
C urrency ................ :................................
2,540.00
G old ................................................
185.00
S ilver .......................................................
802.36

L IA B I L I T I E S
Capital s to ck ........................................... $ 10,000.00
Certified s u r p lu s .................................... 6,000.00
U nd ivid ed p rofits.................................... 4,034.58
B ills p a ya b le...........................................
8,000.00
In d ivid u a l d ep osits............................... 20,2 12 .6 5
P u b lic fu n d s .......... ................................
8,609.38
Certificates o f deposit, tim e........... 16,709.61
C ashier’ s ch eck s..............
507.54

Total deposits ...............$46,039.18

Total cash and E x.......$11,870.83
T otal

............................................. .......$74 ,07 3 .7 6

T otal

.....................................................$74,07 3 .7 6

MORO
Lee County
BANK OF M ORO
Charter N o. 346.

Date of Charter, August 22, 1911.

O fficers— A . L. W ilsford, President; R. L. Hartley, V ice President; A . C. Bratcher, Cashier.
D irectors-—A . L. Wilsford, R. L. Hartley, C. E. Dozier, R. R. James, O. F. Lacey, J. L . Miller,
A . C. Bratcher.
S T A T E M E N T OF DECEM BER 31, 1921
R E SO U R C E S
Loans and d iscou n ts.............................$17 ,19 3 .3 4
Loans on real estate.......................... 21,723.69
O verdrafts ................................................
406.47
U. S. b on d s.............................................
272.00
F urnitu re and fixtures........................ 2,095.00
B an king house......................
3,000.00
Cash item s................................................
8.63
Due from reserve banks..... .............
5,572.92
C urrency ..................................................
4 ,282.00
G old ............................. ........... - ...............
70.00
S ilver ................ - - ................................
808.23
T otal cash and E x ....... $10 ,74 1 .7 8
Other resou rces......................................
200.00
T otal

.................................................... $55 ,63 2 .2 8




L IA B I L I T I E S
Capital s to ck ........................................... $ 10,000.00
Certified s u r p lu s ...................
2,000.00
U nd ivid ed p rofits...........................
65.86
B ills p a ya b le........................................... 10,000.00
In d ivid u a l d ep osits............................... 24,383.22
P u b lic fu n d s ...........................................
8,069.76
C ertificates o f deposit, tim e................................. 1,113.44

Total deposits ...............$33,566.42

T otal

............ :...................................... $ 55,632.28

142

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B a n k C om m issioner

MORRILTON
Conway County
B A N K O F M O R R IL T O N
Charter No. 7.

Date of Charter, January 20, 1888.

O fficers—Loid Rainwater, President; R. A. Irving, Vice President; A. C. Stover, Cashier, J. H.

Irving, Assistant Cashier.

D irectors— Loid Rainwater, R. A . Irving, A. C. Stover, Wood Rainwater, W. L. Prseley, W. P.

Strait, J. A. Frisby.
STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts.......................... $ 3 6 7 ,3 9 2 .0 6
L oans on real estate.......................... 166,48 4 .6 0
L oans on co tto n ................................. 1 72,609.63
O verd rafts .............................................
3,489.58
U. S. b o n d s ........................................... 4 7,0 77 .8 5
Other bon d s and securities...........
4 5 2 .5 8
F urnitu re and fixtures.....................
1.500.00
B an kin g h ou se......................................
2 .500.00
Item s in tra n sit...................................
379.40
Due from reserve ban ks................... 49,0 81 .0 5 '
Checks on other ban ks..................
22,203.74.
C urrency ................................................
12,6 43 .0 0
G old ....'....................................................
1,012.50
S ilv er .....................................................
9 ,5 2 8.80

L IA B IL IT IE S
C apital stock ......................................... $ 1 0 0 ,0 0 0 .0 0
C ertified surplus.................................
75,000.00
U n d ivid ed p rofits.................................
1 8,1 67 .1 4
B ills p a ya b le......................................... 9 0 ,0 00 .0 0
In d ivid u a l d ep osits............................ 4 5 7 ,54 4 .5 5
P u b lic fu n d s ........................................
8,500.00
C ertificates o f deposit, tim e......... 110,377.02

Total deposits ............ $576,421.57

Total cash and E x.......$94,848.49

O ther resou rces...................................
T otal

3,2 3 3.92
$ 8 5 9 ,5 8 8 .7 1

T otal

.$859,588.71

MORRILTON
Conway County
R A IN W A T E R B A N K
Charter No. 363.

Date of Charter, December 28, 1911.

D irectors— Wood Rainwater, Cloudy Night Rainwater, Loid Rainwater.

Vice President.
D irectors—Wood Rainwater, Cloudy Night Rainwater, Loid Rainwater.

STATEMENT OF DECEMBER 31, 1921
RESOURCES
L oans and d iscou n ts..............-........... $
L oans on real estate..........................
L oans on cotton .....................
O verd ra fts .............................................
O ther bon d s and securities...........
F urnitu re and fixtures.....................
O ther real estate..................
Due from n on -reserve b an ks.........
Cash item s.............................................
D ue from reserve banks...................
Checks on other ban ks.....................
C urren cy ................................
S ilv er .....................................................

58,238.48
73,000.00
18,207.43
2,6 1 7.69 .
540.00
1,500.00
5,000.00
30,0 00 .0 0
62.50
20,443.72
3 ,9 2 5.04
2 ,185.00
915.03

L IA B I L I T I E S
C apital s to ck ............................ $ ‘ 3 0,0 00 .0 0
Certified s u r p lu s .....................
10,000.00
U nd ivid ed p rofits.....................
3,0 2 1.10
In d ivid u a l d ep osits................ 1 63 ,89 1 .9 4
C ertificates o f d eposits, dem and....
618.85
C ertificates o f deposit,
tim e.........
9,1 0 3.00

Total deposits ............ $173,613.79

Total cash and Ex.?.....$57,531.29
T otal




$ 2 1 6 ,6 3 4 .8 9

T otal

.$2 1 6,63 4 .8 9

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143

MOUNTAIN HOME
Baxter County
FARM ERS & M ERCHANTS BANK
Charter No. 477.

Date of Charter, March 14, 1919.

O fficers— M. L. Mooney, President; J. H. Wayland, Vice President; W. F. Eatman, Cashier;

T. E. Morris, Assistant Cashier.
D irectors— M. L. Mooney, J. H. Wayland, W. J. Baker, J. F. Brumitt, A. A. Wolf.

STATEMENT OF DECEMBER 31. 1921
R E SO U R C E S
Loans and d iscou n ts........................... $ 22 ,47 3 .2 4
Loans on real estate........................... 13,424.43
O verdrafts ................................................
81.67
U . S. b on d s............................................
4,5 0 0.00
Other bonds and secu rities............
1,424.80
2,100.00
F urniture and fixtures.......................
B an king house........................................
4,4 9 8.00
Cash item s................................................ 1,972.15
Due from reserve ban ks.................... 13,884.29
C urrency ................
2,391.00
G old ............................................................
50-00
S ilver .......................................................
616.86

L IA B I L I T I E S
Capital s to ck ........................................... $10 ,00 0 .0 0
Certified s u r p lu s .................................... 1,185.00
U ndivided p rofits...........................,.......
1,813.80
In d ivid u a l d ep osits....... ....................... 43,9 26 .1 9
P u b lic fu n d s ........................................
5,826.56
Certificates o f deposit, tim e.............. 5,526.00

Total deposits ...............$55,278.75

Other lia b ilitie s......................................

32.89

Total cash and E x.......$18,914.30
894.00

Other resou rces......................................
T otal

.................................................... $ 68 ,31 0 .4 4

T otal

.....................................................$68 ,31 0 .4 4

MOUNTAIN HOME
Baxter County
PEOPLES B A N K
Charter No. 215.

Date of Charter, August 10, 1906.

O fficers— C. O. Howard, President; Lon Jones, Active Vice President;

R. S, Hurst, Cashier;

W. N. Baker, Assistant Cashier.
D irectors— C. O. Howard, C. A. Baker, J. H. Conley, C. C. Bryant, Lon Jones.

STATEMENT O F DECEMBER 31. 1921.
R E SO U R C E S
Loans and d iscou n ts.....^......................$46 ,55 9 .8 4
Loans on real estate.......................... 41,5 44 .6 2
O verdrafts .............................................
495.58
U. S. b on d s...... ..............
8,850.00
Other bonds and secu rities..............
2,094.95
Furniture and fixtures................
1,440.00
Other real estate...... ..........................
416.25
Due from non-reserve b an ks.........
8,798.25
Gash item s.............................................
241.46
Due from reserve banks................... 31,010.21
C urrency ................................................
4 ,429.00
G old .......................................................
62.50
S ilver ....................................................
929.99

L IA B I L I T I E S
Capital s to ck ........................................ $ 25,000.00
Certified surplus....................................
4 ,000.00
U ndivided p rofits.................................
1,258.93
In d ivid ual d ep osits............................
95,622.83
P u b lic fu n d s ........................................
3,918.28
C ertificates o f deposit, tim e.........
17,072.61

Total deposits .............$116,613.72

Total cash and E x.......$45,471.41
Total




$ 14 6 ,8 7 2 .6 5

Total

.$146,872.65

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MOUNTAIN VIEW
Stone County

B A N K O F M O U N T A IN V IE W
Charter No. 446. Date of Charter, July 21, 1915.

O fficers— J. L. Lancaster, President; W. H. Miller, Vice President; A . A. Lancaster, Cashier;

Soddie Lancaster, Assistant Cashier.
D irectors— J. L. Lancaster, W. M. Miller, H. R. Case, J. W. Webb, C. W. Looney.

STATEMENT OF DECEMBER 31. 1921
R E SO U R C E S
L oans and d iscou n ts..........................$ 62,4 05 .8 9
L oans on rea l estate..........................
6,7 5 4.00
U . S. b o n d s ...........................................
9 ,700.00
O ther bonds and securities..............
2 ,7 2 7.40
F urnitu re and fixtures.....................
2 ,5 0 0.00
B an kin g hou se......................................
1,950.00
D ue from n on -reserve b an ks...........
2 ,505.82
Cash item s.............................................
3 41.78
D ue from reserve banks................... 2 8,5 46 .0 7
C urren cy ................................................
3,5 5 5.00
G old .............
9 55.00
S ilver .....................................................
1,192.51

L IA B IL IT IE S
-Capital s to ck ........................................ $
Certified s u r p lu s .................................
U nd ivid ed p rofits.................................
In d ivid u a l d ep osits............................
P u b lic f u n d s .........................................
C ertificates o f deposit, tim e.........

Total deposits ...............$98,258.32

20,0 00 .0 0
3,000.00
1,875.15
73,196.67
11,7 40 .6 5
13,321.00

Total cash and E x.......$37,096.18
.$12 3,13 3 .4 7

T otal

T otal

.$ 1 23,133.47

MOUNT HOLLY
Union County

BANK OF M O U N T H O LLY
Charter No. 499.
Date of Charter, December 3, 1919.

O fficers— J. H. Freeman, President; S. W. Junkin, Vice President; H. T. Patton, Cashier.
D irectors— J. H. Freeman, S. W. Junkin, H. T. Patton, W. J. Cox, J. H. Smith, W. H. Hawkins,

K. L. Davis, J ,B Wells
STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and discou n ts.......................... $ 1 1 6 ,0 3 5 .5 6
2 6,0 86 .2 5
L oans on real estate..........................
L oans on co tto n ...................................
4 5,6 89 .1 7
O verd rafts .............................................
751.91
U. S. b on d s ........................................
11,801.31
Cash item s.............................................
19.00
D ue from reserve ban ks...... ............ 31,348.70
Checks on other banks..... ...............
2,2 1 9.67
C urrency ................................................
4,3 5 6.00
G old ............................................ - ..........
535.00
S ilver .....................................................
4 16.68

L IA B IL IT IE S
Capital s to ck ........................................ $ 2 5,0 00 .0 0
Certified s u r p lu s .................................
2 5,0 00 .0 0
B ills p a ya b le ......................................... 15,000.00
In d ivid u a l d ep osits............................ 1 41 ,31 0 .4 6
P u b lic funds .........................................
820.49
C ertificates o f deposit, dem and.... 25,112.23
7,016.07
C ashier’ s ch eck s.................................

Total deposits ............ $174,259.25

Total cash and E x.......$38,895.05
T otal

$ 2 3 9 ,2 5 9 .2 5

T otal

$ 2 3 9 ,2 5 9 .2 5

MOUNT IDA
Montgomery County

M ONTGO M ERY C O U N TY BANK
Charter No. 153. Date of Charter, March 4, 1904.

O fficers— L. C. Acruman, President; O. M. Radford, Vice President; Harold Watkins, Cashier.
D irectors— L. C. Acruman, O. M. Radford, Harold Watkins, C. A. Smith.

STATEMENT OF DECEMBER 31, 1921
RESOURCES
L oans and d iscou n ts.............................$ 51 ,59 4 .7 9
L oans on real estate............................
7,000.00
O verd rafts ................................................
501.87
U. S. b on d s —.......................
11,350.00
Other bon d s and secu rities..............
1,936.30
F urnitu re and fixtu res...................
1 ,466.25
B an kin g hou se........................................
1,200.00
Other real estate....................................
890.00
D ue from non-reserve ban k s...........
1,227.71
Cash item s.............................................. « 1,150.62
D ue from reserve ban ks..................... 12,8 15 .0 8
C urren cy ....................................
3,632.00
G old ..........
20.00
S ilver .......................................................
9 58.28

L IA B IL IT IE S
Capital s to ck ...........................................$ 7,425.00
C ertified s u r p lu s .................................... 2,500.00
U n divided profits.................................... 3,281.36
B ills p ayable........................................... 11,994.76
In d ivid u al d ep osits............................... 50,074.74
P u b lic fu n d s ...........................................
5.822.22
Certificates o f deposit, dem and...... 12,853.61
C ashier’ s ch eck s....................................
1,712.29

Total deposits ...............$70,462.86
R eserved

fo r taxes...............................

78.92

Total cash and E x.......$19,805.69
T otal




.$95 ,7 42 .9 0

T otal

$ 95 ,74 2 .9 0

S tate

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rkansas

MOUNT PLEASANT
Izard County

BANK OF BAR R EN FORK
Charter No. 425. Date of Charter, October 30, 1913.

O fficers— W. K. McSpadden, President; J. P. Davidson, Vice President;, A. J. Younger, Cashier;

W. B. Younger, Assistant Cashier.
D irectors— W. K. McSpadden, J. P. Davidson, A. J. Younger, S. P. Thompson, W. B. Younger.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
Loans and 'd iscoun ts.......................... ! 8 ,675.97
Laons on real estate.................. ........ 14,223.81
O verdrafts ..............................................
7.04
U . S. b on d s...........................................
3 .950.00
F urnitu re and fixtures........................
800.00
B an king hou se.......................................
550.00
Other real estate.................................
1, 000.00
Cash item s..............................................
11.08
Due from reserve banks................... 18,087.23
C urrency ................................................
2.009.00
G old ..........................................................
135.00
S ilver ......................................................
238.46

L IA B IL IT IE S
Capital s to ck ........................................... $10 ,00 0 .0 0
Certified s u r p lu s .................................... 1,300.00
U n divided p rofits...................................
1,072.75
In d ivid u a l d ep osits............................... 33,471.03
Certificates o f deposit, tim e.............. 3,594.83
C ashier’ s ch eck s....................................
248.98

Total deposits ...............$37,314.84

Total cash and E x.......$20,480.77
T otal

.$49,687.59

T otal

$ 49,687.59

MULBERRY
Crawford County

BANK OF M ULBERRY
Charter No. 81. Dste of Charter, January 15, 1902.

O fficers— H. A. Beneaux, President; J. D. Jackson, Vice President; M. C. Alexander, Cashier;

Horace Wagner, Assistant Cashier.
D irectors— H. A. Beneaux, M. C. Alexander, J. M. Farmer, J. D. Alexander, J. D. Jackson.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
Loans and discou n ts..........................$ 1 1 6 ,0 3 5 .5 6
Loans on real estate.......................... 26,0 86 .2 5
Loans on cotton ...................................
45,6 89 .1 7
751.91
O verdrafts ......................................
U. S. b on d s...........................................
11,801.31
Cash item s.............................................
19.00
D ue from reserve banks................... 31,348.70
Checks on other ban ks...................
2 ,219.67
C urrency ................................................
4 ,356.00
535.00
G old ........
S ilver ...............................
4 16.68

L IA B IL IT IE S
Capital s to ck ........................................ $ 25,000.00
Certified s u r p lu s .................................
25,000.00
15,000.00
B ills p a ya b le........................................
Ind ivid u al d ep osits............................ 1 41,310.46
P u b lic fu n d s ............. ..........................
820.49
Certificates o f deposit, tim e...........
25,112.23
C ashier’ s ch eck s...................... —..........
7,016.07

Total deposits .............$174,259.25

Total cash and E x.......$38,895.05
T otal

$ 2 3 9 ,2 5 9 .2 5

Total

.$239,259.25

MULBERRY
Crawford County

FARM ERS & M ERCH ANTS BANK
Charter No. 200. Date of Charter, December 7, 1905.

O fficers—James Farmer, President; G. L. Wisdom, Vice President; S, B. Hawkins, Cashier; J. J.

Selby, Assistant Cashier.
D irectors— S. B. Hawkins, B. Jordan, E. B. Whitlock, B. J. Farmer, G. L. Wisdom.

STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
Loans and d iscou n ts.......................... $ 17 1 ,2 5 2 .3 4
L oans on real estate..........................
15,000.00
Loans on cotton ...................................
31,800.00
O verdrafts .........................
212.30
F urniture and fixtures.....................
9 11.25
B an king hou se.............................
3,000.00
Cash item s.............................................
93.05
Due from reserve banks................... 22,769.83
Checks on other banks.....................
1,432.64
C urrency ................................................
4 ,091.00
Silver ..................
829.33

L IA B IL IT IE S
Capital stock .........................................$ 25,000.00
21,600.00
Certified s u r p lu s ..... ...........................
3,880.76
U ndivided p rofits.................................
21,7 51 .3 5
B ills pa ya b le........................................
Notes red iscou n ted............................
28,800.00
Ind ivid u al d ep osist........... ................ 101,663.87
784.61
P u b lic fu n d s ........................................
Certificates o f deposits, tim e......... 46,614.43
1,296.72
C ashier’ s ch eck s.................................

Total deposits .............$150,359.63

Total cash and E x.......$29,215.85
Total




$ 2 5 1 ,3 9 1 .7 4

T otal

.$251,391.74

R eport

146

of

B a n k C omm issioner

MURFREESBORO
Pike County

PIK E C O U N T Y B A N K
Charter No. 175.

Date of Charter, December 19, 1904.

O fficers— J. C. Pinnix, President; T. F. Alford. Vice President; O. B. Owens, Vice President;

J. N. Hipp, Cashier; C. H. Rutherford, Assistant Cashier.
D irectors—J. C. Pinnix, O. B. Owens, T. F. Alford, J. N. Hipp, J. E. Terrell, J. M. Kizzia,

D. Whitten.
STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts........... _ ............$ 6 8,7 17 .2 9
28,7 35 .1 2
L oans on real estate..........................
U. S. b on d s ..........................................
8 ,000.00
O ther bon d s and securities..............
8 ,2 5 8 .2 3
F urnitu re and fixtures.....................
2 ,700.60
B an kin g hou se......................................
3 ,600.00
Item s in tra n sit....................................
210.00
D u e from reserve ban ks.................
2 0,2 82 .9 2
C urrency ................................................
4 ,0 5 1.00
G old ..........................................................
3 ,875.00
S ilv er .....................................................
707.28

L IA B IL IT IE S
Capital s to ck .........................................i
C ertified s u r p lu s .................................
U n d ivid ed p rofits.................................
D ivid en ds un p aid .................................
In d ivid u a l d ep osits............................
P u b lic fu n d s ........................................
C ertificates o f deposit, dem and....
C ashier’ s ch eck s.................................

2 5,0 00 .0 0

6, 000.00
6 ,9 4 0.54
1,135.00
78,5 52 .5 1
12,401.83
18,9 37 .0 4
362.91

Total deposits .............$111,389.29

Total cash and E x.......$29,126.20
Other

resou rces...................... .............

192.99
$ 1 4 9 ,3 2 9 .8 3

T otal

T otal

$149 ,3 2 9 .8 3

NASHVILLE
Howard County

B A N K O F N A S H V IL L E
Charter No. 372.

Date of Charter, May 3, 1912.

O fficers— C. C. Ramsey, President; J. B. Hill, Vice President; C. F. Hill, Cashier.
D irectors— C. C. Ramsey, J. B. Hill, Dr. W. M. Gibson, J. H. Hutchinson, C. F. Hill.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts.......................... $ 15 4 ,3 4 6 .4 2
L oan on rea l estate..........................
4 0 ,4 9 3 .3 4
L oans on co tto n .................................
5 ,625.00
O ther bon d s and securities...........
894.15
F u rn itu re and fixtures.....................
2,4 6 5.00
B ills o f exch a n ge...............................
2,6 2 6.90
Cash item s.............................................
219 .66
D ue from reserve banks...................
8 ,539.30
C hecks on other ban ks.....................
8,437.65
C urrency ................................................
2 ,131.00
G old ..........................................................
3 ,110.00
S ilver ...........................................
729.34

L IA B I L I T I E S
Capital s to ck ........................................ !
Certified s u r p lu s .................................
B ills p a ya b le........................................
S avings a ccou n ts................ .................
In d ivid u al d eposits............................
P u b lic f u n d s .........................................
C ertificates o f deposit, dem and....
C ash ier’ s ch eck s.................................

2 5,0 00 .0 0
5,000.00
67,5 00 .0 0
11,3 49 .0 4
9 6,2 95 .6 5
7,957.29
15,9 32 .1 5
701.15

Total deposits .............$132,235.28

Total cash and E x.......$65,793.85
O ther

resou rces....................................

T otal




99.52
$ 22 9 ,7 3 5 .2 8

T otal

.$229,735.28

S tate

of

147

A rkansas

NASHVILLE
Howard County

PLANTERS BANK & TRUST C O M P A N Y
Charter No. 67.

Date of Charter, January 1, 1901.

O fficers— W. H. Toland, President; A. C. Ramsey, Vice President; George H. Bell, Cashier; A. H.

Hughes, Assistant Cashier.
D irectors—W. H. Toland, George H. Bell, S. B. Dildy, A. C. Ramsey, W. M. Gibson, J. B. Hill,

J. F. Price, C. L. Haller, C. G. Hughes, J. N. Rector.
STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
Loans and d iscou n ts.......................... $ 54 4 ,3 3 2 .7 7
Loans on real estate.......................... 113,85 6 .1 6
Loans on cotton .................................
18,217.32
U. S. b on d s.............................................
46.6 00 .0 0
36,848.40
O ther bonds and secu rities...........
8,4 1 5.95
F urnitu re and fixtures.......................
3 ,963.86
B an king hou se......................................
3,095.32
O ther real estate.................................
B ills o f exchange.................................
1,689.47
82,553.96
Due from reserve ban ks..................
13,042.62
Checks on other ban ks.....................
C urren cy ................................................ 10.171.00
1.270.00
G old .........................................................
S ilver ....................................................
2 .304.01

L IA B IL IT IE S
Capital s to ck ........................................ $ 75,000.00
Certified s u r p lu s .................................
50,000.00
U ndivided p rofits.................................
9,960.38
B ills p a ya b le.........,.............................. 140,000.00
Savings a ccou n ts................................. 1 39,451.86
In d ivid ual d ep osits............................ 4 01 ,83 3 .3 6
P u b lic fu n d s ....... ................................
19,830.90
Due to n on -reserve b an ks..............
3,823.28
Certificates o f deposit, dem and....
4 ,466.86
C ashier’ s ch eck s.................................
10,058.20

Total deposits ............ $579,464.46
Other

lia b ilities....................................

43,1 00 .0 0

Total cash and E x.......$111,031.06
Other

resou rces...................................

11.164.00
.$8 9 7,52 4 .8 4

Total

Total

.$897,524.84

NETTLETON
Craighead County

BANK OF NETTLETON
Charter No. 150.

Date of Charter, February 13, 1904.

O fficers— Henry Kiech, President; Fred Shauver, Vice President; W. S. Johnson, Cashier; C. M.

Boydstun, Secretary.
D irectors— Henry Kiech, Fred Shauver, J. C. Howell, L. D. Kiech, C. M. Boydstun, J. E. Parr,

L. A. Ritter.
STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts..........................$ 84,0 80 .6 6
Loans on real estate....................... __ 29,165.00
Other bonds and secu rities..............”
1,227.76
F urnitu re and fixtures.....................
1,300.00
B an king house......................................
2 ,000.00
Other real estate.................................
2 ,500.00
Cash item s.............................................
, 451.25
Due from reserve ban ks................
21,8 92 .2 8
C urrency ................................................
4,2 4 2.00
G old ...r....................................................
2.50
S ilver .....................................................
688.88

L IA B I L I T I E S
Capital s to ck ........................................ $
Certified s u r p lu s ....................................
U nd ivid ed p rofits.................................
B ills p a ya b le........................................
In d ivid u a l d ep osits............................
P u b lic fu n d s ........................................
Certifictaes o f deposit, tim e...........
C ashier’ s ch eck s.................................

10, 000.00
2 3 .0 0 0 .
00
5,704.49
2 5 .0 0 0 . 00
44,941.32
15,996.14
22,6 07 .2 7
301.11

Total deposits ...............$83,845.84

Total cash and E x.......$27,276.91
Total




$ 147,550.33

T otal

.$147,550.33

148

R eport

of

B a n k C omm issioner

NEW EDINBURG
Cleveland County

B A N K O F N E W E D IN B U R G
Charter N o. 165.

Date of Charter, August 22, 1904.

O fficers— E. M . Attwood, President; C. B. Attwood, V ice President; E. T . Attwood, Cashier;
H. G. Attwood, Assistant Cashier.
Directors— E. T . Attwood, E. M . Attwood, C. B. Attwood, W . F. Attwood, J. O . Vance.
S T A T E M E N T O F DECEM BER 31. 1921
R E SO U R C E S
L oans and d iscou n ts.............................$ 11 ,82 5 .3 0
L oans on real estate............................ 3 1,7 68 .0 0
2 ,600.00
L oans on cotton ......................................
O verd rafts ................................................
1 3 .8&
U. S. b on d s..........................:.................. 10,0 00 .0 0
O ther bonds and secu rities..............
1,765.77
F urnitu re and fixtures........................ 1,2 5 0.00
900 .00
B an king hou se........................................
Due from reserve b an k s................... 2 1,2 47 .1 5
C urrency ..................................................
3,9 8 4.00
G old ............................................................
375.00
S ilver .........
421 .87

L IA B IL IT IE S
C apital s to ck ........................................... $ 12 ,50 0 .0 0
C ertified s u r p lu s .................................... 15,000.00
U n d ivid ed p rofits....................................
1,250.00
In d ivid u a l d ep osits............................... 3 2,6 31 .2 0
P u b lic fu n d s ...........................................
3 ,390.74
C ertificates of deposit, dem and.... 21,379.03

Total deposit^ ...............$57,400.97

Total cash and Ex.......$26,068.02
T otal

................ : ...................................$86 ,1 5 0 .9 7

T otal

.....................................................$ 86 ,15 0 .9 7

NEWPORT
Jackson County

AR K AN SAS BANK & TRUST C O M P A N Y
Charter N o. 105.

Date of Charter, December 6, 1902.

O fficers— Chas. G . Henry, President; A lcorn Ferguson, V ice President; John E. W illiams, Cashier;
E. E. Best, Assistant Cashier.
D irectors— Chas. G. Henry, A . Ferguson, John E. Williams, Garland Hurt, C. J, Saenger, M . A .
Stevens, P. H. Van Dyke, E. L. Boyce, M . B. Hare, R. F. Drummond.
S T A T E M E N T O F D ECEM BER 31, 1921
R ESO U R C E S
L oans and d iscou n ts...............
$ 51 8 ,5 9 1 .9 0
L oans on rea l estate.......................... 313 ,13 1 .3 8
L oans on cotton .................................
17,601.99
O verd rafts .............................................
1,579.22
Other bonds and securities..............
1 1,7 62 .2 6
B an k in g hou se......................................
50,0 00 .0 0
Other real estate.................................
314 .14
Item s in tra n sit...............................
10.50
D ue from non-reserve ban k s.........
93.508.83
Cash item s.............................................
1,342.83
Due from reserve ban k s................... 4 4,8 14 .7 2
Checks- on other banks.....................
5,970.45
C urren cy ................................................ 19,0 12 .0 0
S ilv er .....................................................
11,317.83

L IA B IL IT IE S
C apital s to ck ........................................ $ 2 0 0 , 0 0 0 .0 0
Certified s u r p lu s .................................
3 5,0 00 .0 0
U nd ivid ed p rofits.................................
15,2 30 .0 5
Notes red iscou n ted ............................
3 6,8 31 .6 4
S avings a ccou n ts.................................
92,1 76 .7 0
In d ivid u a l d ep osits...... ..................... 5 30,544.20
P u b lic f u n d s ......................................... 9 0,6 85 .8 5
72,450.66
D ue to non -reserve b an k s.............
19,357.28
C ertificates o f deposit, dem and....
3 ,731.67
C ash ier’ s ch eck s.................................

Total deposits .............$808,946.36

Total cash and Ex.....$175,977.16
O ther

resources.

T otal




7,050.00
.$ 1 ,0 9 6,00 8 .0 5

T otal

.$1 ,0 9 6,00 8 .0 5

S tate

of

A rkansas

149

NIMMONS
Clay County

B A N K O F N IM M O N S
Charter No. 312. Date of Charter, June 18, 1910.

O fficers— Chas. H. Williams, President;

Cashier.

Lawrence V . Huber, Vice President; P. W. McBride,

D irectors— Chas. H. Williams, Lawrence V . Huber, P. W. McBride.

STATEMENT OF DECEMBER 31. 1921
RESOURCES
L IA B I L I T I E S
L oans and d iscou n ts............................ $ 14 ,33 4 .4 7
Capital s to ck ........................................... $ 5,000.00
Certified s u r p lu s ....................................
560.00
L oans on real estate................................. 5,433.72
O verdrafts ................................................
10.92
U ndivided p rofits....................................
278.59
F urnitu re and fixtures.......................
1,649.58
B ills p a ya b le...........................................
2,000.00
B an king house........................................
1,031.90
In d ivid u a l d ep osits............................... 11,4 96 .3 4
Other real estate.................................... 1,151.88
752.70
P u b lic f u n d s ...........................................
Due from n on -reserve b an k s................................. 417.09
Certificates o f deposit, tim e..............
7,000:00
Cash item s...............................................
1,312.50
431.25
C ashier’ s ch eck s..................... ..............
Total deposits ...............$19,680.29
Due from reserve ban ks.....................
1,154.54
719.00
C urrency ..................................................
S ilver .......................................................
303.28

Total cash and E x......... $3,906.41
T otal

.....................................................$27 ,51 8 .8 8

T otal

.....................................................$27 ,51 8 .8 5

NORFORK
Baxter County

C IT IZ E N S B A N K
Charter No. 413. Date of Charter, March 3, 1913.

O fficers— W. M. Hogan, President; Chas. A. Blevins, Vice President; A. H. Matthews, Cashier.
D irectors— Chas. A. Blevins, Mattie L. Hogan.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
Loans and d iscou n ts............................ $ 9,3 3 4.34
1,325.00
L oans on real estate............................
L oans on cotton ......................................
750.00
O verdrafts ...............................................
60.76
2,418.00
U . S. b on d s.............................................
F urniture and fixtures.......................
1,428.50
B an king house........................................
1,250.00
Item s in tra n sit......................................
248.25
Due from reserve ban ks..................... 23,8 99 .7 6
Checks on other ban ks........................
75.41
C urrency ..................................................
961.00
G old ............................................................
55.0Q
S ilver ...............
497.48

L IA B I L I T I E S
Capital s to ck .........................................
Certified surplus....................................
U ndivided p rofits..................................
In d ivid u a l d ep osits.............................

Total deposits ...............$35,348.64

! 5,000.00
1,280.00
674.86
35,3 84 .6 4

Total cash and E x.......$25,736.90
T otal

.$42,303.50

T otal

.$42,303.50

NORTH LITTLE ROCK
Pulaski County

T W IN C IT Y B A N K
Charter No. 157. Date of Charter, April 30, 1904.

O fficers— M. L. Altheimer, President; H. O. Topf, Vice President; R. J. Rice, Cashier,
D irectors— M. L. Altheimer, Henry O. Topf, Ed Wright, R. J. Rice.

STATEMENT OF DECEMBER 31, 1921
RESOURCES
Loans and d iscou n ts.......................... $243 ,6 5 6 .8 9
Loans on real estate..........................
87,994.96
U. S. b on d s............................
1,750.00
B onds to secure postal saVings.... 10,330.00
F urniture and fixtures.......................
1,965.00
B an king house......................................
18,800.00
Cash item s.............................................
1,100.00
D ue from reserve banks................... 115,876.73
Checks on other ban ks................... 12,037.85
C urrency ................................................ 19,147.00
G old .........................................................
355.00
S ilver .....................................................
2,115.98

L IA B I L I T I E S
Capital s to ck ........................................$ 50,000.00
Certified s u r p lu s .................................
10,000.00
U nd ivid ed p rofits.................................
823.31
S avings a ccou n ts.................................
48,735.62
D ividen ds un p aid .................................
174.00
In d ivid u a l d ep osits............................ 3 31,042.53
P u b lic fu n d s ........................................
60,867.25
C ertificates o f deposit, tim e...........
7,105.75
C ashier’ s ch eck s.................................
4 ,8 8 0.95

Total deposits .............$452,806.10
R eserved fo r taxes...............................

1,500.00

Total cash and E x.....$150,632.56
Total




$515 ,1 2 9 .4 1

T otal

$ 515,129.41

150

R eport

of

B a n k C om m issioner

ODEN
Montgomery County

OD EN STATE BANK
Charter No. 509. Date of Charter, March 25, 1920.

O fficers— S. W. Duke, President; A . J. Plemmons, Vice President; I. C. Chapman, Vice President;

R. F. Miller, Cashier.
D irectors-—S. W. Duke, I. C. Chapman, A. J. Plemmons, S. N. Hickey.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts.............................$ 2 5 ,04 1 .4 6
L oans on real estate....... ....................
350.00
O verd ra fts ................................................
130.87
Other bon d s and secu rities................
73.50
F urnitu re and fixtures.......................
2,2 5 0.00
Item s in tra n sit......................................
384.00
D u e from revenue ban ks...................
7,178.28
C urren cy ..................................................
2 ,7 0 5.00
G old ............................................................
45.0 0
S ilver .......................................................
460.39

L IA B I L I T I E S
Capital stock ........................................... $ 1 0 ,00 0 .0 0
C ertified s u r p lu s ....................................
1,000.00
U nd ivid ed p rofits....................................
405.51
In d ivid u a l d ep osits.............................. 19,4 76 .5 4
P u b lic fu n d s ...........................................
2,5 0 0.00
C ertificates o f deposit, tim e..............
5,135.00
C ashier’ s ch eck s....................................
101.45

Total deposits ...............$27,212.99

Total cash and E x.......$10,772.67
Total

$ 3 8 ,61 8 .5 0

Total

.$38,618.50

OKOLONA
Clark County

BANK OF OKOLONA
Charter No. 96. Date of Charter. August 25, 1902.

O fficers— M. M. Orsburn, President; Geo. Ethridge, Vice President; G. D. Anderson, Cashier;

Ed Y. Hill, Assistant Cashier.
D irectors— M. M. Orsburn, G. D. Anderson, F. A. Hughes, Geo. Ethridge, R. E. L. Meeks, H. A.

Cargile.
STATEMENT OF DECEMBER 31. 1921
RESOURCES
L oans and d iscou n ts.............................$59 ,50 5 .3 8
L oans on real estate............................ 14,618.47
O verd rafts ................................................
438.53
U. S. b on d s.............................................
85.00
Other bonds and securities..............
1 ,683.68
F urnitu re and fixtures........................ 1,500.00
B an king h ou se........................................
2,500.00
Cash item s..... 1.........................................
51.78
D ue from reserve b an k s................... 6 ,434.45
C urren cy ..................................................
2 ,6 1 0.00
G old ............................................................
630.00
S ilv er .......................................................
651.52

L IA B I L I T I E S
C apital s to ck ........................................... $ 2 0 ,00 0 .0 0
Certified s u r p lu s ....................................
7,000.00
U n d ivid ed p rofits....................................
300.00
B ills p a ya b le...........................................
7,000.00
S avings a ccou n ts..........................
1 2,5 41 .1 6
In d ivid u a l d ep osits............................... 4 3,0 99 .8 3
P u b lic fu n d s ........... - ............................
325.19
C ash ier’ s ch eck s....................................
644.63

Total deposits ...............$56,610.81

O ther lia b ilitie s......................................

200 .00

Total cash and E x.......$10,377.75
O ther

resou rces......................................

T otal

402.00

.$91 ,1 10 .8 1

T otal

$ 91 ,11 0 .8 1

OLA
Y e ll County

BAN K OF O LA
Charter No. 59. Date of Charter, June 25, 1900.

O fficers— O. J. Harkey, President; O. N. Harkey, Vice Prerident; R. L. Harkey, Cashier; R. J.

Lipsey, Assistant Cashier.
D irectors— O. J. Harkey, O. N. Harkey, A. James, A. J. McAmis, R. L. Harkey.

STATEMENT OF DECEMBER 31, 1921
RESOURCES
L oans and d iscou n ts..........................$ 8 7,1 42 .8 6
L oans on real estate..........................
15,5 58 .3 5
L oans on cotton ....................................
6,000.00
F urnitu re and fixtures.....................
4,6 9 2.40
B an kin g hou se......................................
8,000.00
Cash item s.............................................
58.32
Due from reserve ban ks...................
8 ,939.28
C urrency ................................................
2 ,784.00
G old ..........................................................
10.00
S ilv er ....... „ ..........................................
1,355.12

L IA B IL IT IE S
C apital s to ck ........................................ !
Certified surplus
............................
U ndivided p r o fit s .^ ............................
B ills p a y a b le............. ..........................
D ivid en ds u n p aid .................................
In d ivid u a l d ep osits............................
P u b lic fu n d s ........................................
C ertificates o f deposit, tim e...........
C ashier’ s ch eck s.................................

Total cash and E x.......$13,146.72

Other

O ther

resou rces..........’. ........................

T otal




3 0 .0 0 0 .
00
2 0 .0 0 0 .
00
2,689.03
2 0 , 0 0 0 .0 0

3,0 0 0.00
3 9 ,5 05 .2 4
4 ,4 6 4.90
1 2,2 27 .1 0
755.46

Total deposits ...............$59,952.70
lia b ilitie s....................................

1 ,960.00

61.40
$ 13 4 ,6 0 1 .7 3

T otal

.$1 3 4,60 1 .7 3

S tate

of

A rkansas

151

OLVEY
Boone County

BANK OF O LVEY

Charter No. 485. Date of Charter. July 16, 1919.
O fficers—J. E. Andrews, President; R. W. Milum, Vice President; F. W. Greene, Cashier.
D irectors—J. E. Andrews, R. W. Milum, F. W. Greene, L. M. Martin.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and discou n ts.............................$21,907.39
Loans on real estate............................ 11,020.00
O verdrafts ................................................
2.97
Other bonds and securities................
136.60
1,577.20
F urnitu re and fixtures.......................
B an king hou se....... i...............................
2,0 0 0.00
Due from reserve banks.....................
8,287.01
C urrency ..................................................
500.00
S ilver .......................................................
100.42

L IA B IL IT IE S
Capital s to ck ........................................... $10,00 0 .0 0
Certified surplus ....................................
1,250.00
U ndivided p rofits................. .................. 1,431.42
Ind ivid u al d ep osits.............................. 21,778.93
Certificates o f deposit, tim e.....:------ 10,066.72
C ashier’ s ch eck s.................................... 1,004.52

Total deposits ...............$32,850.17

Total cash and E x......... $8,887.43
T otal

.................................................... $ 45,531.59

T otal

.................................................... $ 45,531.59

OMAHA
Boone County

BANK OF O M AH A

Charter No. 245. Date of Charter, September 19, 1907.
O fficers—J. H. Middleton, President; T. L. Richesin, Vice President; Jesse B. Guier, Cashier.
D irectors—J. H. Middleton, T. L. Richesin, Jesse B. Guier, Frank Andrews, T. G Cox.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts.............................$24,93 9 .0 5
Loans on real estate............................
9 ,777.00
U. S. b on d s.............................................
3,150.00
Other bonds and secu rities................
501.60
F urnitu re and fixtures........................
700.00
B an king hou se........................................
850.00
Cash item s....... .............
100.00
Due from reserve ban ks..................... 10,726.27
1,687.00
C urrency ..................................................
G old ............ -.............................................
710.00
S ilver ..............- ......................................
690.00

L IA B IL IT IE S
Capital stock ........................................... $ 10,000.00
Certified s u r p lu s .................................... 2 ,000.00
U ndivided p rofits.................................... 2,486.92
In d ivid u a l d ep osits............................... 36,3 64 .6 6
C ertificates o f deposit, dem and........
500.00
C ertificates o f deposit,
tim e...........
2 ,225.00
C ashier’ s ch eck s...................................
98.12

Total deposits ...............$39,187.78

R eserved fo r taxes...............................

158.87

Total cash and E x.......$13,913.27
Other

resou rces......................................

T otal

2.65

.................................................... $53 ,83 3 .5 7

T otal

.................................................... $ 53,833.57

OSCEOLA
Mississippi County

B AN K OF OSCEOLA

Charter No. 27. Date of Charter, September 7, 1891.
O fficers—J. L. Williams, President: H. V. Cartwright, Vice President; Emma C. Smith, Cashier;

R. H. Smith, Assistant Cashier.

'

D irectors—J. L. Williams, H. V. Cartwright, E. E. Driver, Emma C. Smith, Thos. Henderson, Ike

Miller, A. L. Tate.

STATEMENT OF DECEMBER 31, 1921
RESOURCES
L oans and d iscou n ts..........................$342 ,5 1 6 .3 3
Loans on real estate.......................... 185,283.18
O verdrafts .............................................
13,506.35
Other bonds and secu rities..............
1,689.39
F urnitu re and fixtures.....................
3,469.30
B an king hou se......................................
16,096.52
Other real estate.................................
340.00
Due from non-reserve b an ks.........
87,000.00
Due from reserve ban ks................... 15,648.12
Checks on other ban ks.....................
5,941.55
C urrency ................................................
6,472.00
G old .........................................................
415.00
S ilver ....................................................
4 ,528.62

L IA B IL IT IE S
Capital s to ck ........................................ $ 25,0 00 .0 0
25,000.00
Certified s u r p lu s .................................
U ndivided p rofits...................................
5,226.41
B ills p a ya b le........................................ 147,400.00
Savings a ccou n ts.................................
19,302.42
In d ivid u a l d ep osits............................ 239,68 8 .7 4
P u b lic f u n d s ,..............................
1 91,488.40
C ertificates o f deposit, tim e...........
19,893.83
Certificates o f deposit, fo r m oney
borrow ed ......................................
14,000.00

Total deposits

........ $484,373.39

Total cash and E x.....$120,005.29
Other

resou rces...................................

T otal

4,0 9 3.44

..........................*......................$ 68 6 ,9 9 9 .8 0




T otal

.$686,999.80

152

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of

B a n k C omm issioner

OSCEOLA
Mississippi County

C I T IZ E N S B A N K O F O S C E O L A

Charter No. 79. Date of Charter, November 25, 1901.
O fficers—J. W. Rhodes, President; R. C. Rose, Vice President; C. L. Moore, Jr., Cashier; Herbert

Bryant, Assistant Cashier; Albert Behrens, Assistant Cashier.

D irectors—J. W. Rhodes, S. L. Gladish, S. H. Mulkey, C. L. Moore, Jr., R. C. Rose, D. F.

Taylor, C. C. Ermen.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S

Loans and discounts.......................$302,378.48
6 4,1 65 .0 0
2 ,4 3 4.24
2 ,853.85
9 ,018.93

L oans on real estate..........................
O verd rafts .............................................
O ther bon d s and secu rities...........
F urnitu re and fixtures.......................

Banking house..............................

25,996.14

O ther real estate....... .........................
Due from n on -reserve hanks...........
D ue from reserve banks...................
C hecks on other ban ks..... ...............
C urren cy ................................................
S ilv er ...............

5,132.00
2 ,000.00
81,3 48 .6 7
2,2 4 8.20
1 1 ,0 3 0 .0 0
5,226.42

Total cash and E x.... $101,853.29
O ther

345.75

resou rces...................................

T otal ................ ................................. $ 51 4 ,1 7 7 .6 8
{T h is am ount not added in totals.

L IA B IL IT IE S
C apital s to ck .........................................$ 50,0 00 .0 0
C ertified surplus.................................
50,0 00 .0 0
U nd ivid ed p rofits...................
4 ,788.58
B ills pa ya b le......................................... 60,0 00 .0 0
{B ills payable “ D eposits on w hich
m ore than 4 p er cent interest
is p a id ’ ’ .............................................
26,0 00 .0 0
S avings accounts'-................................
2 0,8 10 .5 7
In d ivid u a l d ep osits............................. 228,17 8 .4 3
P u b lic fu n d s ......................................... 52,1 08 .6 4
C ertificates o f deposit, tim e_____
44,9 27 .9 2

Total deposits ............ $346,025.56
Other lia b ilitie s....................................
T otal

3 ,3 6 3.54

.................................................. $ 51 4 ,1 7 7 .6 8

OUACHITA
Dallas County

O U A C H IT A B A N K

Charter No. 431. Date of Charter, December 19, 1913.
O fficers—R. J. Taylor, President; J. A. Eason, Vice President; W. D. Knight, Cashier.
D irectors—W. M. Mann, G. R. Cabler, J. T. Gaston, Leo Berg.

STATEMENT OF DECEMBER 31, 1921
RESOURCES
L oans and discounts.^.........................$ 8 ,415.67
L oans on real estate............................ 13,5 37 .4 2
O verd rafts ................................................
181.16
O ther bonds and secu rities................
2 43.00
F urnitu re and fixtures........................
4 50.00
1,500.00
B an kin g h ou se........................................
D ue from n on -reserve b an ks...........
5.25
3 ,1 7 6.55
Due from reserve hanks.....................
C urren cy ..................................................
904.00
G old ............................................................
36.00
S ilv er ..........................
66.32

L IA B I L I T I E S
C apital s to c k ........................................... $ 10,000.00
Certified s u r p lu s .................................... 2 ,900.00
U n divided p rofits....................................
153.76
In d ivid u a l d ep osits............................... 11,2 46 .4 6
P u b lic fu n d s ...........................................
1 ,090.24
C ertificates o f deposit, dem and........
64.89
C ertificates o f deposit, tim e...... .
2,8 7 8.86

Total deposits ...............$15,280.45

O ther lia b ilitie s...................................... ^

181.16

Total cash and E x .........$4,188.12
T ota l

.....................................................$ 2 8 ,51 5 .3 7

T otal

.....................................................$ 28 ,51 5 .3 7

OXFORD
Izard County

BANK OF OXFORD

Charter No. 487. Date of Charter, July 24, 1919.
O fficers—H. F. Croom, President; W. M. Ford, Vice President; D. F. Croom, Cashier.
D irectors—H. F. Croom, W. M. Ford, W. M. Martin, T. C. Dillard, A. H. Caldwell.

STATEMENT OF DECEMBER 31. 1921
R E SO U R C E S
L oans and d iscou n ts............................$ 17 ,52 8 .9 7
L oans on real estate...........................
1,962.29
U . S. b o n d s ............................................
479 .85
F urnitu re and fixtures...............:.......
1,986.61
B an kin g hou se........................................
1,8 2 2.96
Cash item s................................................
92.00
D ue from reserve banks..................... 13,387.00
C urren cy ..................................................
3 ,9 8 3.00
G old .......................
40.00
S ilv er .....................................:.................
363.31

L IA B IL IT IE S
Capital s to ck ........................................... $ 10 ,00 0 .0 0
Certified s u r p lu s ....................................
1,000.00
U nd ivid ed p rofits....................................
6.47
D ivid en ds u n paid....................................
800.00
In d ivid u a l d ep osits............................... 2 9,6 24 .9 2
P u b lic fu n d s ...........................................
23.75
C ertificates o f deposit, tim e................
100.00
C ash ier’ s ch eck s....................................
104.95

Total deposits ...............$30,653.62

Total cash and E x.......$17,865.31
O ther

resou rces.....................................

T ota l




14.10

.$41,660.09

T otal

.$41,660.09

S tate

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153

OZAN
Hempstead County

BANK OF O ZAN

Charter No. 126. Date of Charter, May 5, 1503.
O fficers—F. D. Barrow, President; W. F. Robins, Vice President; B. A. Barrow, Cashier; D. O.

Blizzard, Assistant Cashier.

D irectors—F. D. Barrow, W. F. Robins, J. B. Robins, B. A. Barrow, W. D. Jones.

STATEMENT OF DECEMBER 31. 1921
R ESO U R C E S
Loans and d iscou n ts............................ $ 24 ,37 3 .0 7
Loans on real estate............................ 13,740.14
O verdrafts ................................................
209.60
Other bonds and secu rities..... ........
2,014.62
F urniture and fixtures.......................
1,000.00
2 ,220.00
B an king house........................................
Items in transit..............................
186.73
Due from reserve ban ks....................
455.51
C urrency ...................................
2,077.00
G old ............................................................
100.00
S ilver ............................. * .......................
779.54

L IA B IL IT IE S
Capital stock ........................................... $10,00 0 .0 0
Certified s u r p lu s .................................... 4 ,000.00
U ndivided profits....................................
781.17
B ills p a y a b le ........................................... 18,922.32
In d ivid u a l d ep osits............................... 11,929.81
Certificates o f deposit, dem and......
1,411.20
C ashier’ s ch eck s....................................
111.71

Total deposits ...............$13,452.72

Total cash and E x.........$3,598.78
Total

.................................................... $ 47,156.21

T otal

.....................................................$47,156.21

OZARK
Franklin County

ARKANSAS V A L L E Y BANK

Charter No. 14. Date of Charter, November 8, 1889.
O fficers—E. W. Blackburn, President; R. M. Adams, Vice President; John E. Bryan, Active Vice

President|> T. C. Moore, Cashier; J. C. Mcllroy, Assistant Cashier.

D irectors—E. W. Blackburn, John E. Sryan, D. B. Anderson, A - W. Dupreast, R. M. Adams, W. W.

Adams, W. C. Bill.

STATEMENT OF DECEMBER 31, 1921
L IA B IL IT IE S
R E SO U R C E S
00
Capital stock................................... i 5 0.0 00 .
L oans and d iscou n ts.......................... $154 ,4 8 3 .0 1
10.0 0 0 .
00
Certified s u r p lu s .................................
Loans on real estate.....................—. 49,6 65 .3 9
6,114.35
U nd ivid ed p rofits.................................
Loans on cotton .................................... 18,000.00
{B
ills
p
ayable
“
D
eposits
on
w
hich
O verdrafts .............................................
267.34
m ore than 4 p er cent interest
U. S. bon d s...........................................
2,4 2 6.68
18.946.46
is p a id ’ ’ .............................................
O ther bonds and secu rities................................... 5,883.43
In d ivid u a l d ep osits............................ 170,271.71
F urnitu re and fixtures.....................
1,000.00
18.946.46
P u b lic fu n d s ........................................
B an king house......................................
4 ,400.00
Certificates o f deposit, dem and.... 23,438.15
Cash item s.............................................
345.89
1,257.97
C ashier’ s ch eck s.................................
Due from reserve banks................... 36,1 33 .7 6
Total deposits .............$213,911.29
Checks on other banks.....................
1,124.90
C urrency ................................................
4 ,649.00
G old .........................................................
,4 9 0 .0 0
S ilver .....................................................
1,156.24

Total cash and E x.......$43,899.79
T otal

.$28 0,02 5 .6 4

{T h is amount not added in totals.




T otal

$280 ,0 2 5 .6 4

R eport

154

of

B a n k C omm issioner

OZARK
Franklin County

PEOPLES B A N K

Charter No 163. Date of Charter, April 10, 1904.
O fficers—L. L. Ford, President; J. T. Greer, Vice President; Finis E. Stockton, Cashier; H. L.

Ford, Assistant Cashier.
D irectors—L. L. Ford, J. T. Greer, Finis E. Stockton. Harley Russell, E. D. Hall, J. R. Davidson,

W. H. Gibbons.
STATEMENT OF DECEMBER 31, 1921
L IA B IL IT IE S
R E SO U R C E S
Capital stock .........................................$ 25,0 00 .0 0
L oans and d iscou n ts......................... $ 15 2 ,0 8 0 .6 9
25,0 00 .0 0
Certified s u r p lu s .................................
L oans on real estate......................... 2 6,6 73 .0 0
U nd ivid ed p rofits.................................
7,898.84
12,500.00
L oans on cotton ..................................
B ills pa ya b le......................................... 30,0 00 .0 0
U. S. b on d s .......................................... 4 5,9 00 .0 0
2 ,500.00
D ividen ds un p aid ..... -...........................
O ther bon d s and secu rities.................................. 1,639.85
In d ivid u a l d ep osits............................ 1 58,398.93
F urnitu re and fixtures........................
1,500.00
P u b lic fu n d s...........................................
13,651.69
O ther real estate............ ....................
400.00
C ertificates of deposit, d e m a n d -.. 29,3 20 .0 0
Cash item s..... ................................................... 820.00
Total
deposits
..............$
2
0
3
,8
7
0
.6
2
D ue from reserve banks..............
37,6 62 .6 2
jOhecks on other ban ks..............
2 ,9 7 1.07
C urren cy ...............................................
8,5 8 2.00
G old ...................... -.................................
3 60.00
S ilver .......................................................
680.23

Total cash and E x.......$51,075.92
.$29 1,76 9 .4 6

T otal

T otal

$291 ,7 6 9 .4 6

PANGBURN
W hite County

BANK OF PANGBURN

Charter No. 480. Date of Charter, May 8, 1919.
O fficers—A. B. Banks, President; Vann M. Howell, Vice President; John Q. Adams, Cashier.
D irectors—A. B. Banks, Vann M. Howell, John Q. Adams.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts.......................... $ 1 3 1 ,9 7 5 .8 6
O verd rafts .............
457.01
Other bonds and secu rities..............
39.13
F urnitu re and fixtures.....................
2 ,651.92
B anking' hou se......................................
4 ,7 0 0.00
Other real estate.................................
640.66
Cash item s.............................................
80.37
Due from reserve banks...................
9,6 5 7.48
C hecks on other ban ks.....................
81.30
C urren cy ................................................
2 ,576.00
S ilver .....................................
504.01

L IA B IL IT IE S
C apital s to ck ........................................ i
Certified s u r p lu s .................................
U ndivided p rofits.................................
B ills p a y a b le .........................................
S avings a ccou n ts.................................
In d ivid u a l d ep osits............................
P u b lic fu n d s...... ..-..................................
C ertificates o f deposit, tim e...........
C ash ier’ s ch eck s.................................

10 , 000.00

1 , 000.00
7,988.60
70,000.00
290.11
65,638.95
1 , 000.00
1,635.23
1,698.08

Total deposits ...............$70,262.37

Total cash and E x.......$12,899.16
O ther

resou rces...................................

T otal




5,887.23
$ 1 5 9 ,2 5 0 .9 7

T otal

$ 15 9 ,2 5 0 .9 7

S tate

of

A rkan sa :

155

PARAGOULD
Greene County

PAR AGOU LD TRUST CO M P AN Y

Charter No. 196. Date of Charter, November 29, 1905.
O fficers—F. M. Scott, President; Jos. R. Bertig, Vice President; J. C. Markham, Cashier; T. H.

Loyd, Assistant Cashier.

D irectors—F. M. Scott, J. R. Bertig, S. Bertig, A. Bertig, J. fc. Markham, Griffin Smith, J. D.

Spencer, H. J. Green, J. A. Edwards.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L IA B I L I T I E S
Loans and d iscounts.......................... $ 38 7,554.59
Capital stock ........................................ $ 50,000.00
Loans on real estate..........................
64,559.47
Certified s u r p lu s .................................
17,000.00
Loans on cotton ................................... 118,507.10
31,086.86
U ndivided p rofits.................................
O verdrafts ................................... „ .......
1,354.14
B ills p a ya b le......................................... 100,000.00
U . S. b on d s...........................................
3,130.78
JBills payable “ D eposits on w hich
Other bonds and secu rities................................... 11,785.16
m ore than 4 p er cent interest
F urnitu re and fixtures........................
6,014.61
is p a id ’ ’ .............................................
35,006.51
B an king hou se......................................
17,690.54
Savings a ccou n ts.....................
134,551.50
12,508.97
Other real estate.................................
D ividen ds un p aid ..............................
50.00
Cash item s............ ................................
1,340.58
In d ivid u a l d ep osits............................ 1 38,182.25
Due from reserve banks.................. ' 71,549.43
P u b lic f u n d s ....................................
2 27,128.87
Checks on other ban ks.....................
14,535.78
11,649.50
Due to n on -reserve b an ks..............
C urrency ................................................ 19,9 52 .0 0
C ertificates of deposit, tim e...........
23,285.88
G old .........................................................
785.00
C ashier’ s ch eck s..... ...................
3 ,207.69
S ilver ....................
1 ,626.91
Total deposits .............$538,055.69

Total cash and E x.....$109,789.70

Other resou rces...................................
T otal

3,247.49

.................................................. $ 73 6 ,1 4 2 .5 5

T otal

.................................................. $ 73 6 ,1 4 2 .5 5

JThis amount not added in totals.

PARAGOULD
Greene County

S E C U R IT Y B A N K & T R U S T C O M P A N Y

Charter No. 213.

Date of Charter, July 27, 1906.

O fficers—R. J. Haley, President; C. A. Mack, Vice President; Fred Watson, Cashier; F. H. Ford,

Assistant Cashier.

D irectors—R. J. Haley, C. A. Mack, Fred Watson, F. H. Ford, A. M. Reedy, G. O. Light, J. A.

Poole, W. O. Poole, W. R. Owens, Alvin, Samuel, Joe A. White.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L IA B I L I T I E S
L oans and d iscou n ts.......................... $266 ,9 0 2 .7 9
Capital s to ck .........................................$100 ,0 0 0 .0 0
Loans on real estate..........................
81,7 93 .6 4
40,0 00 .0 0
Certified s u r p lu s .................................
U. S. b on d s........................
65,300.00
U ndivided p rofits.................................
15,001.23
Other bonds and secu rities................................... 18,039.89
B ills pa ya b le........................................
30,0 00 .0 0
Furniture and fixtures.....................
3,600.00
Savings a ccou n ts.................................
35,737.31
B anking house......................................
11,000.00
T ru st fu n d s...........................................
623.94
Other real estate.................................
16,4 80 .5 6
In d ivid u a l d ep osits............................ 174 ,09 0 .3 6
Item s in tra n sit...... ............................
196.84
P u b lic fu n d s ......................................... 21,353.36
Due from reserve ban ks..................
3 0,4 97 .1 4
Due to n on -reserve ban k s................
1,374.95
Checks on other ban ks.....................
2,470.20
Certificates o f d ep osit,tim e.............. 96,5 12 .6 6
Certified ch eck s....................................
21.95
C urrency ................................................
16,939.00
G old .........................................................
55.00
C ashier’ s ch eck s.................................
774.75
S ilver ..................
2 ,215.45
Total deposits ............ $330,489.28

Total cash and E x.......$52,373.63
Total




$ 51 5 ,4 9 0 .5 1

T otal

.$515,490.51

156

R eport

of

B a n k C om m issioner

PARIS
Logan County

A M E R IC A N B A N K & T R U S T C O M P A N Y

Charter No. 337. Date of Charter, April 6, 1911.
O fficers—J. J. Smith, President; W. B. Rhyne, Vice President; John D. Deen, Vice President;

B. C. Reed, Cashier; Chas. F. Wahl, Assistant Cashier.

D irectors—J. J. Smith, W. B. Rhvne, Jno. D. Deen, A

R. A. Harkins, B. C. Reed, Chas. F. Wahl.

C. Johns, Abel Nehus, A. M. Smith,

STATEMENT OF DECEMBER 31, 1921
C apital s to ck .........................................$ 50,0 00 .0 0
RESOURCES
Certified s u r p lu s .................................
10,000.00
L oans and d iscou n ts.......................... $ 26 7 ,8 5 7 .1 1
16,1 91 .0 7
U nd ivid ed p rofits.................................
L oans on real estate.......................... 3 8,4 22 .7 5
B ills p a ya b le......................................... 9 9,0 00 .0 0
O verd rafts .............................................
2 35.15
S avings a ccou n ts.................................
3 6,3 37 .1 6
U. S. b on d s ...........................................
57,1 00 .0 0
37,1 00 .0 0
T ru st fu n d s...........................................
Other bon d s and secu rities....................................1,439.82
D
ivid
en
ds
u
n
p
aid.................................
63.00
2 ,1 3 2.34
F urnitu re and fixtures.....................
In d ivid u a l - d ep osits............................. 1 15,393.03
B an kin g hou se......................................
1 ,800.00
P u b lic fu n d s ......................................... 4 2 ,8 72 .4 6
O ther real estate.................................
3,0 0 0.00
2 0,0 51 .3 0
C ertificates o f deposit, tim e...........
29,8 54 .6 8
D ue from n on -reserve b an ks.........
C ash ier’ s ch eck s.................................
1,502.82
Cash item s.............................................
625.52
Total deposits.............$253,319.77
D ue from reserve banks................... 1 6,2 81 .6 5
Checks on oth er b an ks.....................
3 ,113.02
C urren cv ................................................
4 ,0 3 5.00
G old
...................................................
1,100.00
S ilv er .....................................................
1,086.87

Total cash and E x.......$56,096.74
Other

resou rces....................................

426.93

.$42 8,51 0 .8 4

T ota l

T otal

.$42 8,51 0 .8 4

PARKDALE
A shley County
BANK OF PARKDALE

Charter No. 298. Date of Charter, February 1, 1910.
O fficers—R. G. Williams, President; E. D. Gregory, Vice President; W. W. Morris, Cashier.
D irectors—E. D. Gregory, J. S. O’Neal, R. G. Williams.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts.............................$ 1 7 ,73 7 .9 6
L oans on rea l estate............................ 2 0 ,0 2 3 .7 4
L oans on co tto n ...................................... 16,6 51 .0 7
O verd rafts ................................................
2.60
U . S. b on d s .............................................
2 ,850.00
O ther bon d s and securities..............
1,977.81
F urnitu re and fixtures...........................
1,175.52
Cash item s.................. ............................
6 ,633.21
D u e from reserve ban k s.......................
6 ,489.28
C urren cy ..................................................
2 ,058.00
G old ............................................................
466 :00
S ilv er .......................................................
2 ,1 5 3.18

L IA B IL IT IE S
Capital s to c k ......................................... $ 15 ,00 0 .0 0
C ertified s u r p lu s .................................. 16,500.00
U n d ivid ed p rofits..................................
189.96
B ills p a ya b le......................................... 1 2 , 0 0 0 .0 0
In d ivid u a l d ep osits............................. 2 8,6 68 .1 5
P u b lic fu n d s .........................................
1 ,105.17
C ertificates o f deposit, tim e............
4 ,2 2 5.46
C ash ier’ s ch eck s..................................
529.63

Total deposits ...............$34,528.41

Total cash and E x.......$17,799.67
T otal




$ 78 ,2 1 8 .3 7

T otal

.$ 78,218.37

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157

PARKIN
Cross County
P A R K IN H O M E B A N K

Charter No. 294. Date of Charter, December 17, 1909.
O fficers—*1. R. Dye, President; Sidney F. Stallings, Vice President; P. J. Phillips, Cashier; I. H.

Thompson, Assistant Cashier.

D irectors—I. R. Dye, R. W. Minnie, Dr. V. T. Utley, R. A. Martin, R. L. Block, H. L. Coldren,

Sidney F. Stallings, P. J. Phillips.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and discou n ts.......................... $ 310,352.51
Loans on real estate..........................
61,941.25
Loans on cotton ...................................
22,0 82 .5 8
O verdrafts .............................................
2 ,244.91
200.00
U. S. b o n d s .............................................
Other bonds and secu rities..............
325.80
4 ,435.00
F urnitu re and fixtures.....................
B an king house......................................
5,000.00
Item s in transit....................................
3,643.69
Due from non-reserve ban k s...........
5,000.00
Cash item s.............................................
5,118.35
Due from reserve ban ks................... 4 5,1 60 .0 1
C urrency ................................................
9 ,498.00
G old ........
17.50
S iiver .....................................................
4 ,165.69

L IA B I L I T I E S
Capital s to ck ........................................ $ 50,000.00
Certified s u r p lu s .................................
12,500.00
U nd ivid ed p rofits.................................
5,206.14
B ills p a ya b le...... .................................
35,000.00
N otes red iscou n ted ...............................
18,170.00
JBills payable “ D eposits on w h ich
m ore than 4 p er cent interest
is p a id ’ ’ .............................................
67,732.63
Savings a ccou n ts.................................
472.66
In d ivid u a l d ep osits............................ 2 69 ,09 3 .6 6
P u b lic fu n d s ......................................... 67,732.63
Certificates o f deposit, tim e...........
5,547.18
C ashier’ s ch eck s.................................
15,463.02

Total deposits .............$358,309.15

Total cash and E x.......$72,603.24lo ta l

.................................................. $ 4 7 9 ,1 8 5 .2 9

T otal

.................................................. $ 479,185.29

$This amount not added in totals.

PEACH ORCHARD
Clay County
PEOPLES B A N K

Charter No. 322. Date of Charter, October 24, 1910.
O fficers—John C. Baker, President; W. F. Harris, Vice President; B. F. Lewis, Cashier; C. R.

Emerson, Assistant Cashier. __

D irectors—J. C. Baker, W. F^ Harris, W. J. Brown, B. F. Lewis, W. G. Baker, C. H. Lewis.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
Loans and discou n ts.............................$ 63,446.30
Loans on real estate............................
2,400.00
O verdrafts ....................
1,023.84
U. S. b on d s.............................................
50.00
Other bonds and secu rities................
19.85
F urnitu re and fixtures........................ 1,469.56
Due from reserve ban ks.....................
8,111.77
Checks on other banks........................
390.37
C urrency ........
565.00
G old ............................................................
167.50
S ilv er .....................
590.78

L IA B I L I T I E S
Capital stock ........................................... $ 10,000.00
Certified s u r p lu s ................................
1,200.00
U n divided p rofits.................................... 3,453.37
B ills p a ya b le...........................................
7,000.00
In d ivid u a l d e p osits........................
52,373.49
C ertificates o f deposit, dem and......
2,750.00
C ash ier’ s ch eck s.................................... 1,458.11

Total deposits ...............$56,581.60

Total deposits .................$9,825.42
Total




.$78,234.97

T otal

.$78,234.97

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B a n k C om m issioner

PEA RIDGE
Benton County
B A N K O F P E A R ID G E

Charter No. 339.

Date of Charter, May 6, 1911.

O fficers— W. T. Patterson, President; J. J. Putman, Vice President; J. M. Putman, Cashier; W. T

Patterson, Assistant Cashier.
D irectors—W. T. Patterson, J. J. Putman, J. M. Putman.

STATEMENT OF DECEMBER 31. 1921
L IA B IL IT IE S
R E SO U R C E S
C apital s to ck ........................................... $ 10 ,00 0 .0 0
L oans and d iscou n ts............................ $ 6 2 ,61 9 .4 0
C ertified s u r p lu s .................................... 10,000.00
L oans on rea l estate............................
8,287.00
B ills p a ya b le........................................... 2 0,0 00 .0 0
O verd rafts ................................................
7.46
D ivid en ds u n p aid ....................................
1,000.00
O ther bonds an d secu rities..............
90.12
In d ivid u a l d ep osits............................... 2 6 ,7 99 .0 6
F urnitu re and fixtures.......................
1,979.41
P u b lic fu n d s ........................................... 15,6 49 .4 6
B an kin g hou se........................................
1,100.00
C ertificates o f deposit, tim e..............
7 ,019.56
O ther real estate..........................
801.42
C ashier’ s ch eck s....................................
94.49
D ue from n on -reserve b an ks................................. 1,912.50
Total
deposits
...............$50,562.57
Cash item s................................................
867.87
Due from reserve banks.....................
9,705.33
C urren cy ..................................................
2 ,194.00
535.00
G old ............................................................
S ilv er ................................
462 .15

Total cash and E x.......$15,676.85
O ther

resou rces......................................

T otal

.91

.....................................................$ 9 0 ,56 2 .5 7

T otal

.....................................................$ 90 ,5 6 2 .5 7

PERRY
Perry County
PERRY STATE BANK

Charter No. 461. Date of Charter, February 28, 1917.
O fficers—A. B. Banks, President; J. E. Rose, Vice President; Flora Rose, Cashier; Fay M. Wal­

lace, Assistant Cashier.

D irectors—A. B. Banks, J. E. Rose, Flora Rose, George H. Dolbee, J. M. Matthews.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts..........................!
L oans on real estate..........................
L oans on co tto n ...................................
O ther bonds and secu rities...........
F urnitu re and fixtures.....................
B an k in g h ou se......................................
O ther real estate.................................
Cash item s.............................................
D u e from reserve ban ks...................
C urren cy ..... ..........................................
G old ..........................................................
S ilv er .....................................................

Total cash and E x.......$10,221.51
O ther

resou rces...................................

T otal




64,566.83
22,5 54 .2 2
2 .584.26
2 ,500.87
875.00
1,800.00
2 .145.00
500.00
7.004.27
1 .779.00
235.00
703.24

L I A B IL IT IE S
Capital s tc o k ........................................ $ 3 0,0 00 .0 0
C ertified s u r p lu s .................................
5,000.00
In d ivid u a l d e p o sits............................
4 7,5 09 .1 5
P u b lic fu n d s ......................................... 18,4 59 .6 2
C ertificates o f deposit, tim e...........
6,080.00
C ash ier’ s ch eck s.................................
1,174.54

Total deposits ...............$73,223.31

975.62
$ 1 0 8 ,2 2 3 .3 1

T otal

.$ 1 08,223.31

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A rkansas

PETTIGREW
Madison County

C IT IZ E N S B A N K

Charter No. 231. Date of Charter, April 15, 1907.
O fficers—Chas. E. Crawford, President; J. H. Phipps, Vice President; Grace Crawford, Cashier;
Esse Barber, Assistant Cashier.
D irectors — B. B . Chainey, C. M . Farmer, Jay Fulbright, Chas. E . Crawford, J . H . Phipps.
STATEMENT OF DECEMBER 31. 1921
LIABILITIES
R E SO U R C E S
Capital stock..................................... $10,000.00
Loans and discounts.........................$51,004.89
Certified surplus............................... 2,500.00
Loans on real estate........................ 3,380.00
Undivided profits............................... 2,906.12
Overdrafts .........................................
1.04
Individual deposits........................... 32,290.05
U. S. bonds....................................... 1,000.00
Certificates of deposit, time.......... 24,957.58
Furniture and fixtures.............
1,049.76
Total deposits .............. $57,247.63
Banking' house........._ .................... 1,440.00
Cash items......................................... 1,888.01
Due from reserve banks................ 9,969.85
Currency ........................................... 2,056.00
Gold ....................................................
100.00
762.84
Silver ...............................................
Total cash and Ex...... $14,776.70
Other resources.................................
1.36
Total

.$72,653.75

Total

.$72,653.75

PIGGOTT
Clay County

B A N K O F P IG G O T T

Charter No. 178. Date of Charter, May 11, 1905.
O fficers—L. Hunter, President; J. M. Turner, Vice President; E. R. Winton, Cashier; E. H.

Scurlock, Assistant Cashier; I. B. Langley, Assistant Cashier.

D irectors—L. Hunter, J. M. Turner, T. L. Davis, W. H. Hitt, E. Williams, W. L. Castleberry,

Ira C. Langley.

STATEMENT OF DECEMBER 31, 1921
LIABILITIES
Loans and discounts.......................$139,765.55
Capital stock................................... !
Loans on real estate...................... 30,298.00
Certified surplus.............................
Overdrafts .......................................
574.36
Undivided profits.............................
U. S. bonds..................................... 47,200.00
Bills payable...................................
Other bonds and securities............
7,759.08
Savings accounts.............................
Banking house.................................
8,700.00
Individual deposits........................
118.29
Cash items.......................................
Public funds...................................
Due from reserve banks................ 17,884.50
Due to non-reserve banks..............
Chdcks on other banks..................
779.43'
Certificates of deposit, time..........
Currency .........................................
9,524.00
C ashier’ s ch eck s.................................
Gold ..................................................
470.00
Total deposits ............$155,511.69
Silver .......- ....................................
930.69
Other liabilities...............................
Total cash and Ex...... $29,706.91
R ESO U R C E S

Total

.$264,003.90

Total

25.000.
00
15.000.
00
2,042.21
45.000.
00
1,003.46
97,377.46
38,157.31
540.08
18,248.71
184.67
21,450.00

$261,003.90

PIGGOTT
Clay County

C LA Y COU N TY BANK

Charter No. 43. Date of Charter, May 4, 1897.
O fficers—J. M. Myers, President; O. H. Parrish, Vice President; H. S. Moore, Cashier; J. E.
Lack, Asssitant Cashier.
D irectors—J. M. Myers, O. H. Parrish, H. S. Moore, J. W. Lentz, E. Marshall, F. Weldin.
STATEMENT OF DECEMBER 31, 1921
LIABILITIES
Capital stock................................... I
Certified surplus.............................
Undivided profits.............................
Bills payable...................................
Individual deposits........................
Public funds................................. Due to non-reserve banks..............
Certificates of deposit, time.......
Total deposits ............$112,616.15
Other liabilities...............................

R ESO U R C E S
Loans and d iscou n ts...............
$130 ,7 7 1 .4 1
Loans on real estate..............
14,328.78
O verdrafts .............................................
399.12
Other bonds and secu rities..... ........
3 ,867.56
F urniture and fixtures.....................
2 ,600.00
B an king house........................
7,700.00
Other real estate.................................
500.00
Due from reserve ban ks................... 14,059.24
Checks on other banks.....................
368.69
C urrency ............................................
5,079.00
G old .........................................................
720.00
S ilver ....................................................
1,437.18

25.000.

00

11 . 00 0 .

00

3,178.25
30,000.00
73,500.18
5,649.60
8,491.36
24,975.01
36.58

Total cash and E x.......$21,664.11
Total




.$181,830.98

Total

.$181,830.98

160

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of

B a n k C omm issioner

PINE BLUFF
Jefferson County
C I T IZ E N S B A N K

Charter No. 4.

Date of Charter, December 24, 1886.

O fficers—John B. Speers, President,; M. E. Bloom, Active Vice President; D. B. Niven, Active

Vice President; Geo. L. Madding, Vice President; H. B. Strange, Cashier; D. McDonald, Assist­
ant Cashier;*R. L. Byrd, Assistant Cashier; C. A. Fullinwider, Assistant Cashier.

D irectors —Geo. L .

Madding, A. W . Mills, F . M. Roane, B. F . Adams, D . B. Niven, H.
H. E. Blumcnthal, T. H. Gregory, J. B- Speers, M. E. Bloom, H. B. Strange.

C . F ox,

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and discou n ts.......................... $ 9 0 1 ,4 1 4 .2 4
L oans on real estate.......................... 2 1 0 ,19 9 .4 6
L oans on co tto n .................................... 721 ,40 5 .0 0
O verd rafts .............................................
1 3,7 43 .2 4
U. S. b on d s .......................................... 154,40 0 .0 0
Other bon d s and secu rities..........
15,5 71 .6 5
17,560.90
F urnitu re and fixtures.....................
B an k in g h ou se......................
2 56 ,56 8 .0 1
Item s in tra n sit.................................
3 ,991.27
Cash item s.............................................
1 3,4 02 .4 2
D ue from reserve banks................... 3 46 ,32 1 .6 7
C hecks on other hanks.....................
4 8,4 53 .2 1
C urren cy ................................................
71,9 11 .0 0
G old
.....................................................
2 ,2 6 0.00
S ilver .......................................................
20,8 95 .8 1

L IA B IL IT IE S

Capital stock....................................$300,000.00
Certified surplus............................. 60,000.00
Undivided profits............................. 199,090.61
Bills payable................................... 600,000.00
Savings accounts............................. 181,651.16
Dividends unpaid.............................
65.00
Individual deposits......................... 998,636.54
Public funds................................... 18,000.00
Due to non-reserve banks.............. 190,677.67
Due to reserve banks.....................
41;79
Certificates of deposit, time........ 96,933.75
835.50
Certified checks...............................
Cashier’ s checks............................. 28,291.01
Total deposits ........$1,515,132.42
Other liabilities............................... 324,250.00

Total cash and E x.....$507,235.38
O ther

resou rces................................... 2 0 0 ,37 5 .1 5

T otal ................................................ $ 2,9 98 ,4 7 3 .0 3

Total ......................................... $2,998,473.03

PINE BLUFF
Jefferson County
C O T T O N B E L T S A V IN G S & T R U S T C O M P A N Y

Charter No. 34.

Date of Charter, June 5, 1895.

O fficers—J. E. Boyce, President; C. H. Bollinger, First Vice President; F. L. Fox, Vice President;

Hart’ev Hogg, Vice President and Treasurer; C. W. Pettigrew, Cashier; R. H. Hankins. Assist­
ant Cashier; W. D. Lee, Assistant Cashier.

D irectors—J. E. Boyce, C. H. Bolinger, Harvey Hogg, E. H. Elsberry, F. L. Fox, Henry Marx,

A. W. Troupe, Ben B. Weil, J. W. Crawford.
STATEMENT OF DECEMBER 31, 1921
LIABILITIES
R E SO U R C E S
Capital stock................................... $100,000.00
L oans and d iscou n ts.......................... $ 6 8 2 ,7 2 0 .7 6
Certified surplus............................. 60,000.00
L oans on real estate..........................
9 6,1 24 .3 6
Undivided profits....... ..................... 19,307.24
L oans on co tto n ................................. 134,18 1 .2 1
O verd ra fts .............................................
454.51
Bills payable................................... 180,830.00
Notes rediscounted......................... 103,325.00
U . S. b o n d s ...........................................
11,400.00
accounts............................. 248,860.44
O ther bon d s and secu rities....................................21,6Savings
80 .1 2
Trust funds..................................... 24,138.31
F urnitu re and fixtures.....................
2 0,4 76 .7 7
Individual deposits......................... 358,793.21
O ther rea l estate.................................
10,425.73
Public funds................................... 38,317.84
B ills o f exch a n ge................
4,5 3 2.59
D ue from non-reserve b an k s......... 1 03 ,96 8 .0 4
Certificates of deposit, time............................... 36,240.28
Cash tiem s..................
1,317.92
Total deposits ............$706,350.08
D ue from reserve ban ks................... 3 8,4 41 .7 6
Other liabilities...............................
1,063.39
Checks on other ban ks.....................
11,193.69
C urren cy ................................................
15,908.00
G old ..........................................................
42.50
S ilv er .....................................................
2 ,105.03
T otal cash and E x ..... $ 17 7 ,5 0 9 .5 3
O ther resou rces...................................
15,9 02 .7 2
T ota l ................................................ $ 1 ,1 7 0 ,8 7 5 .7 1




T ota l ................................................$ 1 ,1 7 0 ,8 7 5 .7 1

S tate

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161

PINE BLUFF
Jefferson County
M ER CH ANTS & PLANTERS BANK

Charter No. 1. Date of Charter, November 25, 1876.
O fficers—S. C. Alexander, President; J. W. Jones, Vice President; A. D. Foster, Vice President

and Cashier; J. P. Jordan, Assistant Cashier; R. W. Etter, Assistant Cashier.

D irectors—J. W. Jones, J. S. Ingram, W. E. Collier, J. W. Wilkins, S. C. Alexander, A. D. Foster.

STATEMENT OF DECEMBER 31. 1921
R ESO U R C E S
Loans and d iscounts..................... $ 1 ,6 8 5 ,5 9 8 .1 6
Loans on real estate.....................
1 61,188.07
Loans on co tto n ..............................
6 85,953.35
O verdrafts ........................................
4 59.17
Other bonds and secu rities.........
11,400.45
F urnitu re and fixtures..................
2 ,076.87
10,000.00
B an king house.................................
Other real estate............................
15,224.69
Item s in transit..............................
8,515.40
Due from non-reserve ban k s......
1,326.65
Cash item s...........................................
1,072.15
Due from reserve ban ks..............
260,43 8 .4 7
Checks on other ban ks................
17,675.39
C urrency
1 39,116.00
G old ....................................................
7,760.00
S ilver ..........
18,355.18

1
L IA B I L I T I E S
Capital s to ck ..................................... $ 175,000.00
Certified surplus...............................
200 ,00 0 .0 0
U ndivided p rofits............................
8 6,8 82 .8 4
B ills p a ya b le................ .....................
4 00 ,00 0 .0 0
Savings a ccou n ts............................... 1,16 8,57 9 .7 4
D ividen ds un p aid ............................
60.00
Ind ivid u al d ep osits..........................
7 94.671.78
12,210.12
P u b lic fu n d s...... ...............................
Due to n on -reserve b an k s...........
46,3 37 .0 6
Certificates o f deposit, dem and..
2,554.93
Certificates o f deposit, t iA e ......
1 14,884.55
Certified c h e c k s ...............................
630.15
C ashier’ s ch eck s...............................
7,603.66

Total deposits..... $2,147,531.99

R eserved fo r interest............ ........
R eserved fo r taxes..........................

3,091.53
14,072.11

Total cash and Ex. $454,259.24
Other resou rces.................................

418.47

T otal ............................................... $3,0 26 ,5 7 8 .4 7

T otal ................................................$3,026 ,5 7 8 .4 7

PINE BLUFF
Jefferson County
PEOPLES S A V IN G S B A N K & T R U S T C O M P A N Y

Charter No. 118.

Date of Charter, February 4, 1903-

O fficers—J. H. Mann, President; J. A. Clement, Vice President; E. W. Hightower, Secretary and

Treasurer; C. A. Gormley, Assistant Seoretary.

D irectors—J. H. Mann, Leo M. Andrews, D. E. Tucker, F. O. McGehee, E. W. Hightower, E. A.

Howell, J. A. Clement.

STATEMENT OF DECEMBER 31, 1921
RESOURCES
Loans and discounts.......................$517,589.54
Loans on real estate..............,....... 167,359.98
Loans on cotton............................... 145,811.66
Overdrafts .......................................
4,805.50
U. S. bonds......................
83,808.66
Other bonds and securities............
8,548.42
Furniture and fixtures.................... 20,044.09
Banking house.................................
4,500.00
Other real estate............................. 10,050.79
Items in transit...............................
10.56
Due from non-reserve banks........ 69,117.63
Due from reserve banks.... ........... 23,749.96
Cash items...........................
859.82
Checks on other banks.................. 18,082.82
Currency ......................................... 18,830.00
Gold ................................
515.00
Silver ...............
6,499.89
Total cash and Ex.... $137,665.68
Other resources............................... 55,556.74
Total




$ 1 ,1 5 3 ,7 4 1 .0 6

L IA B I L I T I E S
Capital s to ck ...... ................. ............... $ 1 0 0 , 0 0 0 .0 0
Certified surplus...................................
5 0.0 00 .
00
U n divided p rofits.................. ..............
9,685.88
B ills p a ya b le....................................... 251 ,76 5 .0 0
Notes red iscou n ted ............................ 1 10,201.75
Savings a ccou n ts................................. 1 89,802.30
Ind ivid u al d ep osits............................ 2 81,986.60
38,041.39
P u b lic fu n d s ............................. ..........
Certificates o f deposit, tim e.........
60,621.09
1.239.02
Certified ch eck s..................... .............
5.398.03
C ashier’ s ch eck s.................. ..............

Total deposits ___ __ $577,088.43
Other

lia b ilities....................................

Total

5 5.0 00 .

$1,1 53 ,7 4 1 .0 6

00

162

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of

B a n k C omm issioner

PLAINVIEW
Y e ll County

B A N K OF P L A IN V IE W

Charter No. 236. Date of Charter, May 31, 1907.
O fficers—W. B. Clement, President; W. H. Norman, Vice President; W. T. Blount, Cashier; D. R.
• Green, Assistant Cashier.
D irectors—W. B. Clement, W. H. Norman, W. T. Pugh, W. C. Caviness, C. S. Choate, W. T. Blount.
STATEMENT OF DECEMBER 31. 1921
RESOURCES
LIABILITIES
Loans .and discounts.......................$124,189.10
Capital stock...................................$ 60,000.00
5,725.84
6,700.00
Certified surplus.............................
Loans on real estate......................
U. S. bonds.....................................
1,350.00
Undivided profits..............
4,240.21
Other bonds and securities..........
2,815.05
Individual deposits......................... 112,002.39
Furniture and fixtures....................
3,249.00
Public funds................................... 12,053.73
Banking house..... ...........................
7,000.00
Certificates of deposit, demand.... 13,465.32
Total deposits ............ $137,521.44
Due from reserve banks.............. 57,822.12
Checks on other banks..................
173.08
Currency .........................................
4,211.00
Gold ..................................................
1,235.00
Silver ..................................
640.28
Total cash and Ex...... $64,081.48
Other resources...............................
51.18
Total ........................................... $208,461.65

Total .................... .......................$208,461.65

PLAINVIEW
Y e ll County

FARM ERS BANK

Charter No. 501. Date of Charter, December 26, 1916.
O fficers—O. N. Harkey, President; R. L. Elliott, Vice President; B. Williams, Cashier.
D irectors—O. N. Harkey, R. L. Elliott, Sam C. Barry, L. C. Breashears, J. B. Law, H. D.
Rolla, B. E. Smith.
STATEMENT OF DECEMBER 31. 1921
R E SO U R C E S
L oans and d iscou n ts..........................$ 9 6 ,5 8 1 .2 4
L oans on real estate..........................
12,412.90
1 5.00
Other bonds and securities..............
F urnitu re and fixtures..................
1,867.89
B an kin g h ou se......................................
8,117.42
Cash item s.............................................
254.02
Due from reserve banks................... 30,273.53
Checks on other ban ks..... ...............
34.90
C urren cy ................................................
4 ,4 0 1.00
G old ................................
175.00
S ilv er ............................. 1......... ..............
678.40

Capital

L IA B I L I T I E S
s to ck ......................................... $ 50, 000.00

Certified surplus.............................
Undivided profits.............................

In d ivid u a l

5 300.00
3 216.96

d ep osits............................

82 422.57

922.19
12 926.88

Public funds ...................................
Certificates of deposit, demand....
Total deposits ..... *...... 96,271.64
Other liabilities...............................

23.30

Total deposits ...............$35,817.45

Total

.$154,811.90

Total

$154,811.90

PLUMERVILLE
Conway County

B A N K O F P L U M E R V IL L E

Charter No. 89. Date of Charter, April 11, 1902.
O fficers—A. D. Malone, President; A. B. Payne, Vice President; A. J. Nesbitt, Cashier; W. H.

Duff, Assistant Cashier.

D irectors—A.^D. Malone, A. B. Payne, A. R. Bowdre, A. H. Malone, J. W. Fryer.

STATEMENT OF DECEMBER 31, 1921
LIABILITIES
Capital stock................................... $
Certified surplus.............................
Undivided profits.............................
Bills payable...................................
Individual deposits........................
Public funds...........
Certificates of deposit, time.... .....
Total deposits ..............$92,173.88

R E SO U R C E S
L oans and d iscou n ts.............................$ 79,083.83
L oans on real estate....,.................... 29,4 75 .7 1
O verd rafts ........
364.72
U. S. b o n d s ....... ..........................
57,450.00
O ther bon d s and securities...........
244.20
F urnitu re and fixtures.......................
1,000.00
B an kin g h ou se...... ......
1,600.00
Cash item s...........................
66.90
Due from reserve ban ks..................
12,140.16
C urren cy ..............................
2,606.00
G old ............................
200.00
S ilver .......................................................
758.33

40,000.00
10,000.00
14,415.97
30,000.00
83,821 49
1,816.39
6.536.00

Total cash and Ex...... $16,371.39
T otal




.$18 5,56 9 .8 5 '

T otal

.$ 186,589.85

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163

POCAHONTAS
Randolph County
POCAH ONTAS STATE BANK

Charter No. 91. Date of Charter, May 16, 1902.
O fficers—Min M. Carter, President; Dr. J. W. Brown, Vice President; Ben A. Brown, Cashier;

Clifford Price, Assistant Cashier.

D irectors—M. M. Carter, Dr. J. W. Brown, Dr. T. Z. Johnson, John R. Kizer, J. W. Shannon,

Eugene Thompson, Z. A. Schnabaum.

STATEMENT OF DECEMBER 31, 1921
LIABILITIES
Capital stock................................... $ 50.000.00
Loans and discounts.......................$222,538.15
Certified surplus............................. 10,003.00
Loans on real estate...................... 14,826.00
Overdrafts .......................................
1,403.15
Undivided profits............
6,359.42
U. S. bonds..................................... 11,936.03
Bills payable................................... 30,000.00
Other bonds and securities...............................22,662.33
JBills payable “ Deposits on which
more than 4 per cent interest
Furniture and. fixtures..................
2,000.00
is paid’ ’ ....................................... 11,410.00
Ranking house.................................
6,000.00
Savings accounts ....................... i.~. 43,077.79
Cash items.......................................
780.30
Individual deposits......................... 185.551.63
Due from reserve hanks................ 44,891.05
Public funds..................................... 14,000.00
353.42
Checks on other hanks..................
Cashier’ s checks.............................
1,148.14
Currency .........................................
7,08 7.00
Total deposits ...........$243,777.56
Gold ..................................................
2,952.50
Silver .............................................
2,665.04
Other liabilities...............................
15.99
Total cash and Ex...... $58,727.31
R E SO U R C E S

Total ........................................... $340,152 97

Total ............................................$340,1.52 97

JThis amount not added in totals.

POCAHONTAS
Randolph County

RANDOLPH CO U N TY BANK

Charter No. 45. Date of Charter, February 14, 1898.
O fficers—E. Dalton, President; H. L. Throgmorton, Vice President; T. H. Wells, Vice President;

J. D. Wells, Cashier; Ben F. Mays, Assistant Cashier.

D irectors—B. Borowsky, W. C. Brown, E. Dalton, Lewis Dalton, Dr. W. E. Hamil, W. A. Jackson,

T. M. Mays, W. L. Pope, George Promberger, H. L. Throgmortqn, C. E. Stuttle, F. Spinnenweber, T. H. Wells, J. D. Wells.
STATEMENT OF DECEMBER 31, 1921

R ESO U R C E S
Loans and d iscou n ts.......................... $253,608.51
20.415.00
Loans on real estate..........................
916.70
O verdrafts .............................................
U. S. b on d s........................................... 25,324.27
2,952.42
Other bonds and securities..............
3.860.00
F urnitu re and fixtures.....................
5.600.00
B an king hou se...... ...............................
3.400.00
O ther real estate.................................
130.00
Item s in tran sit...................................
28,000.00
Due from non -reserve ban ks...........
36.48
Cash item s.............................................
62,698.82
Due from reserve ban ks................
5,205.80
Checks on other banks.....................
C urrency ................................................ 12.541.00
30.00
G old .........................................................
3,053.44
S ilv er ...... .............................................

Total cash and E x.....$111,695.54
Other

48.14

resou rces...................................

T otal

.$427,820.58

JThis amount not added in totals.




LIABILITIES
Capital stock................................... $ 55,000.00
Certified surplus.............................
8,500.00
Undivided profits.............................
3,975.48
JBills payable “ Deposits on which
more than 4 per cent interest
is paid’ ’....................................... 18,500.00
Savings accounts............................. 14,550.85
Individual deposits......................... 269,231.13
Public funds................................... 43,296.37
Certificates of deposit, time------ 28,639.03
Cashier’ s checks.............................
4,627.72
Total deposits ............$360,345.10

Total

.$427,820.58

164

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POLLARD
Clay County

BANK OF POLLARD

Charter No. 496. Date of Charter, October 14, 1919.
O fficers—J. P. Hiller, President; J. W. Housman, Vice President; J. B. Blakemore, Cashier; A. F,

Grider, Assistant Cashier.

D irectors—J. P. Hiller, J. W. Housman, W. J. Johnson, O. C. Grider, J. B. Blakemore.

STATEMENT OF DECEMBER 31, 1921 '
R E SO U R C E S

L IA B I L I T I E S

Loans and discounts.........................$35,279.57
Loans on real estate.........................
990.00
Overdrafts .........................................
92.21
Furniture and fixtures...................... 1,950.00
Banking house................................... 2,900.00
Cash items.........................................
8.55
Due from reserve banks.................. 7,719.27
Currency ...........................................
1,567.00
Gold ....................................................
205.00
Silver ................................................
453.89
Total cash and Ex.........$9,953.71

Capital stock......................................$10,000.00
Certified surplus............................... 2,000.00
Undivided profits............................
223.67
Bills payable..................................... 12,000.00
Individual deposits.—....................... 16,623.12
Due to non-reserve banks................ 1,965.81
Certificates of deposit, time............. 8,343.17
Total deposits ..........—.$26,932.10
9.72
Other liabilities.................................

Total ............................................. $51,165.49

Total ..................... :.......................$51,165.49

PORTIA
Lawrence County

B A N K O F P O R T IA

Charter No. 174. Date of Charter, November 25, 1904.
O fficers—R. S. Madison, President; J. G. Richardson, Vice President; J. M. Hatfield, Cashier.
D irectors—J. G. Richardson, R. S. Madison, J. C. Childers, Jno. K. Gibson, W. F. Rowsey, J. M.

Lester, Fred Mitchell.

STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S

Loans and discounts...................... $ 56,397.15
Loans on real estate......................
7,815.00
Overdrafts ........................................
135.83
Other bonds and securities............
3,727.13
Furniture and fixtures..................
1,445.00
Banking house................
1,900.00
Due from reserve banks................ 36,770.60
Currency .........................................
3,154.00
Gold ...........
10.00
Silver ..................
1,358.66
Total cash and Ex.......$41,293.26
Total

.$112,713.37

L IA B I L I T I E S

Capital stock................................... $ 10,000.00
Certified surplus.............................
5,000.00
Undivided profits.............................
2,057.27
Individual deposits......................... 85,363.91
Public funds...................................
1,000 00
Certificates of deposit, time..........
9,179.19
Cashier’ s checks.............................
113.00
Total deposits ..............$95,656.10

Total

.$112,713.37

PORTLAND
Ashley County

PEOPLES B A N K

Charter No. 251. Date of Charter, January 22, 1908.
O fficers—J. C. Bain, President; E. J. Camak, Vice President; J. W. Brown, Cashier; A. J.

Gregory, Assistant Cashier.

D irectors—J. C. Bain, J. W. Brown, S. J. Wilson, W. T. Cone, S. L. Adams, E. J. Camak, A. J.

Gregory, T. Y. Wall, W. E. Dean.

STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S

Loans and discounts...................... $ 89,477.21
Loans on real estate...................... 104,325.00
Loans on cotton...............................
5,595.78
Overdrafts .......................................
174.36
Other bonds and securities............
3,123.15
Furniture and fixtures..................
2,100.00
Due from reserve banks................ 14,746.76
-Checks on other banks..................
48.21
Currency .........................................
4,946.00
Silver ..............................................
696.85
Total cash and Ex...... $20,437.82
Other resources...............................
1,505.50
T otal




.$226,738.82

LIABILITIES
Capital stock...... ............. .............. $ 75,000.00
Certified surplus..............
5,300.00
Undivided profits.............................
2,258.66
Notes rediscounted......................... 75,000.00
Individual deposits......................... 64,035.79
Public funds...................................
663.37
Certificates of deposit, time.......
4,481.00
Total deposits ..............$69,180.16

T otal

.$ 2 26,738.82

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165

PORTLAND
Ashley County

PORTLAND BANK

»

Charter No. 57. Date of Charter, April 23, 1900.
O fficers—J. W. Pugh, President; T. R. Pugh, Vice President; F. P. Harvey, Cashier.
D irectors—J. W. Pugh, T. R. Pugh, H. E. Cockerham.
STATEMENT OF DECEMBER 31. 1921
RESOURCES
LIABILITIES
Loans and discounts...................... $ 64,433.19
Capital stock................................... $ 20,000.00
Loans on real estate...................... 107,344.72
Certified surplus............................. 30,000.00
Loans on cotton...............................
5,245.39
Undivided profits............................. 91,977.85
Individual deposits......................... 186,435.82
U. S. bonds..................................... 37,645.43
Other bonds and securities............
2,293.27
Certificates of deposit, time..........
6 , 000.00
Furniture and fixtures....................
890.93
Cashier’s checks.............................
70.00
Banking house.................................
1,642.96
Total deposits ............$192,505.82
Other real estate............................. 19,265.58
Due from reserve banks................ 90,953.35
Checks on other banks..................
263.79
Currency .........................................
1,956.00
Gold ..................................................
67.50
Silver .............................................
2,016.68
Total cash and Ex...... $95,257.32
Other resources...............................
464.88
Total

.$334,483.67

Total

.$334,483.67

POTTSVILLE
Pope County

C IT IZ E N S B A N K

Charter No. 420. Date of Charter, August 13, 1913.
O fficers—D. H. Rackley, President; J. B. Sinclair, Vice President; Roy Falls, Cashier; Salemma
Blake, Assistant Cashier.
*
D irectors—A. H. Boggess, J. B. Sinclair, N. E. Owens, W. H. Rankin, D. H. Rackley, J. H. Oates,
Roy Falls.
STATEMENT OF DECEMBER 31, 1921
RESOURCES
LIABILITIES
Capital stock................................... 15,000.00
Loans and discounts...................... 63,418.47
3.000.
00
Loans on real estate...................... 17,092.40
Certified surplus.............................
Loans on cotton...............................
1,061.27
1,485.20
Undivided profits.............................
220.83
Overdrafts ............._........................
Bills payable...................................
6 . 0 0 0 . 00
1.050.00
U. S. bonds.....................................
Individual deposits......................... 43,047.17
831.44
Other bonds and securities............
Public funds..................................... 21,687.52
1.615.00
Furniture and fixtures..................
Certificates of deposit, time.......... 10,495.61
715.48
Banking house.................................
1.800.00
Cashier’ s checks.............................
465.00
Total deposits ..............$75,945.78
Other real estate............................
Cash items.......................................
212.16
8,052.71
Due from reserve banks................
3,725 00
Currency .........................................
791.21
Silver .............................................
Total cash and Ex...... $12,781.08
247:63
Other resources...............................
Total

$101,007.05

Total

.$101,007.05

PRAIRIE GROVE Washington County

FARM ERS STATE BANK

Charter No. 166. Date of Charter, August 29, 1904.
O fficers—S. R. Wilson, President; R. L. McCoy, Vice President; R. A. Barnes, Cashier; Ewing
Pyeatt and Auda Barnes, Bookkeepers.
D irectors—S. R. Wilson, F. A. Dorman, R. L. McCoy, R. E. Pyeatt, J. F. Parker, W. R. Camp­
bell, R. D. Bogart, P. A. Hartley, R. A. Barnes.
STATEMENT OF DECEMBER 31, 1921
LIABILITIES
RESOURCES
Loans and discounts...................... $ 60,168.79
Capital stock................................... i
Loans on real estate...................... 40,000.00
Certified surplus.............................
Overdrafts ........
299.39
Undivided profits.............................
Postal savings accounts..................
Furniture and fixtures..................
1,500.00
Dividends unpaid.............................
Banking house.................................
7,500.00
Individual deposits........................
Cash items....................................... ' 1,300.92
Certificates of deposit, time..........
Due from reserve banks................ 23,928.39
Total deposits............$100,909.22
Currency .........................................
990.00
Gold ..................................................
665.00
Silver .................
1,118.73
Total cash and Ex...... $28,003.04
T otal




.$137,471.22

T otal

25,000.00
11,500.00
62.00
20.42
2,500.00
64,309.59
34,079.21

$ 13 7,471.22

166

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B a n k C om m issioner

PRESCOTT
Nevada County

B A N K O F PRESCOTT

Charter No. 162. Date of Charter,^ August 10, 1904.
O fficers—Thos. C. McRae, President;

James G. Clark, Vice President; S. J. Hesterly, Vice
President; Thos. C. McRae, Jr., Cashier; Wren Scott, Assistant Cashier; S. T. White, Jr.,
Assistant Cashier; W. R. Hambright, Assistant Cashier.

D irectors—Tho. C. McRae, James G. Clark. S. J. Hesterly, W. V. Tompkins, Thos. C. McRae, Jr.,

D. L. McRae, E. L. Cox, Sam T. White, F. E. Murrah, Chas. H. Tompkins, Wren Scott.
STATEMENT OF DECEMBER 31, 1921

L IA B IL IT IE S
R ESO U R C E S
Capital s to ck .........................................! > 75,0 00 .0 0
L oans and discou n ts.......................... $577 ,9 5 9 .1 3
Certified s u r p lu s .................................
L oans on real estate..........................
59,4 56 .3 0
75,0 00 .0 0
L oans on cotton .................................
9 36.72
U nd ivid ed p rofits........... .....................
10,646.77
S avings a ccou n ts................................. 2 33 ,60 3 .3 7
O verd rafts ...........................
168.09
U. S. b o n d s ...........................................
79,600.00
In d ivid u a l d ep osits............................ 4 00 ,28 0 .2 2
u b lic fu n d s ........................................
4 3,0 46 .8 9
O ther bon d s and secu rities....................................4 ,3 3P9.02
C ertificates o f deposit, dem and.... 4 8 ,3 4 5 .5 6
•Furniture and fixtures.....................
8,6 9 1.05
C ashier’ s ch eck s........•........................
3 ,2 6 9.85
B an king hou se......................................
8,000.00
Total deposits ...........$728,545.89
5,777.76
O ther real estate.................................
Other lia b ilitie s....................................
5,063.53
Item s in tra n sit...................................
3 52.25
D ue from non-reserve ban ks.........
3 ,312.37
779.72
Cash item s.............................................
Due from reserve banks........... :...... 1 03,244.82
Checks on other banks.....................
836.51
C urren cy ......
3 2,0 92 .0 0
G old ..........................................................
756.00
S ilv er
.................................................
4 ,8 4 6.06

Total cash and E x.....$146,219.73
Other

resou rces....................................

T otal'

3,108.39

.$89 4,25 6 .1 9

Total

.$ 8 94,256.19

PRESCOTT
Nevada County

F IR S T S T A T E B A N K

Charter No. 456.

Date of Charter, August 28, 1916.

O fficers—C. A. Smith, President; W. B. Waller. Vice President; E. M. Sharp, Cashier; Miss Hazel

Hamilton, Assistant Cashier.

D irectors—C. A. Smith, J. C. Woodul, A. H. Smith, E. M. Sharp, W. B. Waller, Geo. F. Cress,

J. M. Stripling

STATEMENT OF DECEMBER 31. 1921
R ESO U R C E S
Loans and d iscou n ts.......................... $ 1 7 9 ,9 6 1 .3 5
L oans on real estate..........................
11,9 45 .5 0
14,000.00
U. S. b on d s ...........................................
B ond s to secure postal savings....
1,000.00
Other bon d s and secu rities...........
430.00
F urnitu re and fixtures.....................
2 ,9 5 3.44
B an kin g hou se......................................
10,000.00
Due from non-reserve ban k s.........
14,930.67
Cash item s.........................
178.56
D ue from reserve banks...................
8,782.33
Checks on other ban ks...................
860.89
C urren cy ................................................
7,848.00
G old ..........................................................
520.00
S ilv er .....................................................
3 ,203.21

L IA B IL IT IE S
Capital s to ck ........................................ !
Certified s u r p lu s .................................
U nd ivid ed p rofits.................................
B ills p a ya b le........................................
Notes red iscou n ted ............................
S avings a ccou n ts.................................
P osta l savings a ccou n ts...................
In d ivid u a l d ep osits............................
P u b lic fu n d s .........................................
Due to n on -reserve b an ks..............
C ertificates o f deposit, dem and.-..
C ashier’ s ch eck s....... .........................

Total deposits ............$133,805.63

5 0 .0 0 0 .
00
3 .500.00
5.989.00
5 3 .0 0 0 . 00
11,9 19 .3 2
37,3 00 .8 7
67.71
6 2 ,3 3 6 .2 0
2 0,5 40 .2 9
1,230.18
1 2 .0 0 0 .
99
329 .39

Total cash and Ex.......$36,323.66
O ther

resou rces....................................

T otal




1,600.00

.$ 2 58,213.95

T otal

.$ 2 5 8,21 3 .9 5

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A rkansas

QUITMAN
Cleburne County

B A N K O F Q U IT M A N

Charter No. 139. Date of Charter, August 15, 1903.
O fficers—R. L. Kane, President; Beulah Kane, Vice President; Ben F. Clark, Cashier.
, Frank Jenkins, Henme Hammack.
D irectors—R. L. Kane, Beulah Kane, Laura Wi

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts............................ $26 ,90 5 .0 8
L oans on real estate............................ 21,743.50
Loans on cotton ......................................
500.00
O verdrafts ....................
74.75
Other bonds and secu rities.............. 2,000.00
Furniture and fixtures..............
800.00
Item s in transit......................................
44.00
Due from non-reserve ban ks........... 10,291.85
480.57
Cash item s..............
Due from reserve ban ks.....................
5,873.47
C urrency i................................................. 3,614.00
S ilver ................................................ '....
' 797.40

L IA B I L I T I E S
Capital s to ck ...........................................$10,000.00
Certified s u r p lu s ...................................
4,000.00
U ndivided p rofits.................................... 2 ,792.05
In d ivid ual d ep osits............................... 44,7 73 .1 3
299.72
P u b lic f u n d s ................................
Due to n on -reserve ban k s...................
31.92
Certificates o f deposit, tim e............. 10,706.42
C ashier’ s ch eck s...................................
521.38

Total deposits .............. $56,332.57

Total cash and Ex...... $21,101.29
T otal

.................................................... $73,12 4 .6 2

T otal

.................................................... $73 ,12 4 .6 2

RATCLIFF
Logan County

B A N K O F R A T C L IF F

Charter No. 399. Date of Charter, December 28, 1912.
O fficers—R. A. Harkins, President; H. E. Ri
, Vice President; W. D. Stroud, Cashier; W. F.
Stroud, Assistant Cashier.
D irectors—R. A. Harkins, C. O. Parker, H. E. Richey, W. R. Chastain, Lewis Sadler, John Yunker,
M. W. Ronk.
STATEMENT OF DECEMBER 31. 1921
R E SO U R C E S
L oans and d iscou n ts......................... $ 52,137.15
L oans on real estate..........................
35,379.19
Loans on cotton ...................................
21.556.33
Other bonds and secu rities...........
1,698.77
F urniture and fixtures.....................
1,517.55
B an king hou se......................................
1,873.94
Due from non-reserve b an ks.........
1,583.29
8,6 1 9.64
Due from reserve banks..................
C urrencv ................................................
3,289.00
S ilver .......................................................
173.29

Total cash and Ex...... $13,665.22
Total

L IA B IL IT IE S
Capital s to ck ........................................... $15,00 0 .0 0
Certified s u r p lu s ..................
5,000.00
U ndivided p rofits..................
3,594.92
{B ills payable “ D eposits on w hich
m ore than 4 per cent interest
is p a id ’ ’ ............................... 39,889.36
In d ivid u a l d ep osits....................... —.
63,428.04
C ertificates o f deposit, dem and.... 3 9,8 89 .3 6
C ashier’ s ch eck s..................
915.67

Total deposits ............$104,233.07

Other lia b ilitie s........... ..........................

.................................................. $ 12 7 ,8 2 8 .1 5

.16

T otal' .................................................. $127 ,8 2 8 .1 5

{T h is amount not added in totals.

RAVENDEN
Lawrence County

BANK OF R AVENDEN

Charter No. 202. Date of Charter, December 15, 1905.
O fficers—L. B. Poindexter, President; Wm. Bottoms, Vice President; N. R. Moore, Cashier.
D irectors—L. B. Poindexter, Wm. Bottoms, Luther Ball.
STATEMENT OF DECEMBER 31, 1921
L IA B I L I T I E S
R ESO U R CE S
. Capital stock .................
$ 10,000.00
Loans and discou n ts...................
$33,35 6 .2 7
Certified s u r p lu s .................................... 2 ,650.00
Loans on real estate............................ 11,440.00
U n divided p rofits.......................,...........
1,089.12
U. S. b on d s.............................................
3,000.00
In d ivid u a l d ep osits............................... 38,043.84
Other bonds and secu rities................
373.35
C ertificates o f deposit, tim e.........
14,214.00
F urniture and fixtures...................
720.00
C ashier’ s ch eck s....................................
967.07
B an king house........................................
1,50(J.00
Total deposits .............. $53,224.91
Item s in transit......................................
80.00
Due from non-reserve b an ks................................. 101.02
Due from reserve banks..................... 12,379.30
C urren cy ..................................................
3,197.00
G old ............................................................
280.00
S ilver .......................................................
339.09

Total cash and Ex...... $16,394.41

Other

resou rces......................................

Total




180.00
$66,96 4 .0 3

T otal

$ 66,964.03

168

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of

B a n k C ommissioner

RAVENDEN SPRINGS
Randolph County
L O N E ROCK B A N K

Charter No. 437.

Date of Charter, April 11, 1914.

O fficers—S. F. Davis, President; R. L. Higginbotham, Vice President; J. B. Duvall, Cashier.
D irectors—S. F. Davis, H. B. Hull, Joe S. Decker, R. L. Higginbotham, J. B. Duvall.

STATEMENT OF DECEMBER 31, 1921
RESOURCES

L oans and d iscou n ts....................... ....$ 1 4 ,0 12 .9 1
....
5,027.32
....
1,150.00
950.00
950.00
700.00
271.50
.... 6,6 7 5.69
C urrency ............................................. .... 1,505.00
G old .......................................................
45.00
S ilv er ..................................................
2 98.16
T o ta l cash and E x ..........$8,5 23 .8 5
T ota l

..... :......................................... .—$31 ,58 5 .5 8

Capital

LIABILITIES

s to ck .................

C ertificates o f deposit,

.$ 1 0 ,000.00
1,600.00
571.84
18.50
16,4 61 .6 4
133.00
1,345.60
305.00

T otal d ep osits ............... $ 1 8 ,26 3 .7 4
.

T otal

............................

1,150.00

.$ 3 1 ,5 85 .5 8

RECTOR
Clay County
BANK OF RECTOR

Charter No. 51. Date of Charter, August 1, 1899.
O fficers—J. C. Rogers, President; Eli Meiser, Vice President; M. M. Craven, Cashier; O. A.

Harper, Assistant Cashier.

D irectors— J. C. Rogers, Eli Meiser, J. N. McNiel, J. D. Block, M. M. Craven, G. H. Hardin,

A. J. Sides, Joseph Wolf.

STATEMENT OF DECEMBER 31, 1921
LIABILITIES

RESOURCES
Loans and d iscou n ts.......................... $ 3 1 0 ,2 6 8 .4 7
L oans on real estate..........................
51,069.89
O verd ra fts ................................................
9 82.59
U . S. b o n d s ...... .................................... 36,250.00
Other bonds and securities..............
12,019.69
F urnitu re and fixtures........................
4 ,8 9 7.65
B an kin g h ou se......................................
6,000.00
O ther real estate.................................
3 ,413.50
Item s in tra n sit....................................
75.00
D ue from n on -reserve ban ks.........
11,1 96 .0 2
Cash item s........................ ....................
3,5 2 2.75
D ue from reserve ban ks................... 50,2 28 .9 2
C hecks on other ban ks.....................
211.04
C urren cy ................................................
10,884.00
G old .........................................................
775.00
S ilv er .....................................................
3 ,266.72
T o ta l caBh and E x ........$ 80 ,15 9 .4 5
T ota l




$ 5 0 5 ,0 6 1 .2 4

Capital stock ................ ........................$ 5 0 .0 0 0 .
00
Certified s u r p lu s .................................... 5 0 .0 0 0 .
00
U ndivided profits.................................
10,349.86
B ills p a ya b le ......................................... 7 0 .0 0 0 . 00
In d ivid u a l d ep osits............................ 171,07 8 .2 0
P u b lic fu n d s...........................................
4 4,6 66 .0 5
C ertificates o f deposit, tim e..........* 83,048.13
C ash eir’ s ch eck s.................................
1,919.00
T otal d eposits ..............$300 ,7 1 1 .3 8
Other lia b ilities....................................
2 4 .0 0 0 .
00

T otal

$ 5 0 5 ,0 6 1 .2 4

S tate

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A rkansas

169

REYNO
Randolph County
FARM ERS & M ERCH ANTS BANK

Charter No 360. Date ol Charter, December 8, 1911.
O fficers—T. L. Wright, President; E. L. Dickson, Vice President; Elmo Roe, Cashier.
D irectors—T. L. Wright, J. M. Wright, E. L. Dickson, F. E. Belford, Elmo Roe.

STATEMENT OF DECEMBER 31, 1921 •
R E SO U R C E S
L IA B I L I T I E S
Loans and d iscou n ts.............................$31,363.21
Capital s to c k ........................................... $10,00 0 .0 0
Loans on real estate............................
800.00
Certified s u r p lu s .................................... 2,000.00
O verdrafts .............................................
11.78
U ndivided profits.........................:.........
2 00.25
Other bonds and securities..............
349.30
B ills p a ya b le...........................................
7,500.00
900.00
Furniture and fixtures.......................
JBills p ayable “ D eposits on w hich
B anking hou se........................................
1,800.00
m ore than 4 per cent interest
Other real estate...................................
1,730.96
is p a id ’ ’ ...............................................
1,1 3 0.66
Individual d ep osits............................... 24,362.37
Due from non-reserve b an ks................................. 500.00
Cash item s................................................
768.59
Certificates o f deposit, tim e.............. 1,705.66
Due from reserve ban ks.....................
3,118.02
C ashier’ s ch eck s:..................................
364.98
C urrency ................................
3,361.00
Total deposits .............. $26,433.01
G old ...................... - ...................................
167.50
S ilver .......................................................
1,262.90

Total cash and Ex.........$9,178.01

T otal .................................................... $ 46 ,13 3 .2 6

T otal

.....................................................$46 ,13 3 .2 6

JThis amount not added in totals.

RISON
Cleveland County
B A N K O F R IS O N

Charter No. 101. Date of Charter, October 23, 1902.
O fficers— N. A. McKinney, President; J. E. Moore, Vice President; Walter Elrod, Vice President;

Walter Elrod, Cashier; Walter Thomasson, Assistant Cashier.

D irectors—Walter Elrod, H. D. Sadler, N. A. McKinney, J. E. Moore, Jno. T. Hoskins.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
Loans and d iscou n ts..........................
Loans on real estate.......................
Loans on cotton .................................
O verdrafts .............................................
Other bonds and secu rities..............
F urnitu re and fixtures.....................
B an king house......................................
Ite m s, in tra n sit...................................
Due from reserve banks...................
Currency ................................................
G old .......................................................
S ilver .......................................................

Total deposits ..............$46,383.72
Total




73,724.88
98,0 73 .8 1
32,132.72
643.29
770.24
2.1 7 5.00
4.4 1 0.00
25.80
33,4 90 .3 6
9.847.00
935.00
2,085.56

.$25 8,31 3 .6 6

L IA B I L I T I E S
Capital s to ck ..... .................................. ; 4 o ,o oo .o o
Certified s u r p lu s ...... ’. .........................
2 0 , 000.00
U ndivided p rofits.................................
4,056.62
Ind ivid u al d ep osits............................ 158,532.15
P u b lic fu n d s ........................................
18,110.88
C ertificates o f deposit, dem and....
17,614.01

Total deposits ............ $194,257.04

Total

$258 ,3 1 3 .6 6

170

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of

B a n k C om m issioner

ROGERS
Benton County
FARM ERS STATE BANK

Charter No. 300.

Date of Charter, February 8, 1910.

O fficers—E. G7- Sharp, President; W. T. Maxwell, Vice President; F. E. Miller, Cashier, L. E.

Page, Assistant Cashier.

D irectors—J. L. Chapin, E. G. Sharp, W. T. Maxwell, F. E. Miller, O. F. Chapin, J.-F. Patterson.

R.

H. Whitlow.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and discou n ts.......................... $ 41 6 ,3 6 0 .5 9
L oans on rea l estate..........................
10 , 000.00
U. S. b on d s...........................................
4.0 5 0.00
O ther bon d s and securities..............
528.00
B an king h ou se......................................
2 5,0 00 .0 0
O ther real estate.................................
2 , 000.00
Item s in tra n sit.................................
1,511.90
Cash item s.............................................
336.53
Due from reserve banks..................
59,6 64 .1 1
Checks on other ban ks.....................
4,1 0 9.48
C urren cy ..................................
15,934.00
G old .........................................................
2 .030.00
S ilv er .......................................................
4 ,4 3 9.46

L I A B IL IT IE S
Capital s to c k ........................................ ! ; 50,000.00
Certified s u r p lu s .................................
2 5 .0 0 0 .
00
13,4 63 .7 5
U nd ivid ed p rofits.................................
B ills p a ya b le......................................... 2 7,5 00 .0 0
1 5.0 00 . 00
N otes red iscou n ted ............................
Savings a ccou n ts.................................
15,288.68
In d ivid u a l d e p osits............................ 306,07 0 .8 3
1 , 0 0 0 .0 0
Due to non -reserve b an ks..............
90,979.51
C ertificates o f deposit, tim e...........
1,508.40
C ashier’ s ch e ck s.................................

Total deposits ............$414,847.42

Other lia b ilitie s....................................

202.90

Total cash and Ex...... $85,025.48

O ther

resou rces...................................

T otal

50.00
.$54 6,01 4 .0 7

T otal

$ 54 6 ,0 1 4 .0 7

RUSSELLVILLE
Pope County
B A N K O F R U S S E L L V IL L E

Charter No. 44. Date of Charter, December 23, 1897.
O fficers—W. G. Neal, President; R. L. Smith, Vice President; J. J. Shoptaw, Vice President;

George S. Neal, Cashier; Lloyd M. Reed, Assistant Cashier.

D irectors—W. G. Neal, R. L. Smith, L. A

Reed, T. R. Rye, J. L. Rankin, J. J. Shoptaw, George
Neal, W. J. Higgins, R. L. Jenkins, Brown Rogers.

S.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts.......................... $ 2 2 9 ,8 8 9 .7 4
L oans on real estate..........................
55,666.03
L oans on cotton ................
6 ,445.16
O verd ra fts .............................................
1,791.61
U. S. b o n d s .....................
8 2,9 06 .5 7
4 ,8 5 2.15
O ther bonds and secu rities..............
F urnitu re and fixtures.....................
9 ,3 6 2.03
Banking, h ou se..................................-...
15,000.00
D u e from n on -reserve b an k s......... 4 4,8 59 .5 6
Cash item s.............................................
845.33
Due from reserve hanks..................
2 5,0 60 .5 5
Checks on other ban ks.....................
1,643.33
C urren cy ................................................
8,8 6 4.00
G old *.........................................................
272.50
S ilv er .......
1,644.51

L IA B I L I T I E S
Capital s to ck ........................................ $ 75,000.00
C ertified s u r p lu s .................................
3 7,7 50 .0 0
U nd ivid ed p rofits.................................
14,0 28 .5 5
16,2 98 .6 2
Savings a ccou n ts.................................
In d ivid u a l d ep osits............................ 2 6 5 ,95 1 .8 6
P u b lic fu n d s..... ;....................................
17,8 00 .8 5
D ue to n on -reserve b an k s...............
2 ,198.96
C ertificates o f deposit, tim e............ 6 1,4 90 .0 7
C ash ier’ s ch eck s.................................
1,987.49

Total deposits ............$365,727.85

Total cash and E x.......$83,189.78
O ther

resou rces...................................

T otal




3,403.33
$ 49 2 ,5 0 6 .4 0

T otal

$ 49 2 ,5 0 6 .4 0

S tate

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A rkansas

171

RUSSELLVILLE
Pope County
,

FARM ERS STATE BANK

Charter No. 493. Date of Charter, September 23, 1919.
O fficers—A. D. Shinn, President; W. L. Oates, Vice President; A. N. Falls, Cashier; H. F. Hays,

Assistant Cashier.

D irectors—A. D. Shinn, W. L. Oates, Van Boswell, W. J. Chronister, R. M.- Oates, K. M. Willis,

I. L. Talkington, Chas. Howell, A. N Falls.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
Loans and d iscou n ts.......................... $107 ,5 8 7 .8 1
Loans on real estate.......................... 28,377.72
308.18
O verdrafts .............................................
U. S. b on d s...........................
5,200.00
Other bonds and Securities..............
3 ,026.96
F urnitu re and fixtures.....................
6,915.12
Item s in tra n sit...................................
1,871.75
Cash item s.............................................
91.60
D ue from reserve ban ks..................
15,722.06
Checks on other banks.....................
3,060.83
C urrency ................................................ 12,404.00
G old .......................................
130.00
S ilver ............................. ...... *................
2,3 8 1.60

L IA B I L I T I E S
Capital s to ck ........................................ ;
Certified s u r p lu s .................................
U ndivided p rofits.................................
B ills p a ya b le................................... .
Savings a ccou n ts.................................
Ind ivid u al d ep osits............................
P u b lic fun ds
...................................
Certificates o f deposit, tim e.........
Certified ch eck s...................................

Total deposits ............$117,517.87

5 0.0 00 .
00
5,500.00
4 ,059.76
10 . 00 0 .
00
6,210.55
90,4 68 .6 9
6,547.18
13,766.45
525.00

Total cash and E x.......$35,661.84
Total

.$187,077.63

Total

.$187,077.63

RUSSELLVILLE
Pope County
PEOPLES E X C H A N G E B A N K

Charter No. 18. Date of Charter, March 24, 1890.
O fficers—R. J. Wilson, President;. W. J. White, Vice President; H- W. Patrick, Vice President;

L. B. McClure, Vice President; M. A. Patrick, Cashier; D. B. Henry, Assistant Cashier.

D irectors—J. M. Ball, J. M. Campbell, W. P. Ferguson, R. B. Henry, W. L. Howell, G. C.

McKennon, L. B. McClure, H. W. Patrick, M. A. Pinkerton, W. M. Swilling, R. J. Wilson,
W. J. White, Jno. W. White
STATEMENT OF DECEMBER 31. 1921

L IA B IL IT IE S
R E SO U R C E S
Capital s to ck .........................................$ 1 00,000.00
Loans and d iscou n ts.......................... $ 35 3 ,3 5 6 .6 8
Certified s u r p lu s .................................
35,000.00
Loans on real estate.......................... 134,951.05
Loans on cotton ...................................
12,948.02
U ndivided p rofits.................................
16,067.58
Savings
a
ccou
n
ts.................................
9 ,234.84
U. S. b on d s........................................... 39,400.00
Other bonds and securities....................................35,9In
28d.6ivid
5 u a l d ep osits............................ 4 20,782.50
P u b lic fu n d s ........................................
24,0 59 .0 5
B anking house......................................
15,000.00
C ertificates o f deposit, tim e........... 121,015.09
Other real estate...... ..........................
100.00
Total deposits ............$575,091.48
Due from reserve ban ks................... 9 2,0 99 .4 5
Checks on other ban ks.....................
5,835.04
C urrency ................................................ 30,4 78 .0 0
G old .........................................................
720.00
S ilver ....................................................
3,542.17

Total cash and Ex.... $132,674.66

O ther

resou rces...................................

T otal




1,800.00
$ 7 2 6 ,1 5 9 .0 6

T otal

$726 ,1 5 9 .0 6

172

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of

B a n k C om m issioner

ST. CHARLES
Arkansas County
B A N K O F ST. C H A R L E S

Charter No 475.

Date of Charter, March 10, 1919.

O fficers—S. B. Dennison, President, W. H. Norsworthy, Vice President; Geo. W. McCann, Cashier.
D irectors—S. B. Dennison, W. H. Norsworthy, W. G. Walton, C. J. Roy, S. S. Terry, D. S. Parker,

T.

L. Crabtree, John Webster, Wm. Dupslaff.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts.......................... $ 10 3 ,5 6 4 .5 6
L oans on real estate........... ..............
5,201.43
114.77
O verd ra fts .............................................
U. S. b on d s ..........................
46.26
Other bonds and secu rities..............
3 ,1 2 8.36
F urnitu re and fixtures.....................
2,0 5 9.22
4 ,7 2 2.04
O ther real estate.................................
Cash item s.............................................
190.80
Due from reserve ban ks................... 17,0 36 .5 1
C urren cy ................................................
2 ,727.00
S ilv er .....................................................
356.49

Total cash and Ex...... $20,310.80
O ther

resou rces....................................

L IA B I L I T I E S
Capital S to ck ........................................ i
C ertified s u r p lu s .................................
U nd ivid ed p rofits.................................
B ills p a y a b le........................................
$Bills pa ya b le “ D eposits on w hich
m ore than 4 per cent interest
is p a id ’ ’ ...... -.....................................
In d ivid u a l d e p o sits............................
P u b lic fu n d s ........................................
C ertificates of deposit, tim e...........
C ashier’ s ch eck s.................................

2,570.08
4 5,0 29 .0 6
17,709.78
3,337.63
519.49

Total deposits ..............$66,595.96

4,5 1 8.27

.$14 3,66 5 .7 1

T otal

15,000.00'
1,800.00
1,586.39
5 8,6 83 .3 6

$ 14 3 ,6 6 5 .7 1

T otal

JThis am ount not added in totals.

SAINT FRANCIS
Clay County
B A N K O F S A IN T F R A N C IS

Charter No. 173. Date of Charter, November 21, 1904.
O fficers—D. R. Stanley, President; Wm. F. Linke, Vice President; A. D. Lacke, Cashier.
D irectors—D. R. Stanley, Wm. F. Linke, A. D. Lacke.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts.............................$36 ,21 2 .9 8
L oans on real estate............................
3 ,677.50
O verd rafts ................................................
294.15
U . S. b o n d s .............................................
7,750.00
O ther bon d s and secu rities..............
343.90
F urnitu re and fixtures........................
984.20
B an kin g hou se........................................
1,500.00
Due from non-reserve ban ks..............
6.41
D ue from reserve banks................... 2,2 5 2.90
C urren cy ..................................................
1,455.00
G old ..............................................
363.50
S ilv er .......................................................
1 ,205.54

L IA B I L I T I E S
Capital s to ck ........................................... $ 7,500.00
Certified s u r p lu s .................................... 1,9 0 0.00
U nd ivid ed p rofits....................................
1,110.10
B ills p a ya b le............................................. 12,0 00 .0 0
In d ivid u a l d ep osits............................... 2 2,4 67 .2 9
C ertificates o f deposit, tim e........... 10,857.10
C ash ier’ s ch eck s....................................
253.56

Total deposits .............. $33,577.95

Total cash and Ex........ $5,283.35

O ther resou rces......................................
T otal

41.9 7

.....................................................$ 56 ,08 8 .0 5




T otal

.....................................................$ 5 6 ,08 8 .0 5

S tate

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173

A rkansas

SAINT JOE
Searcy County

C I T IZ E N S B A N K

Charter No. 414. Date ot Charter, May 2, 1913.
O fficers—B. F. Henley, President; Dan Garrison, Cashier.
D irectors—B. F. Henley, Dan Garrison, J. C. White, J. L. Hensley, Ben H. Henley.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts.............................$46 ,40 3 .1 4
Loans on real estaate............................
5,088.11
O verdrafts ...............................................
164.51
U. S. b on d s.............................................
1,400.00
F urniture and fixtures........................ 2,400.00
B an king house...'......................>.............
2,000.00
Due from non-reserve ban k s..............
1,711.12
Cash item s................................................
26.67
Due from reserve ban ks................... 11,635.21
C urrency ..................................................
2,169.60
G old ............................................................
382.50
S ilver .......................................................
218.22

L IA B I L I T I E S
Capital stock ........................................... $10,00 0 .0 0
Certified s u r p lu s .....................
2..000.00
U ndivided p rofits....................................
512.84
B ills payable “ D eposits on w hich
m ore than 4 p er cent interest
is p a id ” ................................................
5,800.00
D ividen ds un p aid .................................... 1,500.00
Ind ivid u al d ep osits.............................. 43,768.78
Certificates o f deposit, tim e.............. 15,489.82
C ashier’ s ch eck s....................................
327.04

Total deposits ..............$61,085.64

Total cash and Ex...... $16,142.72
T otal

.................................................... $ 73,598.48

T otal

.................................................... $ 73,598.48

SAINT PAUL
Madison County

B A N K O F S A IN T P A U L

Charter No. 242. Date of Charter, August 3, 1907.
O fficers—Chas. E. Crawford, President; Jay Fulbright, Vice President; Wood Barber, Cashier;

Ethyl Barber, Assistant Cashier.

D irectors—J. H. Phipps, Jay Fulbright, Chas. E. Crawford, Wood Barber.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
Loans and d iscou n ts............................ $ 35 ,40 1 .5 4
2,850.00
L oans on real estate............................
U. S. b on d s............................................
1,000.00
1,000.00
F urnitu re and fixtures..........................
B an king hou se......................
1,130.67
176.81
Cash item s...............................................
Due from reserve ban ks.....................
5,291.46
C urrency ..................................................
1,561.00
S ilver ........... 4............................................
316.23

L IA B IL IT IE S
Capital s to ck ........................................... $10,00 0 .0 0
Certified s u r p lu s .................................... 2 ,000.00
U ndivided p rofits.................................... 2,500.27
In d ivid u a l d ep osits.............................. 25,3 60 .8 6
P u b lic fu n d s ...........................................
72.05
Certificates o f deposit, dem and......
8,794.53

Total deposits ..............$34,227.44

Total cash and Ex.........$7,345.50
T otal

.................................................... $48,72 7 .7 1

T otal

.....................................................$48 ,72 7 .7 1

SALEM
Fulton County

B A N K OF SALEM

Charter No. 266.

Date of Charter, December 9, 1908.

O fficers—G. T. Cunningham, President; G.

A. Edmondston, Vice President; H. A. Northcutt,
Vice President; Rex Castleberry, Cashier; H. J. Humphries, Assistant Cashier.
D irectors—G. T. Cunningham, G. A. Edmondston, H. A. Northcutt, Rex 'Castleberry.
STATEMENT OF DECEMBER 31, 1921
R ESO U R CE S
Loans and d iscou n ts..........................i
Loans on real estate..........................
O verdrafts ............................ ................
Other bonds and securities...........
F urnitu re and fixtures..................... „
B an king house......................................
Other real estate....... .........................
Due from reserve ban ks...................
C urrency ...............................................
G old ....... ..................... ...........................
S ilver ........................... ........................

61,710.80
6,243.16
1,378.01
8,302.22
3 .0 0 0.
7.600.00
2. 0 0 0 .
5,856.50
2.925.00
60.00
1,784.31

L IA B IL IT IE S
Capital s tock ........................................ $ 20,000.00
Certified surplus.................. .'...............
5,000.00
U n divided p rofits.................................
1,008.78
B ills p a ya b le........................................
10,000.00
39,377.33
00In d ivid u a l d ep osits............................
P u b lic fu n d s ......................................... 18,825.75
5,184.53
00Certificates o f deposit, tim e.........
C ashier’ s ch eck s.................................
1,463.61

Total deposits .............. $64,851.22

Total cash and E x.......$10,625.81
Total




.$100,860.00

T otal

.$100,860.00

174

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of

B a n k C om m issioner

SCOTLAND
Van Buren County
BANK OF SCOTLAND

Charter No. 404.
O fficers—J. H. Lindsey, President;

W. D. Hatchett, Assistant Cashier.

Date of Charter, February 8, 1913.
Aaron Emmons, Vice President; J. H. Lindsey, Cashier;

D irectors—Aaron Emmons, A. S. Jones, G. L. Hall, Wm. Hall, John J. Stobaugh, N. A. Simpson,

R. J. Hall,. T. S. Hall, George McCaslin, J. H. Lindsey.

STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
L oans and d iscou n ts.......................... $ 2 3 ,46 2 .6 4
L oans on real estate............................
2 ,605.00
O verd rafts ................................................
114.39
F urnitu re and fixtures.......................
1,150.00
B an king h ou se........................................
500.00
D ue from n on -reserve ban k s........... 10,3 60 .2 3
Cash item s................................................
1,303.35
Due from reserve banks................... 4 ,070.52
C urrency ..................................................
4 ,1 9 1.00
G old ............................................................
360.00
S ilv er ................ :.....................................
443 .64

LIABILITIES
Capital s to ck ........................................... $ 10,000.00
Certified s u r p lu s .................................... 2,0 0 0.00
U nd ivid ed p rofits....................................
1,011.97
In d ivid u a l d ep osits............................... 2 7,1 34 .6 4
Due to n on -reserve b an k s...................
5,831.37
C ertificates o f deposit, tim e..............
1,800.00
C ash ier’ s ch ecks....................................
782.79

Total deposits ..............$35,548.80

Total cash and Ex...... $20,728.74
T otal

.....................................................$ 4 8 ,56 0 .7 7

T otal

.....................................................$ 4 8 ,56 0 .7 7

SCRANTON
Logan County
BANK OF SCR AN TON

Charter No. 269.

Date of Charter, January 9, 1909.

O fficers—Dr. W. H. Higdon, President; J. E. Nichols, Vice President; J. D. Baker, Vice Presi­

dent; C. E. Hays, Sr., Cashier; C. E. Hays, Jr., Assistant Cashier; Justin J. Raible, Assistant
Cashier.

D irectors— W. H. Higdon, J. E. Nichols, J. D. Baker, C. E. Hays, George Heim, Everett C. Walker,

John H. Geels.

STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
L oans and d iscou n ts.......................... $ 13 2 ,1 0 5 .2 8
L oans on real estate..........................
3 9,9 52 .6 4
U . S. b on d s ...........................................
133.57
O ther bonds and secu rities........... 343.82
F urnitu re and fixtures.....................
2 ,456.00
B an kin g hou se......................................
5,000.00
O ther real estate.................................
3 ,555.00
Cash item s.............................................
1 ,313.16
D ue from reserve ban ks................... 2 1,1 84 .0 7
C urren cy ...........................................
2 ,107.00
S ilver .....................................................
747.59

L IA B I L I T I E S
Capital s to ck ........................................ I
Certified s u r p lu s .................................
U nd ivid ed p rofits.................................
B ills p a ya b le........................................
D ivid en ds un p aid ........... .....................
In d ivid u a l d ep osits............................
C ertificates o f deposit, dem and.—
C ashier’ s ch eck s.................................

Total deposits ............$147,391.85

15,500.00
12,0 67 .4 7
101.99
33,8 36 .8 2
1,550.00
92,4 75 .1 8
52,611.59
755.08

Total cash and Ex...... $25,351.82
T otal




.$208,898.13

T otal

$ 20 8 ,8 9 8 .1 3

S tate

of

A rkansas

175

SEARCY
W hite County
BANK OF SEARCY

Charter No. 148.

Date of Charter, January 15, 1904.

O fficers—Thos. A. Watkins, President; S. W. Sanford, Vice President; Otho King, Vice President;

H. K. Wood, Cashier; Guy J. Ellis, Assistant Cashier.

D irectors— Thos. A. Watkins, S. W. Sanford, Otho King, H. K. Wood, C. M. Watkins, B. R. Johnson,

John E. Miller, E. Cypert, W. E. Harlan.

STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
L IA B IL IT IE S
Loans and d iscou n ts.......................... $376 ,2 1 0 .4 8
Capital stock .........................................$ 50,000.00
Loans on real estate..........................
61,817.02
Certified s u r p lu s .................................
50,000.00
5,600.00
Loans on cotton .................................
U ndivided p rofits.................................
580.55
O verdrafts .............................................
1,664.76
B ills p a ya b le......................................... 60,000.00
U. S. bon d s...........................................
14,650.00
In d ivid u a l d ep osits............................ 243 ,56 3 .0 9
6.94
Other bonds and secu rities................................... 3,2 5P
u b lic fu n d s ........................................
28,835.40
B an king house......................................
7,000.00
Certificates o f deposit, tim e......... 114,618.32
Item s in transit....................................
2,176.72"
C ashier’ s ch eck s.................................
2,380.13
4 3,9 50 .2 6
Due from reserve ban ks..................
Total deposits ............$389,396.94
Checks on other ban ks..................
18,882.30
Other lia b ilitie s....................................
1,356.80
C urrency ................................................ 14,244.00
G old .........................................................
1,159.50
S ilver ....................................................
722.31

Total cash and Ex...... $81,135.09
T otal

..................................................$551 ,3 3 4 .2 9

T otal

.................................................. $ 551,334.29

SEARCY
White County
PEOPLES B A N K

Charter No. 11. Date of Charter, July 6, 1889.
O fficers—G. D. Booth, President; J. H. Deener, Vice President; J. S. Sanford, Vice President;

F. B. Welch, Cashier; C. A. Foster. Assistant Cashier.

D irectors—G. D. Booth, J. H. Deener, S. Brundidge, L. E. Moore, J. S. Sanford, J. S. Stilwell,

H. W Booth.

STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
L IA B I L I T I E S
Capital s to ck ........................................ $ 30,000.00
Loans and d iscou n ts..........................$392 ,9 6 4 .0 9
Certified s u r p lu s .................................
70,000.00
Loans on real estate.......................... 91,8 00 .0 0
Loans on cotton .................................
19,760.36
U ndivided p rofits.................................
19,894.52
B
ills
p
a
ya
b
le........................................
90,000.00
'3 ,1 4 4 .7 4
O verdrafts ........
N otes red iscou n ted ............................... 25,000.00
U. S. b on d s........................................... 3 2,6 00 .0 0
Other bonds and secu rities................................... 32,100.13
D ividen ds un p aid.................................
3,000.00
In d ivid u a l d ep osits............................ 2 88,689.19
Furniture and fixtures.....................
3,823.63
B an king house.-...................................
14,955.73
P u b lic fu n d s ......................................... 14,255.71
Certificates o f deposit, dem and.... 114,237.02
Due from non-reserve b an k s..:.....
1,710.89
C ashier’ s ch eck s.................................
7,522.24
Cash item s.............................................
1,504.94
Total deposits ............$427,704.16
Due from reserve ban ks................... 52,771.04
Checks on other banks.....................
1,127.42
C urrency ................................................
9,547.00
G old .........................................................
2,020.00
S ilver ....................................................
1,418.71

Total cash and Ex...... $70,100.00

Other resou rces....................................
Total




1,350.00

.$ 6 62,598.68

T otal

.$662,598.68

176

R eport

of

B a n k C omm issioner

SEARCY
W hite County
U N IO N B A N K & T R U ST C O M P A N Y

Charter No. 291.

Date of Charter, October 27, 1909.

O fficers—W. H. Lightle, President; J. E. Lightle, Vice President; J. B. Lightle, Cashier; C. B.

Garlington, Assistant Cashier.

D irectors—W. H. Lightle, J. Y. Woodson, T. E. Baldock, J. B. Lightle, J. E. Lightle, A. H. R oy-

ston, J. H. McElwee, W. D. Davenport.

STATEMENT OF DECEMBER 31, 1921
L IA B I L I T I E S
R E SO U R C E S
Capital s to ck ........................................ ! I 50,000.00
L oans and discou n ts.......................... $ 3 2 9 ,4 0 6 .2 0
Certified s u r p lu s .................................
11, 000.00
L oans on real estate.......................... 130 ,82 6 .1 0
U nd ivid ed profits ...............................
L oans on co tto n .................................
6 ,642.64
231.57
B ills p a ya b le...................................... 1 03,000.00
O verd rafts .............................................
2 ,9 0 4.56
T ru st fu n d s ...................................... ....
5,705.00
3 4,9 51 .3 0
U . S. b on d s ...........................................
In d ivid u a l d ep osits........................... r 246 ,29 5 .1 8
O ther bon d s and secu rities....................................5 ,444.71
3 1,0 88 .2 6
P u b lic f u n d s ........................................
667 .94
F urnitu re and fixtures.....................
. C ertificates o f deposit, tim e........... 105,551.41
9 66.83
O ther real estate.................................
Certified ch eck s...................................
120.00
Item s in tra n sit...................................
2,0 7 4.32
C ash ier’ s ch eck s.................................
6,5 0 2.54
D ue from reserve ban ks................... 38,1 02 .4 3
Total deposits*............ $395,262.39
C hecks on other ban ks.....................
3,2 6 2.30
6 ,466.56
R eserved fo r tax es............................
C urren cy ................................................
5 ,171.00
G old .........................
856.00
S ilv er ...................
1,135.19

Total cash and Ex...... $50,601.24
Other

3,5 4 9.00

resources.

5 65 ,96 0 .5 2

T otal

Total

5 65,960.52

SHERIDAN
Grant County
GRANT CO U N TY BANK

Charter No 136. Date of Charter, July 29. 1903.
O fficers—J. F. H. Wilson, President; J. D. Knight, Vice President; J. M. Noll, Vice President;

Phillip Johnson, Cashier; C. A. Mitchell, Jr., Assistant Cashier.

D irectors—J. F. H. Wilson, J. M. Noli, J. D. Knight, I. N. Noll, T. C. Rushing, M. W. Elkins,

W. D. Brouse.

STATEMENT OF DECEMBER 31, 1921
R ESO U R C E S
L oans and discou n ts.......................... $ 2 2 7 ,3 1 7 .7 6
O verd rafts .........................................
312.28
U. S. b o n d s .............................................
32,0 00 .0 0
O ther bonds and secu rities..........
275.00
F urnitu re and fixtures.....................
1,985.00
B an kin g h ou se......................................
4 ,7 5 0.00
O ther real estate.................................
4 ,000.00
Cash item s.............................................
399.28
Due from reserve ban k s..................
30,5 21 .3 8
C urren cy ..............
6,353.00
G old ..........................................................
412.50
S ilv er .....................................................
1,724.00

L IA B I L I T I E S
Capital s to ck ............. .......................... $
Certified s u r p lu s .................................
U ndivided p rofits....... .........................
In d ivid u a l d ep osits.............................
P u b lic fu n d s .........................................
C ertificates o f deposit, tim e...........
C ashier’ s ch eck s.................................

Total deposits ............$271,204.83

22,5 00 .0 0
10,000.00
7,345.37
1 76,179.27
4 3,3 77 .2 2
48,0 81 .3 9
3 ,566.95

Total cash and Ex...... $39,410.16

O ther

resou rces................,..................

T otal




1,000.00
$ 31 1 ,0 5 0 .2 0

T otal

$ 31 1 ,0 5 0 .2 0

177

S ta te of A rk a n sa s

SHERRILL
Jefferson County

B A N K O F S H E R R IL L

Charter No. 421. Date of Charter August 13, 1913.
O fficers—J. F. Quattlebaum, President; J. M. Barrett, Vice President; E. L. Pyle, Cashier.
D irectors—J. F. Quattlebaum, W. I. Payne, Jo Nichols, Lee M. Quattlebaum, J. M. Barrett, Moody

Barrett, H. L. Furr.

. STATEMENT OF DECEMBER 31, 1921

R E SO U R C E S
L oans and d iscou n ts......................... $
L oans on real estaate.......................
Loans on cotton ....................................
U . S. b on d s...........................................
F urnitu re and fixtures........................
Cash' item s.............................................
D ue from reserve ban ks....................
C urren cy ................................................
G old ............ :....................................... .
S ilver .....................................................

Total cash and Ex...... $47,178.47

Other resou rces....................................
T otal

L IA B IL IT IE S
Capital stock ........................................ $ 25,0 00 .0 0
Certified s u r p lu s ...........................
2,000.00
U n divided p rofits.................................
2,757.53
72,9 50 .0 5
In d ivid u a l d ep osits............................
P u b lic fun ds...........................................
6,000.00
C ertificates o f deposit, tim e...........
1,460.01

25,7 60 .6 7
14,809.41
2 ,000.00
19,700.00
637.00
101.25
4 1,3 46 .7 5
4 ,635.00
590.00
505.47

Total deposits .............. $80,410.06

82.04

.................................................. $110 ,1 6 7 .5 9

T otal

.................................................. $110 ,1 6 7 .5 9

SHIRLEY
Van Buren County

B A N K O F S H IR L E Y

Charter No. 238. Date of Charter, Januairy 26, 1907.
O fficers—Edward Stevens, President; J. E. Eaton, Vice President; Albert Couch Cashier; R. W.

Lewis, Assistant Cashier.

D irectors—Edward Stevens, E. E. Canerday, Albert Couch, J. E. Eaton, O. M. Rhoades.

STATEMENT OF DECEMBER 31, 1921
RESOURCES
L oans and d iscou n ts.......................... ..$6 5 ,7 1 8.7 6
O verdrafts ................................................
26.38
U. S. b on d s.............................................
5,750.00
Other bonds and secu rities................
5,571.18
1,900.00
F urnitu re and fixtures.......................
B an king hou se........................................
2 ,700.00
O ther real estate.................................... 3,500.00
Item s in transit......................................
714.19
D ue from reserve ban ks.....................
7,886.45
C urrency ..................................................
4 ,220.00
G old ............................................................
885.00
S ilver .................................................
783.09

L IA B I L I T I E S
Capiatal s to ck .........................................$ 20,000.00
Certified s u r p lu s .................................... 3,000.00
U ndivided p rofits.................................... 4,598.19
B ills p a ya b le..............................................10,000.00
In d ivid u a l d ep osits.............................. 4 0,9 90 .0 7
Due to n on -reserve ban k s.................. 10,276.70
C ertificates o f deposit, tim e..............
9 ,932.00
C ashier’ s ch eck s....................................
858.09

Total deposits .............. $62,056.86.

Total cash and Ex...... $14,488.73
-Total

.................................................... $ 99 ,65 5 .0 5

T otal

.....................................................$99,65 5 .0 5

SIDNEY
Sharp County

B A N K O F S ID N E Y

Charter No. 388. Date of Charter, September 23, 1912.
O fficers—J. P. Bone, President; D. H. Yeager, Vice President; R. C. Pounders, Cashier.
D irectors—J. P. Bone, D. H. Yeager. J. W. McGee.

STATEMENT OF DECEMBER 31. 1921
R E SO U R C E S
Loans and d iscou n ts............................ $ 7,311.29
L oana on real estate............................ 12,071.20
IT. S. b on d s..... ..................... ;................
6,150.00
Furniture and fixtures.......................
801.84
B an king house........................................
385.00
Cash item s...............................................
50.00
D ue from reserve ban ks................... 31,975.10
C urrency ..................................................
1,481.00
G old .............................................. ^............
405.00
S ilver .......................................................
229.01

L IA B I L I T I E S
Capital s to ck ................................. ......... $ 5,000.00
Certified s u r p lu s .................................... 1,000.00
U ndivided p rofits.................................... 2,304.09
Ind ivid u al d ep osits............................... 52,550.37

Total deposits ..............$52,550.37

R eserved fo r taxes...............................

4.98

Total cash and Ex...... $34,140.11
T otal




$ 60 ,85 9 .4 4

T otal

$60 ,85 9 .4 4

178

R epo rt of B a n k C o m m is sio n er

SILOAM SPRINGS
Benton County
PRODUCERS STATE B A N K

Charter No. 516.

Date of Charter, December 4, 1920.

O fficers—C. F. Yeager, President; J. B. Hilling, Vice President; C. M. Bass, Vice President;

R. C. Smallwood, Cashier.

D irectors—C. F. Yeager, J. B. Hilling, R. C. Smallwood, S. R. Chesney, M. E. Gaither.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oans and d iscou n ts..........................$ 4 5,9 31 .1 2
L oans on real estate..........................
19,441.00
U. S. b on d s .............................................
9 88.25
F urnitu re and fixtures.....................
4,1 9 2.80
Cash item s.............................................
6.06
Due from reserve banks................... 23,6 69 .0 1
C hecks on other ban ks.....................
3 ,495.87
C urren cy ................................................
2,0 2 9.00
G old .........................
100.00
S ilv er .....................................................
413.83

L IA B I L I T I E S
C apital s to c k ........................................ $ 2 5,0 00 .0 0
3 ,000.00
Certified s u r p lu s .................................
U nd ivid ed p rofits................................-■
6 74.30'
In d ivid u a l d ep osits............................
58,3 99 .5 4
12,367.30
C ertificates o f deposit, tim e...........
C ashier’ s ch eck s.................................
825.80

Total deposits ............. $71,592.64

Total cash and Ex...... $29,713.77
T ota l

...................................................$ 10 0 ,2 6 6 .9 4

T ota l

.................................................. $ 10 0 ,2 6 6 .9 4

SILOAM SPRINGS
Benton County
STATE BANK

Charter No. 168. Date of Charter, September 20, 1904.
O fficers—L. J. Rees, President; Wm. McCall, Vice President; O. P. Maxwell, Cashier; W. L.

Lineback, Assistant Cashier.

D irectors—L. J. Rees, Wm. McCall, O. P. Maxwell, W. F. Darling, A. L. Smith.

STATEMENT OF DECEMBER 31, 1921
R E SO U R C E S
L oan and d iscou n ts..........................$2 4 2 ,6 84 .09
L oans on real estate........................ 74,967.89
O v erd ra fts ...........................................
393.12
U. S. b o n d s................................
73,0 00 .0 0
O ther bonds and secu rities..............
9 ,9 0 6.64
F urnitu re and fixtures........................
3 ,982.50
B an kin g hou se......................................
9 ,0 0 0.00
O ther real estate.—:...........................
2 ,470.00
Item s in tra n sit...................................
366.60
Cash item s.............................................
296.45
D ue from reserve ban ks................... 25,2 82 .4 9
Checks on other ban ks.....................
880.47
C urren cy ........
5,246.00
S ilv er .....................................................
1,186 91

L IA B I L I T I E S
C ap ita l s to ck .........................................Si 3 7,5 00 .0 0
Certified s u r p lu s .................................
5,000.00
3 ,819.21
U nd ivid ed p rofits.................................
67,5 00 .0 0
B ills p a ya b le........................................
13,2 42 .6 6
S avings a ccou n ts.................................
In d ivid u a l d ep osits............................ 173,037.63
2 66.37
P u b lic f u n d s .........................................
73,448.65
C ertificates o f deposit, tim e...........
3,3 2 4.36
C ash ier’ s ch eck s.................................

Total deposits ............$263,369.67

O ther lia b ilitie s.........................:.........

73,0 00 .0 0

Total cash and Ex...... $33,258.92

O ther

resou rces....................................

T ota l

525.72

............ ................................. —$450 ,1 8 8 .8 8




T otal

.$450,188.88

S ta te of A rk a n sa s

179

SMITHVILLE
Lawrence County
C IT IZ E N S B A N K

Charter No. 71.

Date of Charter, March 23, 1901.

O fficers—J. M. Street, President; Dr. B. F. Coffman, Vice President; Luke Johnston, Cashier.
D irectors—J. M. Street, B. F. Coffman, •John Spotts, John T. Helms, L. B. Poindexter.

STATEMENT OF DECEMBER 31, 1921
RESOURCES
Loans and discounts.........................$22,949.86
Loan& on real estate........................ 7,991.80
10.36
Overdrafts .........................................
U. S. bonds....................................... 2,6'50.00
Other bonds and securities..............
293.55
594.00
Furniture . and fixtures....................
Banking house................................... 1,200.00
Due from reserve banks.................. 15,451.94
Currency ........................................... 1,201.00
Silver ................................................
59.48
Total cash and E x.......$16,712.42

Other resources.................................

LIABILITIES
Captial stock..................................... $ 7,000.00
Certified surplus............................... 1,174.61
Individual deposits........................... 31,825.59
Certificates of deposit, time............ 11,667.19
Cashier’s checks.................................
302.90
Total deposits ...............$43,795.68

Other liabilities.................................

731.70

100.00

Total ............................................. $52,701.99

Total ..............................................$52,701.99

SPARKMAN
Dallas County
M ERCH ANTS & PLANTERS BANK

Charter No. 457. Date of Charter, September 19, 1916.
O fficers—J. T. Taylor, President; John T. DeLaughter, Vice President; John N. Stuart, Cashier;

Miss Iva Sharp, Assistant Cashier.

D irectors—J. T. Taylor, J. G. Pattillo, J. M. Key, John T. DeLaughter, John N. Stuart.

STATEMENT OF DECEMBER 31, 1921
RESOURCES
Loans and discounts...................... .$ 37,298.21
Loans on real estate...................... 12,196.00
Loans on cotton.............................. ... 4,000.00
Overdrafts ......................................
803.45
Other bonds and securities.........
3,469.51
Furniture and fixtures..................
2,384.36
Banking house.................................
4,599.15
Cash items.......................................
1.25
Due from reserve banks................ . 43,504.81
Currency .........................................
4,205.00
Gold .................................................
80.00
697.11
Total cash and Ex.......$48,488.17
Other resources...............................
303.25

LIABILITIES
Capital stock............. ..................... $ 10 ,000.00
Certified surplus....... .....................
2 ,000.00
6,143.51
Undivided profits...... .....................
Individual deposits... ..................... 92,550.32
1,364.25
Public funds............... .....................
892.40
Cashier’ s checks...... .....................
Total deposits ........... ...$94,806.97
591.62
Other liabilities......... .....................

Total ........................................... $113,542.10

Total ..................... ..................... $113,542.10




180

R epo rt of B a n k C o m m is sio n er

SPRINGDALE
Washington County
FARM ERS & M ERCH AN TS BANK

Charter No. 428. Date of Charter, December 29, 1913.
O fficers—Art. T. Lewis, President; Carl A. Ownbey, Vice President; Bert S. Lewis, Vice President;

E. B. Cummings, Vice President; Lee Sanders, Cashier; Claire Farrar, Assistant Cashier.

D irectors—Art T. Lewis, Bert S. Lewis, Carl A. Ownbey, E. B. Cummings, Claire Farrar, Lee

Sanders.

"

STATEMENT OF DECEMBER 31. 1921
RESOURCES
Loans and discounts.......................$189,532.20
Loans on real estate...................... 193,075.65
Overdrafts .....................................
7.34
3,000.00
U. S. bonds.....................................
Other bonds and securities............
9,000.00
1,600.00
Furniture and fixtures..................
Banking house.................................
2,300.00
2,808.06
Items in transit...............................
Due from reserve banks................ 126,926.64
Checks on other banks................
2,050.12
Currency ......................................... 14,870.00
Gold .............
1,810.00
Silver .... ........................................
1,496.06
Total cash and Ex.....$149,960.88

Other resources...............................

LIABILITIES
Capital stock................................... $ 60,000.00
Certified surplus............................. 12,000.00
Undivided profits.............................
3,000.00
Individual deposits......................... 264,532.25
Public funds...................................
241.64
Certificates of deposit, time........ 208,752.18
Total deposits .............$473,526.07

50.00

Total ........................................... $548,526.07

Total ........................................... $548,526.07

STAMPS
Lafayette County
B A N K OF STAM PS

Charter No. 483. Date of Charter, May 30, 1919.
O fficers—W. L. Kitchens, President; J. M. Hudgens, Vice President; J. D. Moore, Cashier; G. C.

Ward, Assistant Cashier; K. L. Wellborn, Assistant Cashier.

D irectors—J. M. Hudgens, Chairman; W. L. Kitchens, G. T. Blakely, D. O. Talbot, J. D. Moore,

T. F. Gillespie, F. O. Williamson, John L. Davis, C. A. Kimball.
STATEMENT OF DECEMBER 31= 1921

RESOURCES
Loans and discounts...................... $
Loans on real estate.......................
Loans on cotton.............................
Furniture and fixtures....................
Banking house.................................
Due from reserve banks................
Checks on other banks..................
Currency .........................................
Gold ..................................................
Silver ..............................................

81,134.46
20,140.00
13,100.00
4,800.00
4,000.00
13,428.98
589.50
5,836.00
382.50
974.02

LIABILITIES
Capital stock................................... $ 30,000.00
Certified surplus.............................
7,200.00
Undivided profits.............................
834.34
Individual deposits......................... 86,992.21
Public funds...................................
3,680.70
Due to non-reserve banks..............
5,000.00
Certificates of deposit,demand.... 10,500.50
Cashier’ s checks.............................
177.71
Total deposits ............ $106,351.12

Total cash and E x.......$21,211.00
T otal

.................................................. $ 1 4 4 ,3 8 5 .4 6




T otal

.................................................. $ 1 4 4 ,3 8 5 .4 6

181

S ta te of A rk a n sa s

STAMPS
Lafayette County
BODCAW BANK

Charter No. 136. Date ol Charter, December 8, 1902.
O fficers—C. L. Cabe, President; F. E. Baker, Vice President; A. P. Beasley, Cashier; H. B.

Pipkin, Assistant Cashier.

D irectors —C. L .

Cabe, R. Buchanan,

J. G .

Wagner,

F . E.

Baker, W. R. Boney,

A . P.

Beasley.

STATEMENT OF DECEMBER 31. 1921
RESOURCES
LIABILITIES
Capital stock................................... $ 50,000.00
Loans and discounts.......................$188,056.32
Loans on real estate...................... 91,710.82
Certified surplus............................. 50,000.00
Loans on cotton............................... 19,540.00
Undivided profits............................. 10,977.62
Savings accounts............................. 12,202 80
U. S. bonds..................................... 22,000.00
Other bonds and securities............................... 173.94
Individual deposits......................... 251,619.54
Furniture and fixtures..................
1,630.93
Public funds...................................
9,612.45
Banking house.................................
6,782.24
Certificates of deposit, time.......... 72,437.10
Cashier’s checks.............................
5,921.12
Other real estate.............................
805.25
Cash items.......................................
693.04
Total deposits ............$351,793.01
Due from reserve banks................ 125,006.00
Checks on othei* banks................
206.37
3,196.00
Currency .........................................
Gold ..................................................
986.00
Silver ..............................................
1,933.72
Total cash and Ex.... $132,071.13
Total ........................................... $462,770.63

Total ........................................... $462,770.63

STAR CITY
Lincoln County
L IN C O L N C O U N T Y B A N K

Charter No. 169. Date of Charter, October 3, 1904.
O fficers—B. F. Tarver, President;' J. G. Atkinson, Vice President; R. L. Fish, Cashier; E. C.

Norton, Assistant Cashier.

D irectors—A. J. Johnson, A. O. Vick, W. M. Weatherall.

STATEMENT OF DECEMBER 31, 1921
RESOURCES
Loans and discounts............ $104,456.65
Loans on real estate............ 51,972.72
U. S. bonds...........................
1,800.00
Bonds to secure postalsavings.—
8,249.98
Other bonds and securities..........
2,000.00
Furniture and fixtures..................
5,000.00
Banking house.................................
7,600.00
-Due from reserve banks................ 15,278.26
Checks on other banks..................
240.72
Currency .........................................
3,856.00
Gold ..................................................
115.00
Silver .............................................
495.45
Total cash and Ex...... $19,985.43
Other resources...............................
2,848.50
T otal




.$ 2 0 3,91 3 .2 8

• LIABILITIES
Capital stock................................... $ 20,000.00
Certified surplus.............................
5,000.00
Undivided profits.............................
4,009.85
Bills payable................................... 60,000.00
Individual deposits........................ 101,032.21
Public funds................................... 10,972.02
Certificates of deposit, time.......
2,899.20
Total deposits ............$114,903.43

T otal

.$203,913.28

182

R epo rt of B a n k C o m m is sio n er

STEPHENS
Ouachita County
B A N K O F STEPHENS

Charter No. 141. Date of Charter, September 22, 1903.
O fficers—J. F. Haltom, President; J. S. Thompson, Vice President; J. B. Smith, Cashier; Clyde

Whaley, Assistant Cashier.

D irectors—J.'F. Haltom, J. S. Thompson, J. B. Smith, W. T. Perry, J. E. Morgan, P. C. Grayson,

J. B. Wilson, J. G. Wepfer.

STATEMENT OF DECEMBER 31, 1921
RESOURCES
Loans and discounts...................... :
Loans on real estate......................
Loans on cotton...............................
Overdrafts .......................................
Other bonds and securities..........
Furniture and fixtures....................
Banking house.................................
Other real estate.............................
Due from reserve banks................
Checks on other banks..................
Currency .........................................
Gold ..................................................
Silver ..............................................
Total cash and Ex...... $25,676.02
Other resources...............................

71,120.78
34,478.30
20,137.60
26.24
330.50
1.00

1.500.00
15,000.00
14,940.38
3,491.37
5.787.00
917.50
509.77

20,000.00
10,000.00
5,217.37
15,000.00
91,091.78
26,556.40
591.27

196 38

$168,456.82

Total

LIABILITIES
Capital stock................................... $
Certified surplus.............................
Undivided profits.............................
Bills payable...................................
Individual deposits.........................
Certificates of deposit, time........
Cashier’ s checks...............................
Total deposits ............$118,239.45

Total

.$168,456.82

STEPHENS
Ouachita County
PEOPLES B A N K

Charter No. 403. Date of Charter, February 3, 1913.
O fficers—J. P. Weaver, President;

E. F. Smith, Vice President; H. G. McClurkin, Cashier;
Willie G. Wallace, Assistant Cashier.

D irectors—J. P. Weaver, E. F. Smith, L. D. Smith, W. N. Merritt, L. R. Pierce, E. H. Morgan,

W. A. Terrell, Theop Hall, R. B. Allen.

STATEMENT OF DECEMBER 31, 1921
RESOURCES
Loans and discounts.................
Loans on real estate......................
Loans on cotton......... .....................
Overdrafts .......................................
U. S. bonds.....................................
Furniture and fixtures..................
Banking house.................................
Other real estate.............................
Due from reserve banks................
Checks on other banks................
Currency .........................................
Gold .................. ...............................
Silver ..............................................
Total cash and Ex...... $29,874.11
Other resources...............................
T otal




36,138.27
21,176.98
25,506.57
1.442.00
4,000.00
900.00
6.500.00
2,148.76
15,986.90
397.57
11,343.00
942.50
1,204.14

LIABILITIES
Capital stock................................... ! 20, 000.00
Certified surplus.............................
4,000.00
Undivided profits.............................
3.458.73
Bills payable................................... 15,000.00
Individual deposits......................... 79,175.14
Certificates of deposit, demand....
5.306.73
Cashier’ s checks.............................
1,077.93
Total deposits ..............$85,559.80
Other liabilities...............................
9.33

341.17
$ 1 2 8 ,0 2 7 .8 6

Total

.$ 1 2 8,02 7 .8 6

S tate

of

A rkansas

183

STRONG
Union County
V IC T O R IA B A N K
Charter No. 133.

Date of Charter, July 7, 1903.

O fficers— A . B. Banks, President; W . E. Clark, V ice President; M . L. Sumners, Cashier; T . W .
Willims, Assistant Cashier.
D irectors— A . B. Banks, W . E. Clark, A . P. Kirby, M. L. Sumners, W . A . Murphy.
STA T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
Loans and discou n ts..........................!
Loans on real estate..........................
O verdrafts .............................................
Other bonds and securities..............
Furniture and fixtures.....................
B an king house......................................
Other real estate.................................
Item s in transit...................................
Cash item s.............................................
Du,e from reserve ban ks..................
C urrency ................................................
G old .........................................................
S ilver .......................................................
Total cash and E x....... $63,688.13
Other resou rces...................................

30,2 51 .9 8
55,9 05 .5 4
5.03
3.552.00
2 ,036.77
2 .500.00
3 ,456.65
2 ,339.71
99.00
52,9 37 .6 5
7.172.00
240.00
899.77
225.70

.$ 1 61,621.80

T otal

L IA B IL IT IE S
Capital s to ck ........................................ ! ! 25,000.00
3.200.00
Certified s u r p lu s .................................
4 ,044.53
U ndivided p rofits.................................
1.250.00
D ividen ds u n paid.................................
Ind ivid u al d ep osits............................ 1 13,216.49
2,020.13
P u b lic f u n d s ........................................
12,390.17
Certificates of deposit, tim e.........
446.10
C ashier’ s ch eck s.................................
Total deposits ..............$129,322.89
54.38
Other lia b ilitie s....................................

Total

$ 16 1 ,6 2 1 .8 0

STUTTGART
Arkansas County
ARKANSAS C O U N TY BANK
Charter N o. 518.

Date of Charter, January 22, 1921.

O fficers— A . B. Banks. President; Van M . Howell, V ice President; A . F . Rawlings, Cashier; G . B.
Shafer, Assistant Cashier.
D irectors— A . B. Banks, Van M . Howell, W . B. Wall, T . M . Hillman.
S T A T E M E N T OF DECEM BER 31, 1921
R ESO U R C E S
Loans and d iscou n ts..........................$ 79,617.72
O verdrafts .............................................
66.79
Other bonds and secu rities...........
37,5 25 .5 1
F urniture and fixtures.......................
1,500.00
B an king house......................................
5,000.00
Item s in transit....................................
150.00
Due from reserve ban ks................
50,695.78
Checks on other banks........................
3,698.28
C urrency ................................................
3 ,299.00
G old .........................................................
102.50
S ilver .......................................................
2,397.53
Total cash and E x....... $60,343.09
Other resou rces.................................... 2 47 ,12 7 .4 7
T otal

.................................................. $431 ,1 8 0 .5 8

JThis amount not added in totals.




L IA B IL IT IE S
Capital stock ........................................ $ 50,000.00
Certified s u r p lu s .................................
5,000.00
U nd ivid ed p rofits.................................
1,228.49
B ills p a ya b le........................................ 1 12,500.00
$Bills payable “ D eposits on w h ich '
m ore than 4 p er cent interest
is p a id ’ ’ .............................................
70,259.30
Savings a ccou n ts.................................
3,320.33
In d ivid u a l d ep osits............................ 136,40 9 .9 8
P u b lic fu n d s ......................................... 79,331.78
C ertificates o f deposit, tim e.........
28,917.51
C ashier’ s ch eck s.................................
14,472.49
Total deposits ..............$262,452.09
T otal

.................................................. $431 ,1 8 0 .5 8

R eport

184

of

B a n k C om m issioner

STUTTGART
Arkansas County
EXCH AN G E BANK
Charter N o. 441.

Date of Charter, May 26, 1914.

O fficers— President died N ov. 24, 1921; J. F. Whaley, V ice President; W . B. Wall, Cashier; C . L .
Perry, Assistant Cashier; E. R. Sneed, Assistant Cashier.
D irectors— J. F. Whaley, T . M . Rowland, Theo. Meunse, E. A . Draeger, W . B. W all.
S T A T E M E N T O F DECEM BER 31, 1921
R ESO U R C E S
L oans and d iscou n ts.......................... $ 61 2 ,9 3 1 .0 0
L oans on rea l estate..........................
2 5,0 00 .0 0
O verd rafts .............................................
9 83.00
U . S. b on d s ...................... - ....................
1,100.32
O ther bonds and secu rities.............. 10,3 12 .7 6
F urnitu re and fixtures.....................
10,6 72 .5 2
B an king hou se......................................
3 9,3 00 .0 0
32,8 40 .3 3
O ther real estate.................................
Item s in tra n sit...............- ...................
4 ,3 7 3.05
D ue from n on -reserve ban ks.........
4,1 6 1.72
D ue from reserve ban ks........... :...... 82,2 19 .7 0
C hecks on other banks.....................
15,004.73
C urren cy ................................................ 2 3,9 84 .0 0
G old ..........................................................
1,320.00
S ilv er .....................................................
3 ,263.43
Total cash and E x.....$134,326.63
.$ 8 6 7,46 6 .5 6

T otal

L IA B IL IT IE S
C apital s to ck ........................................ $ 100, 000.00
Certified s u r p lu s .................................
7,483.38
B ills p a ya b le......................................... 2 50 ,00 0 .0 0
30,778.41
S avings accou nts.................................
T ru st fun ds ...........................................
5,488.40
In d ivid u a l d ep osits............................ 3 4 1 ,80 5 .1 4
12,000.00
P u b lic f u n d s ....... - ..............................
C ertificates o f deposit, tim e......... 111 ,99 1 .3 1
875.50
C ertified ch eck s....................................
7,044.42
C ash ier’ s ch eck s....................................
Total deposits ..............$509,983.18

T otal

.$8 6 7,46 6 .5 6

SUCCESS
Clay County
B A N K O F SUCCESS (N O T IN C O R P O R A T E D )
Charter N o. 432.

Date of Charter, March 7, 1916.

O fficers— J. D. Polk, President; W . D. Polk, V ice President; W . M . Powell, Cashier; W . Earl
Polk, Assistant Cashier.
S T A T E M E N T O F DECEM BER 31, 1921
R ESO U R C E S
L IA B IL IT IE S
L oans and d iscou n ts............../.............$ 5 6 ,74 5 .2 0
Capital sto ck .,.........................................$ 10 ,00 0 .0 0
Certified s u r p lu s ....................................
5,000.00
L oans on real estate............................
2 ,9 6 0.00
O verd ra fts ........•.......................................
1 ,725.05
U nd ivid ed p rofits....................................
1 ,489.37
U . S. b o n d s ........................
37.62
JBills p ayable “ D eposits on w hich
O ther bon d s and secu rities..............
440 .17
m ore than 4 p er cent interest
675.60
F u rn itu re and fixtures.......................
is p a i d " ................................................ 17,448.70
Item s in tra n sit.....................................
4 ,0 0 0.00
In d ivid u a l d ep osits............................... 4 9,8 27 .6 5
D ue from non-reserve b an ks................................. 5,501.83
P u b lic fu n d s ...........................................
2 21.90
Cash item s................................................
352.17
C ertificates o f deposit, tim e.............. 19,039.69
D ue from reserve banks..................... 13,0 00 .6 1
C ash ier’ s checks’...................................
2 ,900.02
C hecks on other ban ks........................
152.00
Total deposits ................ $71,989.26
C urren cy .........
1 ,667.00
G old ............................................................
95.00
S ilv er .......................................................
1,106.38
Total cash and E x....... $25,874.99
O ther resou rces......................................
20.00
T ota l

.....................................................$88,47 8 .6 3

tT h is am ount not a dded in totals.




T ota l

.....................................................$88,47 8 .6 3

S tate

of

A rkansas

185

SUCCESS
Clay County

STATE BANK
Charter N o. 494.

Date of Charter, October 4, 1919.

O fficers— T . L. Wright, President; J. W . Stubblefield, V ice President; R . R. Hosey, Cashier.
D irectors-—T . L. Wright, J. M . Wright, J. W . Stubblefield, J. F. Walker, J. C. Lewis.
STA T E M E N T OF DECEM BER 31, 1921
RESOURCES
Loans and d iscou n ts.............................$16,402.09
Loans on real estate..................................... 850.00
O verdrafts ................................................
16.24
F urniture and fixtures........................ 1,649.51
1,399.00
Due from n on -reserve b an ks..............
Gash item s...............................
91.68
Due from reserve ban ks................... 2,287-70
175.00
Currency ..................................................
G old ............................................................
10.00
S ilver ................................................
688.80
Total cash and E x..........$4,652.18
Other resou rces......................................
841.73
T otal

.................................................... $24,41 1 .7 5

L IA B IL IT IE S
Capital s to ck ........................................... $12,00 0 .0 0
Certified s u r p lu s .................................... 1,200.00
B ills p a ya b le...........................................
5,000.00
JBills payable “ D eposits on w hich
m ore than 4 p er cent interest
is p a id ’ ’ ................................................
1,000.00
Ind ivid u al d ep osits............................... 4,8 2 0.59
Certificates o f deposit, tim e.............. 1,055.00
C ashier’ s ch eck s....................................
336.16
Total deposits ...................$6,211.75

T otal

.................................................... $24,41 1 .7 5

JThis amount not added in totals.

SULPHUR ROCK
Independence County

FARM ERS BANK

Charter N o. 514.

Date of Charter, September 9, 1920.

O fficers— W ill Duvall, President; C. E. Jimerson, V ice President; J. J. Caldwell, Cashier.
D irectors— W ill Duvall, C. E. Jimerson, J. J. Caldwell, Kinsey Rehard, H . C. Burge.
STA T E M E N T OF DECEM BER 31, 1921
R ESO U R C E S
Loans and d iscounts..................
$ 34,149.82
Loans on real estate............................ 12,425.00
F urniture and fixtures..........................
1,300.00
Due from reserve ban ks..................... 14,823.03
C urrency ................................................ 2 ,341.00
300.22
S ilver .........................................................
Total cash and E x....... $17,464.25
T otal

.$65,339.07

L IA B IL IT IE S
Capital stock ........................................... $12,00 0 .0 0
Certified s u r p lu s .................................... 1,680.00
U nd ivid ed p rofits....................................
92.93
D ividen ds un p aid ....................................
480.00
In d ivid u a l d ep osits............................... 31,087.03
Certificates o f deposit, tim e.............. 19,999.11
Total deposits ............ _ .$ 5 1 ,566.14
Total

.$65,339.07

SULPHUR SPRINGS
Benton County

B A N K O F S U L P H U R S P R IN G S
Charter N o. 211.

Date of Charter, July 7, 1905.

O fficers— L. M . Stout, President; Ben C. Davis, V ice President; Storm O. Whaley, Cashier; Clara
Abercrom bie, Assistant Cashier.
D irectors— L. M. Stout, Ben C. Davis, Storm O. Whaley. A . H. Skidmore, T . J. M illet.
STA T E M E N T OF DECEM BER 31, 1921
R ESO U R C E S
Loans and d iscou n ts............................ $ 5 1 ,28 4 .6 4
Loans on real estate............................ 15,339.99
U. S. b on d s.............................................
2,400.00
Furniture and fixtures..........................
2 ,000.00
B anking hou se........................................
4 ,5 0 0.00
Other real estate...................................
847.30
Due from non -reserve ban k s..............
1,735.02
Due from reserve ban ks.....................
6,382.96
C urrency ..................................................
3 ,563.00
G old ............................................................
265.00
S ilver .......................................................
277.40
Total cash and E x....... $12,223.38
Total .................................................... $88,595.31
tT h is amount not added in totals.




L IA B IL IT IE S
Capital stock ........................................... $ 10,000.00
Certified s u r p lu s .................................... 1,100.00
U nd ivid ed p rofits.................................... 1,238.53
JBills p ayable “ D ep osits on w hich
m ore than 4 p er cent interest
is p a id ’ ’ ................................................
1.15
Ind ivid u al d ep osits............................... 53,121.79
P u b lic f u n d s ...........................................
31.76
Certificates o f deposit, tim e.............. 22,602.08
Certificates o f deposit, fo r m oney
b orrow ed .............................................
1.15
C ashier’ s ch eck s....................................
500.00
Total deposits ................ $76,256.78
T otal

.................................................... $88,595.31

R eport

186

of

B a n k C om m issioner

SWIFTON
Jackson County
BANK OF
Charter N o. 190.

S W IF T O N

Date of Charter, September 19, 1905.

O fficers— W . R . Harvey, President; W . E. Jones, V ice President; W . D. Morgan, Cashier; Taylor
Keton, Assistant Cashier.
D irectors— W . R. Harvey, W . E. Jones, J. G . Smith, Roy Moon, Jim Moon.
S T A T E M E N T OF DECEM BER 31, 1921
R ESO U R C E S
L oans and d iscou n ts..........................$ 6 4,8 66 .9 4
L oans on real estate..........................
6,1Q0.00
O verd rafts .............................................
446 .75
F urnitu re and fixtures.....................
1,715.00
B an king hou se......................................
1 ,723.10
806.60
Cash item s.............................................
Due from reserve ban ks.................... 1 18,035.13
C urrency ................................................
1 0,6 18 .3 5
G old ..........................................................
375.00
S ilver .......................................................
1 ,956.97
Total cash and E x.....$131,792.05
O ther resou rces....................................
54.90
.$ 2 0 6,69 8 .7 4

T otal

L IA B IL IT IE S
Capital stock .........................................$ 10,000.00
C ertified s u r p lu s .................................
5,000.00
U nd ivid ed p rofits.................................
8,613.59
In d ivid u a l d ep osits............................ 1 81,990.94
C ertificates of deposit, tim e...........
463.00
C ash ier’ s ch eck s.................................
631.21
T otal deposits ..............$ 183,085.15

.$20 6,69 8 .7 4

T otal

TAYLOR
Columbia County
BANK OF TAYLO R
Charter N o. 376.

Date of Charter, May 20, 1912.

O fficers— W . H. Horn, President, J. L. Davis, Vi<;e President; T . L . Murray, V ice President;
Charles A . Neal, Cashier; Mary Keith, Assistant Cashier.
D irectors— W . H . Horn, J. L. Davis, T . L. Murray, A . D. Pope, Henry Nolte, Charles A . Neal.
S T A T E M E N T OF D ECEM BER 31, 1921
R ESO U R C E S
L IA B IL IT IE S
Capital s to ck ........................................... $ 12 ,50 0 .0 0
Loans and d iscou n ts.............................$ 49 ,67 5 .7 6
Certified s u r p lu s ....................................
7,500.00
L oans on real estate.....................
2 4,7 57 .2 5
B ills p a ya b le.....^................................... 22,5 00 .0 0
L oans on cotton ......................................
1,254.27
3 ,000.00
N otes red iscou n ted ...... ........................
O verd rafts ................................
27.20
In d ivid u a l d ep osits............................... 36,3 00 .3 6
F urnitu re and fixtures.......................
1,3 5 0.00
B an kin g hou se........................................
1,000.00
P u b lic fu n d s ..........................
1,243.88
O ther real estate...................................
431 .30
C ertificates o f deposit, tim e.........
6,565.19
D ue from n on -reserve b an ks................................. 142.57
C ashier’ s ch eck s....................................
1,284.17
Total deposits ................ $45,393.60
Cash item s................................................
82.81
Due from reserve banks.....................
6,1 4 6.72
C urren cy .......................
4 ,1 9 0.00
G old ............................................................
10.00
S ilv er ...................
305.99
Total cash and E x....... $10,878.09
O ther resou rces......................................
1,519.73
T otal

.....................................................$ 90 ,89 3 .6 0




T otal

.................................................... $ 90 ,89 3 .6 0

S tate

of

A

187

rkansas

TEXARKANA
M iller County
M ERCHANTS & PLANTERS BANK
Charter N o. 75.

Date of Charter, January 5, 1901.

O fficers— Q . O . Turner, President; Allen Winham, V ice President; Wm. A . Smith, Cashier; Miss
L. Brandy, Assistant Cashier.
D irectors— Q , O. Turner, Allen Winham, Wm. A . Smith, W7 E. Haydon, A . B. Ross, C. W . Fouke,
J. W . Maxwell, Jno. P. Kline, Milton Winham, Henry M oore, Jr.
STA T E M E N T O F DECEM BER 31, 1921
R ESO U R C E S
Loans and d iscou n ts.......................... $ 43 1 ,4 2 6 .6 4
Loans on real estate.......................... 132,093.19
378.37
O verdrafts .............................................
U. S. b on d s........................................... 92,750.00
Other bonds and secu rities.............. 8 6,4 65 .3 6
F urniture and fixtures.....................
6,000.00
B an king hou se......................................
64,000.00
1,251.57
Other real estate.................................
Item s in tra n sit....................................
2 ,7 1 2.66
Due from non-reserve b an ks.........
25,2 47 .9 7
Cash item s.............................................
835.48
32,996.98
Due from reserve ban ks..................
Checks on other ban ks.....................
5,617.74
C urrency ................................................ 33,859.00
G old .........................................................
680.00
S ilver .......................................................
4 ,1 1 6.74
Total cash and E x.....$106,066.57
$920 ,4 3 1 .7 0

T otal

L IA B IL IT IE S
Capital s to ck .........................................$200 ,0 0 0 .0 0
Certified s u r p lu s .........................,....... 22,000.00
U ndivided p rofits.................................
2,110.40
B ills p a ya b le......................................... 118,500.00
Notes red iscou n ted........................
73,775.00
Savings a ccou n ts..............
194,220.53
D ividen ds un p aid .................................
16,000.00
In d ivid u a l d ep osits............................ 169,890.59
P u b lic f u n d s ..........................
90,9 26 .7 8
Due to non-reserve b an ks_________ 2 3,4 84 .0 6
Certificates o f deposit, dem and....
9,146.60
377.74
C ashier’ s ch eck s...............
Total deposits ..............$504,046.30

T otal

.$920,431.70

TEXARKANA
M iller County
M IL L E R C O U N T Y B A N K & T R U S T C O M P A N Y
Charter N o. 435.

Date of Charter, March 3, 1914.

O fficers— Thos. F. Booker, President; J. H. Forbes, V ice President and Secretary; J. R. Johnson,
Assistant Cashier.
D irectors— Thos. F. Booker, J. H. Forbes, S. C. Nancarrow, Chairman.
S T A T E M E N T O F DECEM BER 31, 1921
R ESO U R C E S
Loans and d iscou n ts..........................$ 22,8 22 .0 4
Loans on real estate.......................... 1 58,220.58
O verdrafts .............................................
44.20
Other bonds and secu rities..............
249.00
Furniture and fixtures.....................
700.00
Other real estate.............................
625.25
Due from reserve ban ks................... 24,8 07 .1 6
Checks on other banks...................
756.12
C urrency ................................................
3,526.00
G old .........................................................
275.00
Silver .......................................................
187.90
Total cash and E x....... $29,552.18
T otal




.$212,213.25

L IA B IL IT IE S
Capital s to ck ........................................ $
Certified s u r p lu s .................................
U ndivided p rofits.................................
Savings a ccou n ts.................................
Ind ivid u al d ep osits............................
C ashier’ s ch eck s.................................
Total deposits ..............$106,409.21
R eserved fo r taxes...............................
Other lia b ilitie s....................................

Total

75,000.00
13,500.00
15,229.86
27,514.40
78,682.27
2 12.54
1,635.79
438.39

.$212,213.25

188

R eport

of

B a n k C om m issioner

THORNTON
Calhoun County
C I T IZ E N S B A N K
Charter N o. 427.

Date of Charter, December 29, 1913.

O fficers— B. E. Halpin, President; J. M . Thompson, V ice President; W . C . Ribenack, V ice Presi­
dent; W . E. Shuffield, Cashier.
D irectors— B. E. Halpin, W . C. Ribenack, J. M . Thompson.
S T A T E M E N T O F D ECEM BER 31, 1921
R E SO U R C E S
L oans and d iscou n ts..........................$
L oans on real estate..........................
Other bon d s and secu rities..............
F urnitu re and fixtures........... '.........
B an kin g h ou se......................................
Other rea l estaate...............................
D ue from reserve ban ks...................
C urren cy ................................................
Gold' ..........................................................
S ilv er .....................................................
Total cash and E x....... $50,155.23
T otal

4 6,4 32 .3 7
16,1 54 .4 7
6 ,0 5 7.54
1,200.00
2 ,500.00
200.00
30,5 38 .2 3
17,5 87 .0 0
240.00
1,790.00

.$1 2 2,69 9 .6 1

L IA B IL IT IE S
C apital s to ck ........................................$ 10,0 00 .0 0
1,800.00
C ertified s u r p lu s .................................
U n d ivid ed p rofits.................................
1,5 0 0.00
In d ivid u a l d ep osits............................
79,0 13 .4 3
163.10
P u b lic fu n d s...........................................
C ertificates o f deposit, tim e...........
2 9,8 35 .2 7
C ashier’ s ch e ck s.................................
387.81
Total deposits ..............$109,399.61

T otal

$ 1 2 2 ,6 9 9 .6 1

TILLAR
Drew County
C I T IZ E N S B A N K & T R U S T C O M P A N Y
Charter N o. .41 9 .

Date of Charter, July 28, 1913.

O fficers— W . L. Harrell, President; R. H . W olfe, V ice President; R . G . Paschal, Cashier.
D irectors— W . L. Harrell, V . C. Harrell, R. H . W olfe, E. S. Terral, C. H . Kimbro, W . S. W ood,
V.
M . Howell, Jo Nichols, V . J. Trotter.
S T A T E M E N T O F D ECEM BER 31, 1921
R ESO U R C E S
L oans and d iscou n ts..........................$
L oans on real estate..........................
U . S. b o n d s - - .....................................
O ther b o n d s and secu rities....:........
F urnitu re and fixtures.......................
B an k in g H ou se...................................
Item s in tra n sit...................................
D ue from reserve banks...................
C urren cy ................................................
G old .....................................- ..................
S ilv er .....................................................
Total cash and Ex.$39,324.01
O ther resou rces....................................
T ota l

78,8 65 .3 4
37,0 58 .1 2
19,8 00 .0 0
10,000.00
1,964.40
16,878.00
2 00.00
3 5,1 39 .2 0
3,3 9 3.00
35.00
556.81




75,0 00 .0 0
9 ,000.00
12,2 78 .2 5
1 4,0 05 .4 4
82,5 56 .7 3
4 ,5 0 0.00
2 0,5 85 .6 4

30.75

.................................................. $ 2 0 3 ,9 2 0 .6 2

{T h is am ount n ot added in totals.

L IA B IL IT IE S
C apital s to c k ........................................ $
C ertified s u r p lu s .....................
U n d ivid ed p rofits.................................
{B ills p a ya b le “ D eposits on w h ich
m ore than 4 p er cent interest
is p a id ’ ’ ..............................................
In d ivid u a l d ep osits.............................
P u b lic fu n d s .........................................
C ertificates o f deposit, tim e...........
Total deposits ..............$107,642.37

T ota l

.................................................. $203*920.62

S tate

of

A rkansas

189

TRUMAN
Poinsett County
BANK OF TRUM AN
Charter N o. 354.

Date of Charter, October 26, 1911.

O fficers— J. A . Cash, President; George O. Campbell, V ice President; Craig Frazier, Cashier;
M orris L. McKinney, Assistant Cashier.
D irectors— J. A . Cash, George O. Campbell, J. E. Parr, M . P. Welsh, L . J. O ’Brien.
S TA TE M E N T O F DECEM BER 31, 1921
R E SO U R C E S
L oans and discou n ts..........................1 71,788.75
L oans on real estate................. ........
22,4 64 .4 8
54.11
O verdrafts .............................................
3,000.00
U. S. b on d s...........................................
1,397.18
Furniture and fixtures.....................
B an king house......................................
4,570.82
Due from reserve ban ks................... 48,060.33
5,365.00
C urrency ................................................
685.00
G old .........................................................
S ilver ....................................................
1,213.47
Total cash and E x....... $55,323.80
.$ 1 58,599.14

T otal

L IA B IL IT IE S
Capital stock ........................................ ! i 25,000.00
Certified s u r p lu s .................................
5,000.00
10,633.54
U ndivided p rofits.................................
150.00
D ividen ds un p aid.................. ..............
Ind ivid u al d ep osits............................ 1 17,215.60
Certificates o f deposit, tim e...........
600.00
Total deposits ..............$117,965.60

Total

$158 ,5 9 9 .1 4

TUCKERMAN
Jackson County
BANK OF TUCKERM AN
Charter No. 104.

Date of Charter, November 8, 1902.

O fficers— J.- W . Lindley, President; L. T . Slayden, V ice President; E. V . H olt, Cashier.
D irectors— J. W . Lindley, L. T. Slayden, E. V . Holt, W . S. Armstrong, A . J. Gatz.
S T A T E M E N T OF DECEM BER 31, 1921
RESOURCES
Loans and d iscou n ts..........................$
Loans on real estate..........................
Loans on cotton ...................................
U. S. b on d s .............................................
Other bonds and secu rities...............
Furniture and fixtures..........................
B an king house....................... ,............. t
Due from n on -reserve b an ks.............
Due from reserve ban ks...................
C urrency ..............
G old ................
S ilver .......
Total cash and f x ...... $62,522.45
T otal

52,303.30
19,040.43
34,486.00
27,000.00
16,782.79
4 ,000.00
5,700.00
2,017.50
33,5 29 .7 0
21,0 00 .0 0
242.50
5,732.75
' .

.................................................. $ 22 1 ,8 3 4 .9 7




L IA B IL IT IE S
Capital s to c k ........................................ $ 15..000.00
Certified s u r p lu s .................................
5,000.00
U n divided p rofits.................................
11,079.36
In d ivid u a l d e p o sits............................ 1 64,879.26
P u b lic fu n d s...........................................
10,000.00
C ertificates o f deposit, tim e.........
14,654.79
C ashier’ s ch eck s.................................
1,221.56
Total deposits ..............$190,755.61

T otal

.................................................. $221 ,8 3 4 .9 7

190

R eport

of

B a n k C om m issioner

TUCKERMAN
Jackson County
C I T IZ E N S B A N K
Charter N o. 458.

Date of Charter, Novem ber 1, 1916.

O fficers— Nimrod Graham, President; Chas. E. Penix, V ice President; Chas. E. Smith, Cashier;
Clarence Ttway, Assistant Cashier.
D irectors— Nimrod Graham, Chas. E. Penix, W . M . Tims, H. E. James, George A . Churchman,
Dr. O. A . Jamison, Chas. E. Smith.
S T A T E M E N T OF DECEM BER 31, 1921
R ESO U R C E S
L oans and d iscou n ts...... v .................$ 50,9 79 .0 9
L oans on real estate..........................
16,505.65
O verd rafts .............................................
687.11
O ther bonds and secu rities..............
7,034.44
Item s in tra n sit....................................
21.87
Due from reserve banks................... 69,4 39 .5 2
Checks on other ban ks...................
2 ,3 0 1.56
C urren cy ................................................
9,2 8 1.00
S ilv er ..................
1,481.54
Total cash and E x....... $82,525.49
T otal

$ 1 5 7 ,7 3 1 .7 8

L IA B IL IT IE S
C apital s to ck ........................................$ 15,000.00
Certified s u r p lu s .................................
15,0 00 .0 0
U nd ivid ed p rofits.................................
6 ,744.66
In d ivid u a l d ep osits............................ 116,02 6 .8 0
P u b lic fu n d s .........................................
3,434.23
C ashier’ s ch eck s.................................
1,526.09
Total deposits ..............$120,987.12

.$157,731.78

Total

TUPELO
Jackson County
BANK OF TUPELO
Charter N o. 482.

Date of Charter, May 25, 1919.

O fficers— J. H . Snapp, President; W . N . Jones, V ice President; G . S. Jernigan, Cashier.
D irectors— A . L. Crittenden, John F. Gardner, J. A . Hutchens, A . A . Cole, G . S. Jernigan, B. W .
Jones, W . N . Jones, J. H . Snapp, John E. Williams.
S T A T E M E N T OF DECEM BER 31. 1921
R ESO U R C E S
L oans and d iscou n ts.............................$ 20 ,26 5 .3 9
Loans on real estate..........................
9,9 7 6.30
L oans on co tto n ....................................
1 ,855.90
O verd rafts ................................................
93.46
U. S. b o n d s .............................................
8 73.44
F urnitu re and fixtures.......................
3 ,015.05
B an kin g hou se........................................
1,264.80
Cash item s...............................................
46.85
D ue from reserve banks...... ............ 7,787.89
C urrency ........................................
1,103.00
G old ............................................................
10.00
S ilv er .......................................................
785.49
Total cash and E x..........$9,733.23
T otal

.................................................... $ 47 ,07 7 .5 7




L IA B IL IT IE S
C apital s to ck ........................................... $10,00 0 .0 0
Certified s u r p lu s ....................................
1,000.00
In d ivid u a l d ep osits............................... 25,3 43 .9 0
P u b lic fu n d s .......................................... .1,000.00
C ertificates o f deposit, tim e..............
9 ,628.60
C ash ier’ s ch eck s....................................
105.07
Total deposits ................ $36,077.57

T otal

.....................................................$ 47 ,07 7 .5 7

S tate

of

A rkansas

191

TYRONZA
Poinsett County
BANK OF TYR O N ZA
Charter N o. 233.

Date of Charter, August 19, 1907.

O fficers— J. A . Emrich, President; O. C. Howser, V ice President; J. C . Young, Cashier.
D irectors— J. A . Emrich, O. C. Howser, H . C. Overturf, L. M . W ood, W . W . Warren, W . F . Fant,
F. F. Hinkley, W . M . Howard, J. L . Drace.
STA T E M E N T O F DECEM BER 31, 1921
R ESO U R C E S
Loans and d iscou n ts..........................$ 54,206.90
Loans on real estate..........................
63,935.92
O ther bonds and secu rities..............
4 ,6 9 9.95
F urnitu re and fixtures.......................
1,690.01
B an king hou se......................................
1,234.55
Cash item s.............................................
249.23
Due from reserve ban ks................... 15,019.93
C urrency ................................................
3,554.00
G old .................................................................... 347.50
S ilver .......................................................
896.19
Total cash and E x....... $20,066.85
18.15
Other resou rces...................................
T otal

.$145,852.33

L IA B IL IT IE S
Capital s to ck ........................................ $35,00 0 .0 0
Certified s u r p lu s .................................
7,700.00
U n divided p rofits.................................
2 ,333.55
B ills p a ya b le........................................
39,000.00
In d ivid u a l d ep osits............................
59,599.00
352.73
P u b lic fu n ds................................ ...........
1,865.80
Certificates o f deposits, tim e.........
C ashier’ s ch eck s.................................
1.25
Total deposits ................ $61,818.78

Total

$ 145,852.33

VAN BUREN
Crawford County
C IT IZ E N S B A N K & T R U S T C O M P A N Y
Charter N o. 328.

Date of Charter, December 20, 1910.

O fficers— -David T . Bryan, President; W . V . Boatright, V ice President;
Frank D. Pape, Assistant Cashier; Hugh D. Oliver, Assistant Cashier*

J. D . Kagy, Cashier;

D irectors— W . V . Boatright, David T . Brvan, Lewis Bryan, Robt. W . Geliy, Joe C. McKinney,
Giles Lucas, John L. Smith, W R . W illis.
STA T E M E N T O F DECEM BER 31, 1921
R ESO U R CE S
Loans and d iscou n ts.......................... $ 32 0 ,5 1 4 .2 7
79,1 63 .0 5
Loans on real estate..........................
L oans on cotton .................................
16,317.42
O verdrafts ............
971.99
U . S. b on d s.............................................
51,8 60 .2 5
Other bonds and secu rities..............
9,748.58
F urniture and fixtures.....................
2,000.00
B an king house......................................
14,250.00
Due from reserve banks................... 93,0 33 .6 0
Checks on other ban k s.....................
5,026.13
C urrency ...............................................
12,281.00
G old .........................................................
730.00
S ilver ....................................................
6 92.24
Total cash and E x..... $111,762.97
Total




.$606,588.53

L IA B IL IT IE S
Capital s to ck ........................................ $ 75,000.00
Certified s u r p lu s ..... ...........................
15,000.00
U ndivided p rofits.................................
32,250.00
B ills payable “ D eposits on w hich
m ore than 4 p er cent interest
is p a id ’ ’ ............................................. 2 22,479.89
Savings a ccou n ts................................. 153,555.71
T ru st fu n d s...........................................
334.74
In d ivid u a l d ep osits............................ 2 55,591.53
C ertificates o f deposit, tim e.........
68,924.18
C ashier’ s ch eck s.................................
1,627.83
Total deposits ..............$480,033.97
R eserved fo r interest........................
4 ,3 0 4.54
Total

.$606,588.53

192

R eport

of

B a n k C om m issioner

VAN BUREN
Crawford County
CRAW FORD CO U N TY BANK
Charter N o. 5.

Date of Charter, February 14, 1887.

OFFICERS— J. J. Izard, President; Othneil M iller, V ice President; Edgar Covey, Cashier; Johnson
M oore, Assistant Cashier.
D irectors— C. M . Wofford, Othneil M iller, A . W . Meier, J. J. Izard, M . M . Hayes, E. T . Allen,
Edgar Covey.
S T A T E M E N T O F DECEM BER 31, 1921
R ESO U R C E S
L oans and d iscou n ts.......................... $ 26 7 ,6 6 0 .5 3
L oans on real estate..........................
9 ,6 3 6.15
L oans on co tto n ....................................
1,559.90
O verd ra fts .............................................
3,288.81
U . S. b o n d s ...........................................
17,600.00
O ther bonds and securities..............
193.20
F urnitu re and fixtures.....................
2 ,965.30
B an kin g hou se......................................
13,6 25 .4 6
O ther real estate.................................
1,000.00
Item s in tra n sit....................................
3.00
D u e from reserve ban ks................... 59,634.31
C hecks on other banks.....................
3 ,336.12
C urren cy ................................................
9 ,3 0 2.00
G old ..........................................................
515.00
S ilv er ..............
1,476.83
Total cash and E x....... $74,267.26
T otal

.................................................. $ 39 1 ,7 9 6 .6 1

L IA B IL IT IE S
Capital s to ck ........................................... $ 56 ,00 0 .0 0
5,780.00
Certified s u r p lu s .................................
U nd ivid ed p rofits.................................
744.74
JBills p ayable “ D eposits on w hich
m ore than 4 p er cent interest
is p a id ’ ’ ...................................................87,5 90 .6 2
S avings a cco u n ts.................................
11,7 34 .3 4
In d ivid u a l d ep osits............................ 2 09 ,19 8 .5 4
C ertificates o f deposit, tim e........... 1 07,819.83
C ashier’ s ch eck s..............................
519.16
Total deposits ..............$329,271.87

T otal

..........^ .................................... $ 39 1 ,7 9 6 .6 1

$This am ount not added in totals.

VANDERVOORT
Polk County
BANK OF VAN D ER VO O R T
Charter N o. 256.

Date of Charter, A pril 15, 1908.

O fficers— J. C. Allen, V ice President; B. P. Lichlyter, V ice President; W . S. Capheart, Cashier.
D irectors —J. C. Allen, B. P. Lichlyter, M . O . Cecil, J. F. Garrett, W . A . Sandefur.
S T A T E M E N T O F D ECEM BER 31, 1921
R E SO U R C E S
L IA B IL IT IE S
L oans and d iscou n ts........................... .$ 3 0 ,2 85 .1 5
C apital s to ck ................
L oans on real estate........................... . 6 ,200.00
Certified s u r p lu s .........
L oans on cotton ................................... . 11,697.23
U nd ivid ed p rofits.........
O v erd ra fts ...............................................
B ills p a ya b le................
43.27
U . S. b on d s............................................ . 3,2 5 0.00
In d ivid u a l d ep osits—
Other bonds and secu rities............
C ertificates o f deposit, dem and.......
80.00
F urniutre and fixtures...................... . 3,0 5 7.82
C ash ier’ s ch eck s.........
B an kin g hou se....................................... . 1,713.41
Total deposits .............. ..$50,976.78
O ther real estate..................................
550.00
Due from reserve b an ks................. . 11,8 99 .9 9
C urren cy .................. 1............................. . 1,347.00
G old ........................................................
170.00
561.68
Total cash and Ex........$ 13,978.67
T otal




.$70,855.55

T otal

.$ 1 0 ,0 00 .0 0
500.00
111.27
. 9 ,2 6 7.50
. 32,8 54 .5 5
. 17,404.92
717.31

.$70,855.55

S tate

of

A rkansas

193

VANNDALE
Cross County
BANK OF V A N N D A L E
Charter N o. 125.

Date of Charter, April. 17, 1903.

O fficers— T . R. Vann, President; T . D . Hare, V ice President; Lee Graham, Cashier.
D irectors— T . D. Hare, T . R. Vann, W . E. Sigman, C. W . Calhoon, Ernest Fountain, Lee Graham,
Thos. O. Smallen.
S T A T E M E N T O F DECEM BER 31. 1921
R E SO U R C E S
Loans and d iscou n ts............................ $ 32 ,50 1 .8 4
L oans on real estate............................
8,789.38
L oans on cotton ......................................
1,095.00
Other bonds and secu rities........... ..
940.30
F urniture and fixtures.......................
1,640.00
900.00
B an king hou se........................................
Cash items ................................................ 1,669.35
Due from reserve banks..................... 4 ,1 8 4.07
1,595.00
C urrency ..................................................
G old .........................................................
162.50
S ilver .........................................................
628.69
Total cash and E x....... ..$8,239.61
Other resou rces.....................................
281.10
T otal

.................................................... $ 54,387.23

L IA B IL IT IE S
Capital stock ........................................... $10,00 0 .0 0
Certified s u r p lu s ............................. —
3 ,000.00
U nd ivid ed p rofits....................................
612.60
B ills p a ya b le.......................................... 10,000.00
Ind ivid u al d ep osits............................... 28,913.33
Certificates o f deposit, tim e..........
1,850.00
Total deposits ................ $30,763.33
Other lia b ilitie s......................................
11.30

T otal

.....................................................$54,38 7 .2 3

VIOLA
Fulton County
B A N K O F V IO L A
Charter N o. 401.

Date of Charter, January 20, 1913.

O fficers— J. D. Cochran, President; W . C. Ashley, V ice President; Erby Carroll, Cashier.
D irectors— J. D. Cochran, W . C. Ashley, Erby Carroll, S. A . Jones, C. W . Pardew.
S T A T E M E N T O F DECEM BER 31, 1921
R ESO U R C E S
L oans and d iscou n ts............................ $ 38 ,88 3 .2 4
Loans on real estate........................
682.00
O verdrafts .............................. •...............
860.64
Other bonds and securities..............
883.11
F urniture and fixtures.......................
1,845.30
B an king house...............
2,300.00
Due from reserve ban ks...............
3,409.21
C urrency ..................................................
4,8 8 0.00
G old ............................................................
20.00
S ilver ................................................ ....'.
786.01
Total cash and E x..........$9,095.22
Other resou rces......................................
1,755.74
T otal

.................................................... $56 ,30 5 .2 5




L IA B IL IT IE S
Capital sto ck ................... .*..................... $10,00 0 .0 0
Certified s u r p lu s .................................... 1,000.00
B ills p a ya b le.......................................... 16,500.00
Notes red iscou n ted ...............................
682.00
In d ivid u a l d ep osits............................... 21,313.09
Certificates o f deposit, tim e..............
6,699.00
C ashier’ s ch eck s....................................
111.16
Total deposits ................ $28,123.25

T otal

.................................................... $56 ,30 5 .2 5

194

R eport

of

B a n k C om m issioner

WABBASEKA
Jefferson County
BANK OF W ABBASEKA
Charter N o. 460.

Date of Charter, January 6, 1917.

O fficers— A . B. Banks, President; W . H. Townsend, V ice President; A . A . Williams, Cashier.
D irectors— Lloyd Garrett, A . B. Banks, W . H . Townsend, Van M . Howell, J. A . Hudgens.
S T A T E M E N T O F DECEM BER 31. 1921
R ESO U R C E S
L oans and d iscounts.............................$ 15 ,9 8 7 .5 6
L oans on real estate............................ 12,606.29
L oans on co tto n ...................................... 2 3,6 32 .4 7
O verd rafts ................................................
491 .16
F urnitu re and fixtures........................ 2 ,083.10
B an k in g house...............................
6 ,000.00
O ther real estate.................................... 1,000.00
D ue from reserve ban ks..................... 11,437.83
C urren cy ..................................................
4 ,8 8 7.00
S ilv er .......................................................... 1,108.06
Total cash and Ex....... $17,432.89
T otal

.....................................................$79 ,23 3 .4 7

L IA B IL IT IE S
Capital s to ck ........................................... $ 1 0 ,00 0 .0 0
Certified s u r p lu s .................................... 3 ,500.00
U nd ivid ed p rofits..............................
1,684.69
In d ivid u a l d ep osits............................... 57,6 68 .8 7
C ertificates o f deposit, tim e.............. 6,379.91
Total deposits ................ $64,048.78

T ota l

.....................................................$ 7 9 ,23 3 .4 7

WALLCOTT
Greene County
BANK OF W ALCO TT
Charter N o. 295.

Date of Charter, January 6, 1910.

O fficers— J. L. Dacus, President; J. M . Malloy, V ice President; W . C. W illcockson, Cashier; M rs.
Flora Seay, Assistant Cashier.
D irectors— J. M . Tyner, Eli Meiser, J. D. Block, A . W . Jackson, L . U . Stedman.
S T A T E M E N T O F DECEM BER 31, 1921
.R E SO U R C E S
L oans and discou n ts.............................$ 43 ,69 4 .7 2
O verd rafts ................................................
136.16
U . S. b on d s............ ................................ 10,3 50 .0 0
O ther bonds and secu rities..............
209.34
F urnitu re and fixtures........................
300.00
B an kin g h ou se........................................
2 ,7 0 0.00
Cash item s................................................
336.05
D ue from reserve ban k s...................
609.31
C urren cy ........- ........................................
926 .00
S ilv er .............
221.08
Total cash and E x..........$2,092.44
T otal

.....................................................$5 9 ,48 2 .6 6




L IA B I L I T I E S
Capital s to ck ........................................... $ 12 ,50 0 .0 0
Certified s u r p lu s ....................................
1,875.00
U nd ivid ed p rofits...... .............................
769.-21
B ills p a ya b le...........................................
2,000.00
In d ivid u al d eposits............................... 22,150.65
P u b lic fu n d s ........................................... 20,1 87 .8 0
Total deposits ................ $42,338.45

T otal

.....................................................$ 5 9 ,4 8 2 .6 6

S tate

of

A rkansas

195

WALDO
Columbia County

BANK OF WALDO
Charter N o. 53.

Date of Charter, September 2, 1899.

O fficers— M . F. Brazell, President; A . B. Banks, V ice President; Ivie E. Howell, Cashier; Paul
Blake, Assistant Cashier.
D irectors— M . F. Brazell, W . S. McKissack, A . B. Banks, Ivie E. Howell, J. T . Harris (died in
October)-.
S T A T E M E N T OF DECEM BER 31* 1921
R E SO U R C E S
Loans and discou n ts.......................... $116 ,7 3 9 .7 3
Loans on real estate.......................... 27,4 52 .4 1
2,559.68
Loans on cotton ...................................
O verdrafts .............................................
3.50
7,650.00
U. S. b on d s.............................................
Other bonds and securities..............
1,400.00
2,525.00
Furniture and fixtures.......................
B an king house................................
5,770.00
Item s in transit...................................
800.00
Due from reserve banks................... 4 8,1 40 .4 4
Checks on other ban ks.....................
95.08
C urrency ................................
3 ,690.00
G old .........................................................
860.00
S ilver .....................................................
300.35
Total cash and E x....... $53,885.87
Other resou rces...................................
37.33
T otal ...............................................—.$2 1 8,02 3 .5 2

L IA B IL IT IE S
Capital stock ........................................ $ 25,000.00
Certified s u r p lu s .................................
12,500.00
7,306.07
U ndivided p rofits.................................
JBills payable “ D eposits on w hich
m ore than 4 p er cent interest
is p a id ’ ’ .............................................
8,500.00
Ind ivid u al d ep osits............................ 1 32,382.74
P u b lic f u n d s ...... .................................
4,176.25
Due to n on -reserve b an ks..............
6,000.00
Certificates o f deposit, tim e..........
30,6 58 .4 6
Total deposits ..............$173,217.45

Total

...................................................$ 218 ,0 2 3 .5 2

JThis amount n ot added in totals.

WALDO
Columbia County

PEOPLES BANK
Charter N o. 313.

Date of Charter, January 22, 1910.

O fficers— W . M . Fincher, President; Chas. Clark, V ice President; E. F . Graves, V ice President;
C. C. Fincher, Cashier, H . A . Fincher, Assistant Cashier.
D irectors— W . M . Fincher, Chas. Clark, E. F. Graves, H. M . Kitchens, J. S. Watkins, W . C. Dean,
C. C. Fincher.
STA T E M E N T OF DECEM BER 31, 1921
R ESO U R C E S
Loans and d iscou n ts..........................$
Loans on real estate..........................
Loans on cotton ....................................
Other bonds and secu rities..............
F urniture and fixtures.....................
B an king house......................................
Due from reserve banks...................
C urrency ................................................
S ilver ....................................................
Total cash and E x....... $28,042.68
T otal




67,672.93
51,240.00
14,010.79
5,520.00
1,934.90
4,0 0 0.00
19,046.91
7,078.00
1,917.77

.$172,421.30

L IA B I L I T I E S
Capital s to ck ........................................ $ 25,000.00
Certified s u r p lu s ............................ —
10,000.00
U nd ivid ed p rofits.................................
4,9 2 2.25
Individual d ep osits............................ 110,171.36
C ertificates o f deposit, tim e...........
15,536.32
Certificates o f deposit, fo r m oney
b orrow ed ...........................................
6,000.00
C ashier’ s ch eck s.....................r..........
791.37
Total deposits ..... ........$132,499.05
Total

.$172,421.30

196

R eport

of

B a n k C om m issioner

WALDRON
Scott County
BANK OF W ALD R O N
Charter N o. 72.

Date of Charter, A pril 3, 1901.

O fficers— J. L . Center, President; John T . Forrester, V ice President; W . B. Piles, Cashier.
D irectors— John T . Forrester, C. E. Forrester, E. M . Fuller, L . K. Robertson, J. L . Center, W . B.
Piles, Daniel Hon, J. S. Hill.
S T A T E M E N T OF DECEM BER 31, 1921
L IA B IL IT IE S
R ESO U R C E S
Capital stock .........................................$ 60,000.00
L oans and discou n ts.......................... $ 1 6 7 ,2 4 2 .1 0
Certified s u r p lu s .................................
2 0,0 00 .0 0
L oans on real estate..........................
2 5,8 69 .6 2
U nd ivid ed p rofits.................................
8,387.59
L oans on cotton .................................... 21,4 41 .8 1
B ills p a ya b le ......................................... 12,000.00
O verd rafts .............................................
1 ,205.56
S avings a ccou n ts.................................
3 ,749.12
4 7,6 00 .0 0
IT. S. b o n d s ........... .................................
d ivid u a l d ep osits............................. 1 66,272.58
O ther bonds and secu rities....................................3 ,2 3In
3.87
P u b lic f u n d s ......................................... 16,527.51
F urnitu re and fixtures........................
1,600.00
C ertificates o f deposit, dem and.... 3 0 ,3 7 9 .4 7
B an kin g h ou se......................................
5,000.00
C ashier’ s ch eck s.................................
2 ,716.36
Due from n on -reserve b an ks....................................13,859.92
Total deposits ..............$219,645.04
D ue from reserve ban ks................... 16,155.69
C hecks
on other ban ks...................
5,606.36
C urren cy ................................................
7 ,724.00
G old ............................. -..........................
155.00
S ilv er .......................................................
9 25.87
Total cash and Ex....... $44,426.84
O ther resou rces....................................
2,413.13
.$ 3 20,032.63

T otal

T otal

.$320,032.63

WALNUT RIDGE
Lawrence County
LAW RENCE CO U N TY BANK
Charter N o. 22.

Date of Charter, August 11, 1890.

O fficers— J. G. Richardson, President; G . E. Henry, V ice President; C. W . White, Acting V ice
President; Roy Townsend, Acting V ice President; E. L. M oore, Cashier; Hom er Mays, A ssist­
ant Cashier; J. J. Sharum, Assistant Cashier.
D irectors— J. G. Richardson, J. M . Lester, Charles Bloom, John K. Gibson, C. W . White, E. L .
M oore, Jake Less, S. C. Dowell, S. E. Spikes, J. A . Fender, W . Mathile, Roy Townsend, G . E.
Henry, Dr. R. R. Johnson.
S T A T E M E N T O F D ECEM BER 31, 1921
L IA B I L I T I E S
R E SO U R C E S
Capital s to ck ........................................ $ 85,0 00 .0 0
L oans and discou n ts.......................... $ 3 4 8 ,9 4 3 .5 5
C ertified s u r p lu s .................................
2 5,0 00 .0 0
L oans on real estate..........................
8 3,7 65 .3 6
L oans on cotton .................................... 20,0 00 .0 0
U nd ivid ed p rofits................................. 2 1,1 87 .7 7
B ills p a ya b le..!.....................................
3 5,0 00 .0 0
O verd ra fts .............................................
934.64
90.00
O ther bonds and secu rities....................................2 9,8D
72ividen
.2 5 ds u n p aid.................................
In d ivid u a l d ep osits............................. 2 80 ,83 6 .1 9
F urnitu re and fixtures.....................
5 ,023.70
P u b lic f u n d s ......................................... 92,0 93 .3 1
B an kin g h ou se......................................
10,750.00
C ertificates o f deposit, tim e.........
3 3,5 85 .3 0
Other real estate.................................
13,500.00
C ashier’ s ch eck s.................................
1,858.81
D ue from n on -reserve b an ks.........
40.21
Total deposits ..............$408,463.64
Cash item s.............................................
501.86
D ue from reserve ban k s................
4 8,9 24 .9 6
Checks on other banks.....................
5,299.38
C urren cy .....................................
5,600.00
G old ..........................................................
12.50
S ilver .........................................
1,483.00
Total cash and Ex....... $61,861.91
T otal




$ 5 7 4 ,6 5 1 .4 1

T ota l

.$574,651.41

S tate

of

A rkansas

197

WARREN
Bradley County
M E R C H A N T S & P L A N T E R S T R U ST & S A V IN G S B A N K
Charter N o. 17.

D a te,of Charter, March IS, 1890.

O fficers— H. L. Turner, President; C. J. Mansfield, First V ice President; F. L. Purcell, Second
V ice President; Carl Hollis, Cashier; A . L. Greene, Assistant Cashier; Kirby Smith, Assist­
ant Cashier.
D irectors-—H . L. Turner, F. L. Purcell, H. F. Butler. G . B. Colvin, Carl H ollis, O . W . Wheless,
C. J. Mansfield, J. M. Bailey, O. O. Axley, L. G. Hampton, Noel Martin.
S TA TE M E N T OF DECEM BER 31, 1921
- R E SO U R C E S
Loans and d iscou n ts.......................... $ 31 5 ,6 1 5 .6 7
Loans on real estate.......................... 161,637.37
Loans on cotton .................................... 28,4 01 .6 5
U. S. b on d s.................
33,235.15
1,341.78
Other bonds and securities..............
F urnitu re and fixtures.....................
252.31
B an king hou se......................................
34,281.52
Cash item s.....................
253.03
Due from reserve banks................... 87,218.19
Checks on other b an ks.....................
2 ,358.15
C urrency ................................................ 15,754.00
G old .........................................................
397.50
S ilver .....................................................
2,349.16
Total cash .and E x..... $108,330.03
Other resou rces.............................
2,225.00
T otal

.$685,320.48

L IA B I L I T I E S
Capital stock .............................$100,000.00
Certified s u r p lu s .....................
50,000.00
U ndivided p rofits.....................
16,907.63
B ills p a ya b le............................. 30,000.00
Savings a cco u n ts..................... 120,777.06
T rust fu n d s ...............................
5 ,469.14
D ividen ds un p aid.....................
5,000.00
3 06,518.80
In d ivid u a l d ep osits.....................
P u b lic fu n d s ........................................^ 15,265.36
Certificates o f deposit, dem and.... 32,337.44
C ashier’ s ch eck s.....................
1,045.05
Total deposits ..............$486,412.85
R eserved fo r taxes...................
2,000.00

T ota l

.$685,320.48

WARREN
Bradley County
W ARREN BANK
Charter No. 80.

Date of Charter, December 28, 1901.

O fficers— Louis Ederington, President; S. B. Meek, V ice President; C. W . Hankins, V ice Presi­
dent; R . L. Deal, Cashier; C. L . Tarleton, Assistant Cashier; M . C. Singer, Assistant Cashier.
r
D irectors— Louis Ederington, W . T. Thompson, B. W. Martin, J. R . S. Meek, C. W . Hankins,
W.
E. Broughton, Bryan Martin, J. M . Bailey, S. B. Meek.
S T A T E M E N T OF DECEM BER 31, 1921
L IA B IL IT IE S
R ESO U R C E S
Capital s to ck ........................................ ! ! 75,000.00
Loans and d iscou n ts.......................... $136 ,3 6 0 .1 8
Loans on real estate.......................... 220 ,50 9 .8 0
Certified s u r p lu s .................................
3 0.0 00 .
00
Loans on cotton .................................... 20,000.00
3,405.61
U ndivided p rofits.................................
U. S. b on d s.............................................
50,500.00
6 1 .0 0 0 . 00
B ills p ayable................................. .......
94,606.19
Other bonds and securities....................................6,363.01
Savings accou nts.................................
D ividen ds un p aid .................................
3,800.00
F urnitu re and fixtures.....................
4 ,100.00
B an king house......................................
4,100.00
In d ivid u a l d ep osits............................ 196,097.80
11,677.22
Due from n on -reserve ban k s...........
16,086.17
P u b lic fu n d s ........................................
7,891.27
Due from reserve banks...................
19,000.00
Certificates o f deposit, tim e.........
1,880.48
Checks on other banks.....................
6,505.89
C ashier’ s ch eck s................................
C urrency ................................................ 12,040.00
Total deposits ..............$315,952.96
G old .........................................................
482.50
Other liab ilities.................................... 12, 000.00
S ilv er ....................................................
1,311.02
Total cash and E x....... $55,425.58
Total




.$497,358.57

Total

.$497,358.57

198

R eport

of

B a n k C om m issioner

WASHINGTON
Hempstead County
W A S H IN G T O N STATE B A N K
Charter N o. 467.

Date of Charter, July 30, 1917.

O fficers— C. N . Trimble, President; W . B. Nelson, V ice President; J. W . Butler, Cashier; M rs.
J. W . Butler, Assistant Cashier.
D irectors— C. N . Trimble, W . B. Nelson, A . N . Stroud, O. C. Bailey, J. W . Butler.
S T A T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
L oans and d iscou n ts..........................
L oans on real estaate.......................
O verd rafts ................ ............................
O ther bonds and securities...........
F urnitu re and fixtures.....................
B an kin g h ou se......................................
Other real estate.................................
Cash item s.............................................
Due from reserve banks.....................
C urren cy ................................................
G old .........................................................
S ilv er .....................................................
Total cash and Ex........$20,409.78
T otal

6 4,4 16 .3 5
15,6 95 .7 6
134.01
2 ,826.77
4 .002.72
5,105.24
1.597.73
67.19
17,402.41
2,042.00
97.50
800.68
$ 11 4 ,1 8 8 .3 6

L IA B I L I T I E S
Capital s to ck ........................................ $ 25,0 00 .0 0
Certified s u r p lu s .................................
6,372.91
U nd ivid ed p rofits.................................
1,441.50
In d ivid u a l d ep osits............................
64,978.87
P u b lic fu n d s ........................................
5,067.68
C ertificates o f deposit, tim e...........
10,902.49
C ashier’ s ch eck s.................................
424.91
Total deposits ................ $81,373.95

Total

$ 1 1 4 ,1 8 8 .3 6

WATSON
Desha County
DESHA C O U N T Y BANK
Charter N o. 371.

Date of Charter, A pril 1, 1912.

O fficers— H . Thane, President; D . E. Dobson, V ice President; R . H . W illis, Cashier.
'D irectors— D . E. Dobson, Sam Wolchansky, Sam Rayder, D. A . Gates, H . Thane.
S T A T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
L oans and d iscou n ts..........................$ 5 1,3 80 .3 6
L oans on real estate.......................... 4 8,7 70 .2 0
O verd rafts .............................................
102.74
U . S. b o n d s ...........................................
6 ,699.70
O ther bon d s and securities..............
8 ,308.47
F urnitu re and fixtures........................
1,377.00
B an king h ou se.................................
636.00
Cash item s...............
302,03
D ue from reserve ban k s................... 10,4 96 .1 2
C urren cy ................................................
1,982.00
G old ..........................................................
10.00
S ilv er .....................................................
279.34
Total cash and E x........$13,069.49

T otal

.$13 0,34 3 .9 6

JThis amount not added in totals.




L IA B IL IT IE S
Capital stock ........................................ !
Certified s u r p lu s .................................
U n d ivid ed p rofits.................................
B ills p a ya b le................................. .......
JB ills payable “ D eposits on w h ich
m ore than 4 per cent interest
is p a id ’ ’ ............................................ .
In d ivid u a l d ep osits............................
D ue to n on -reserve b an k s................
C ertificates o f deposit, tim e.........
C ertificates o f deposit, fo r m oney
b orrow e d ...........................................
C ashier’ s ch eck s.................................
Total deposits ...... ......... $71,567.32
Other liabilities.-...'.............................
Total

1 7,6 00 .0 0
7,400.00
3 ,979.61
2 5 ,0 0 0 .0 0
1 .0 7 0.00
57,622.22
7 ,0 0 0.00
3 .9 0 0.00
1 .0 7 0.00
1,9 7 5.10
4 ,7 9 7 .0 3

$ 13 0 ,3 4 3 .9 6

S tate

of

199

A rkansas

WEINER
Poinsett County
B A N K O F W E IN E R
Charter N o. 276.

Date of Charter, A pril 21, 1909.

O fficers— L. Hogue, President; L. T. McDaniel, V ice President; J. B. Huber, Cashier.
D irectors— L. Hogue, L. T . McDaniel, Jas. E. Parr, Wm. Knapple, J. B. Huber.
STA T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
Loans and d iscou n ts..........................$ 75,707.65
Loans on real estate..........................
2 ,269.91
O verdrafts .............................................
267.62
Other bon d s and secu rities..............
103.50
F urniture and fixtures.....................
1,386.00
B an king hou se......................................
1,889.15
Other real estate.................................
470.63
Due from n on -reserve b an ks.........
385.69
Due from reserve ban ks................
20,5 78 .7 0
C urren cy ................................................
1,457.00
G old .........................................................
90.00
S ilver ....................................................
645.02
Total cash and E x....... $23,156.41
$ 10 5 ,2 5 0 .8 7

Total

L IA B IL IT IE S
Capital, stock .........................................J 10 , 000.00
Certified s u r p lu s .................................
2,500.1)0
7,509.20
U ndivided p rofits.................................
B ills p a ya b le............. ..........................
5,000.00
{B ills payable “ D eposits on w hich
m ore than 4 p er cent interest
is p a id ’ ’ .............................................
2.174.72
In d ivid u a l d ep osits............................
59,629.40
6,053.32
P u b lic fu n d s ........................................
Certificates o f deposit, tim e:.......
12,210.51
Certificates o f deposit, fo r m oney
2.174.72
b o r r o w e d , ...........................................
173.72
C ashier’ s ch eck s.................................
Total deposits ................ $80,241.67
Total

.$105,250.87

{T h is am ount not added in totals.

WESTERN GROVE
Newton County
BANK OF W ESTERN GROVE
Charter N o. 484.

Date of Charter, July 14, 1919.

O fficers— Joe Patton, President; G. W . Hamm, V ice President; T . W . Stacy, Cashier.
D irectors—-J oe Patton, H. R. Magness, Dr. J. G. Gladden, G . W . Hamm, B. M . Magness.
S T A T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
Loans and d iscou n ts.............................$30 ,55 7 .9 5
O verdrafts ................................................
1.55
Furniture and fixtures........................ 1,671.34
B anking house........................................
3,318.95
Item s in tra n sit......................................
60.00
Cash item s................................................
10.25
Due from reserve ban ks.....................
8,493.27
Currency ..................................................
2 ,610.00
G old ............................................................
35.00
S ilver .......................................................
289.25
Total cash and E x....... $11,497.77
Total




.$47,047.56

L IA B IL IT IE S
Capital s to ck ........................................... $ 10,000.00
Certified s u r p lu s .................................... 2,000.00
U ndivided p rofits...................................
1,464.13
In d ivid u a l d ep osits............................... 28,883.43
Certificates of deposits, tim e................................. 4,700.00
Total deposits ................ $33,583.43

Total

.$47,047.56

200

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of

B a n k C om m issioner

WEST FORK
Washington County
B A N K OF W E ST FORK
Charter N o. 252.

Date of Charter, January 28, 1908.

O fficers— R . L. Dameron, President; J. L . Bryan, V ice President; George A . Curtis, Cashier;
G .'C . Little, Assistant Cashier.
D irectors— R . L . Dameron, A . K. Sawyer, C . C . Stockburger, J. L. Bryan, Martin Flood, F . J.
Males, George A . Curtis.
S T A T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
L oans and discou n ts.............................$ 26 ,07 3 .2 8
L oans on real estate............................ 11,545.58
O verd rafts ................................................
110.99
F urnitu re and fixtures..........................
1,600.00
B an kin g house......................................... 1 1,5 00 .0 0
O ther rea l estate....................................
658.00
Cash item s................................................
297 .94
D ue from reserve banks..................... 12,3 69 .6 0
C urren cy ..................................................
1,336.00
S ilv er .......................................................
7 94.96
Total cash and E x....... $14,798.50
T ota l

L IA B I L I T I E S
Capital s to c k ........................................... $ 10 ,00 0 .0 0
Certified s u r p lu s .................................... 1,125.00
U nd ivid ed p rofits.................................... 3,791.41
B ills p a ya b le................
6,000.00
In d ivid u a l d ep osits............................... 3 2,9 18 .4 4
P u b lic fu n d s ...........................................
332.26
C ertificates o f deposit, dem and......... 12,0 08 .2 5
Total deposits ................ $45,258.95
Other lia b ilitie s......................................
110.99

.....................................................$ 6 6 ,28 6 .3 5

T otal

.................................................... $ 66 ,28 6 .3 5

W H EATLEY
St. Francis County
R IC E G R O W E R S B A N K
Charter N o. 288.

Date of Charter, September 27, 1909.

O fficers—-H. K. Smith, President; R . R . James, V ice President; W . B. Frith, Cashier.
D irectors— R . R . James, H . K. Smith, W . B. Frith.
S T A T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
L oans and d iscou n ts........................$ 5 3.6 13 .1 2
L oans on real estate..........................
2 6,6 22 .8 0
515.15
O v erd ra fts .............................................
U . S. b on d s ...........................................
50.00
O ther bon d s and securities........—
353.00
F u rn itu re and fixtures.....................
1 ,661.89
B an k in g hou se......................................
7 ,500.00
B ills o f exch a n ge.................................
4 ,1 6 4.22
Cash itdm s.............................................
99.24
D ue from reserve banks................... 3 2,9 57 .8 5
C urren cy ................................................
3 ,0 2 0.00
G old ..........................................................
12.50
S ilv er .......................................................
3 38.51
Total cash and Ex........$40,592.32
T ota l




.$1 3 0,90 8 .2 8

L IA B IL IT IE S
C apital s to ck ........................................ i
C ertified s u r p lu s .................................
U nd ivid ed p rofits.................................
In d ivid u a l d ep osits............................
P u b lic f u n d s .........................................
C ertificates o f deposit, dem and....
C ashier’ s ch eck s.................................
Total deposits ..............$107,148.61
Other lia b ilitie s....................................

T ota l

15,0 00 .0 0

6,000.00
2 ,748.47
97,2 84 .1 3
2,850.60
1,141.20
5 ,872.68

11.20

.$130,908.28

S tate

of

A rkansas

201

WICKES
Polk County
B A N K O F W IC K E S
Charter N o. 474.

Date of Charter, A pril 1, 1918.

O fficers— A . C. Higginbottom, President; W . I. Green, V ice President; W . B. Thomas, Cashier;
Laura Thomas, Assistant Cashier.
D irectors— A . C. Higginbottom, W . B. Thomas, C. H. Jett, W . I. Green, W alter Nance, H. W .
Finger, Clyde Cunningham, J. E. Joplin.
S T A T E M E N T OF DECEM BER 31, 1921
RESOURCES
Loans and d iscou n ts,....................
$ 32,950.98
Loans on real estate............................ 12,317.52
O verdrafts ................................................
116.80
Other bonds and secu rities................
110.00
Furniture and fixtures..........................
1,800.00
B an king house........................................
2,200.00
Other real estate...................................
7 3 1 .4 5 ,
105.00
Cash item s...............................................
D ue from reserve ban ks..................... 3,602.59
C urrency ....................................... :.........
1,136.00
G old ............................................................
225.00
S ilver .......................................................
227.44
Total cash and E x..........$5,296.03
T otal

.................................................... $ 55,522.78

L IA B IL IT IE S
Capital s to ck ........................................... $ 10,000.00
1,500.00
Certified s u r p lu s .................................
U ndivided p rofits....................................
937.28
B ills p a ya b le...............,.......................... 20,432.73
Ind ivid u al d ep osits............................... 19,672.40
Certificates o f deposit, tim e.............. 2,523.00
C ashier’ s ch eck s....................................
457.37
Total deposits ................ $22,652.77

T otal

.....................................................$55,522.78

WILLIFORD
Sharp County
SHARP C O U N T Y B A N K
Charter N o. 319.

Date of Charter, September 8, 1910.

O fficers— George R. Hall, President; A. B. Dutton, Cashier.
D irectors— George R . Hall, W . N . Arnold, D. L. King, Ben N . Yates.
S T A T E M E N T OF DECEM BER 31, 1921
R E SO U R C E S
Loans and d iscou n ts.............................$23 ,42 7 .4 6
L oans on real estate............................ 10,299.83
L oans on cotton ....................................
363.10
U. S. b on d s.............................................
1,750.00
Furniture and fixtures........................
441.79
B an king house........................................
1,000.00
Item s in transit......................................
527.72
Cash item s..............................................
911.75
Due from reserve banks.....................
8 ,518.87
C urrency ..................................................
3,649.00
G old ............................................................
30.00
S ilver .......................................................
370 .36
Total cash and E x....... $14,007.70
T otal

.................................................... $ 51 ,2o9 .8 8




L IA B IL IT IE S
Capital s to ck ...........................................$ 7,500.00
Certified s u r p lu s .................................... 2,529.82
U ndivided p rofits.................................... 2,845.16
In d ivid u a l d ep osits............................... 33,239.93
P u b lic fu n d s ...........................................
73.12
C ertificates o f deposit, tim e..............
5 ,1 0 l.b 0
Total deposits ................ $38,414.90

T otal

.....................................................$ 51,289.88

202

R eport

of

B a n k C om m issioner

WILMAR
Drew County
B A N K O F W IL M A R
Charter N o. 184.

Date of Charter, June 24, 1905.

O fficers— W . S. Anderson, President; W . T . Roberts, V ice President; W . D. Wilkinson, Cashier.
D irectors— W . S. Anderson, W . T . Roberts, R. E. O'N eal, T . A . W ise, W . S. Owens, C. R. Davis,
G . F. Fowler.
S T A T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
L oans and d iscou n ts..........................$ 4 5,8 41 .7 0
L oans on real estate..........................
2 9,8 63 .4 0
L oans on cotton ...................................
800.00
U. S. b on d s ...........................................
7,400.00
Other bonds and securities................
8,046.89
F urnitu re and fixtures........................
720.00
B an kin g hou se......................................
720.00
Due from reserv6 banks....................
11,0 03 .0 6
C urren cy ................................................
5,861.00
G old ..........................................................
1,462.50
S ilv er .....................................
447 .15
Total cash and E x....... $18,773.71
T otal

.................................................. $ 1 1 2 ,1 6 5 .7 0

L IA B I L I T I E S
Capital s to c k ........................................ !
C ertified s u r p lu s .................................
B ills p a ya b le........................................
Notes red iscou n ted ............................
In d ivid u a l d ep osits............................
P u b lic f u n d s ........................................
C ertificates o f deposit, tim e...........
C ash ier’ s ch eck s...................................
Total deposits ................ $55,278.88
Other lia b ilitie s....................................

Total

2 0 , 000.00
2 ,500.00
2 8,0 00 .0 0

6,000.00
4 7,8 60 .9 7
130.00
6,536.93
750.93
386.82

$ 1 1 2 ,1 6 5 .7 0

WILMOT
A shley County
W IL M O T B A N K
Charter N o. 92.

Date of Charter, June 14, 1902.

O fficers— W . B. DeYampert, President; A . M . Keller, V ice President; A . M . Keller, Cashier;
M . H. Keller, Assistant Cashier.
D irectors— W . B. DeYampert, A . M . Keller, M . H. Keller.
S T A T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
L oans and d iscou n ts..........................$
L oans on real estate..........................
L oans on cotton ...........................
O verd rafts .............................................
U . S. b on d s...........................................
O ther bonds and secu rities.............
F urnitu re and fixtures.....................
B an kin g h ou se......................................
O ther real estate.................................
Cash item s.............................................
D ue from reserve b an ks..................
C urren cy ................................................
G old ..........................................................
S ilv er .......................................................
Total cash and Ex........$56,893.77
O ther resources.
T otal




56,4 66 .7 5
51,692.73
12,000.00
1 ,3 8 3.76
2 8,6 17 .2 5
9 ,9 6 0.18
2,9 0 0.00
2 ,5 6 5.44
2 ,7 7 5.95
657.57
39,5 56 .7 2
10,7 48 .0 0
810.00
1,121.48

L IA B IL IT IE S
Capital stock .........................................! > 15,000.00
Certified s u r p lu s .................................
5,000.00
U nd ivid ed p rofits.................................
5,835.11
B ills p a ya b le........................................
4 0 .0 00 .0 0
In d ivid u a l d ep osits............................ 1 24,936.33
P u b lic fu n d s .........................................
1,830.31
C ertificates o f deposit, tim e..............
27,3 23 .3 5
C ash ier’ s ch eck s.................................
1,310.73
Total deposits ..............$155,450.72

30.00

$221 ,2 3 5

T otal

$ 22 1 ,2 8 5 .8 3

S tate

of

A rkansas

203

WILSON
Mississippi County
B A N K O F W IL S O N
Charter N o. 262.

Date of Charter, October 3, 1908.

O fficers— J. C. Cullom, President; F. A . Gillette, First V ice President; H . F. Crawford, Second
V ice President; K. P. Cullom, Cashier.
D irectors— C. M . Bell, H . F. Crawford, O. M . Hill, E. W . Gardner, A . B. H ill, R. E. Lee Wilson,
Sr., F. A . Gillette, J. R. Cullom, J. C. Cullom, R . E. Lee W ilson, Jr., K. P. Cullom.
S T A T E M E N T OF DECEM BER 31, 1921
R E SO U R C E S
L oans and d iscou n ts...... ~.................$ 16 4 ,4 7 2 .4 7
Loans on real estate..........................
48.2 39 .7 0
U. S. b on d s...........................................
1,200.00
Other bonds and securities..............
100.00
F urnitu re and fixtures.....................
1,291.50
Due from non-reserve ban k s.........
10,000.00
Due from reserve ban ks................... 41,5 96 .9 3
C urrency ................................................
6,536.00
147.50
G old .........................................................
S ilver .......................................................
3,837.03
Total cash and E x....... $62,117.46
Other resources.
630.00

Total

.$278,051.13

L IA B IL IT IE S
Capital s to ck ........................................ J 2 5 .0 0 0 .
Certified s u r p lu s .................................
2 5 .0 0 0 .
U ndivided p rofits.................................
8,673.53
{B ills payable “ D eposits on w hich
m ore than 4 p er cent interest
is p a id ’ ’ ..... ........................................ 1 5 .0 0 0 .
Savings a ccou n ts.................................
33,083.48
In d ivid ual d ep osits............................ 1 10,494.51
P u b lic f u n d s ......................................... 18,209.91
Due to non-reserve ban k s.............. 42,5 00 .0 0
Certificates of deposit, fo r m oney
1 5 .0 0 0 .
borrow ed —.......................................
83.30
C ashier’ s ch eck s.................................
Total deposits ........... .'.$219,371.20
6.40
R eserved fo r taxes...............................
T otal

.$278,051.13

{T h is amount not added in totals.

WILTON
Little River County
B A N K O F W IL T O N
Charter N o. 260.

Date of Charter, July 28, 1908.

O fficers— Joel M ills, President; W . L. Hedgecock, V ice President;
Mesamore, Assistant Cashier; A ddie H ill, Assistant Cashier.

Ada M ills, Cashier; J. L.

D irectors— Joel M ills, W . L. Hedgecock, Ada M ills, J. L. Mesamore.
S T A T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
Loans and d iscou n ts.......................... $ 28 ,86 6 .9 9
3,674.19
Loans on real estate..........................
1,359.40
Furniture and fixtures......................
624.64
D u e. from n on -reserve b an ks..........
6 ,449.15
Due from reserve banks...................
1,024.00
C urrency ................................................
22.00
G old ................ .........................................
371.85
S ilver ..............-......................................
Total cash and E x..........$8,491.64
Total




.$42,392.22

L IA B IL IT IE S
Capital s to ck ...........................................$ 5,000.00
Certified s u r p lu s .................................... 5,000.00
U ndivided p rofits....................................
453.89
B ills p a ya b le........................................... 16,500.00
In d ivid u a l d ep osits............................... 13,196.34
C ertificates o f deposits, tim e....... — 1,933.33
C ashier’ s ch e ck s....................................
308.66
Total deposits ................ $15,438.33
Total

.$42,392.22

00
00

00

00

204

R eport

of

B a n k C omm issioner

WINCHESTER
Drew County
B A N K O F W IN C H E S T E R
Charter N o. 408.
O fficers— George A . Knox, President;
Pickens, Assistant Cashier.

Date of Charter, February 24, 1913.
H . Thane, V ice President;

C. A . King, Cashier;

J. E.

D irectors— George A . Knox, H. Thane, H. Peacock, J. K. Smith, F. O'. Hopkins.
S T A T E M E N T O F D ECEM BER 31, 1921
R E SO U R C E S
L oans and discou n ts..........................
L oans on real estate..........................
O verd rafts .............................................
Other bonds and securities..............
F urnitu re and fixtures.....................
B an k in g house......................................
O ther real estate.................................
Due from n on -reserve b an k s.........
Cash item s.............................................
D ue from reserve ban ks...................
C urren cy ................................................
G old .........................................................
S ilv er ....................................... -............
Total cash and E x....... $11,855.18
O ther resou rces...................................

59,876.28
4 1 ,5 7 7 .1 4
5.70
242.75
1 .850.00
5 ,000.00
3.1 7 5.00
19.78
101.65
9 ,798.21
1.3 5 3.00
10.00
572.54
291.33

...$ 12 3 ,8 7 3 .3 8

T otal

L IA B IL IT IE S
C apital s to c k ........................................ $ 19,1 00 .0 0
C ertified s u r p lu s ............................
4 ,000.00
U n d ivid ed p rofits.................................
204.06
B ills p a ya b le ......................................... 57,6 69 .4 6
tB illc p ayable “ D eposits on w h ich
m ore than 4 p er cent interest
is p a id ’ ’ .............................................
9,9 6 8.61
In d ivid u a l d ep osits............................. 2 9,5 45 .2 6
P u b lic fu n d s ...........................................
3,1 4 2.77
C ertificates o f deposit, fo r m oney
b orrow ed ...........................................
9 ,9 6 8.61
C ash ier’ s ch eck s.................................
243.22
Total deposits ................ $42,899.86

T otal

.$123,873.38

JThis am ount not added in totals.

WINSLOW
Washington County
B A N K O F W IN S L O W
Charter N o. 244.
O fficers— J. A . Winn, President;
Winn, Assistant Cashier.

Date of Charter, September 9, 1907.

E. A . Budd, V ice President;

G. A . Winn, Cashier, Martha

D irectors— J. A . Winn, W . V . Land, E. A . Budd, A . N . Cole, J. N . Terry, J. C. White, Jay
Fulbright.
S T A T E M E N T OF D ECEM BER 31, 1921
R E SO U R C E S
L oans and d iscou n ts.............................$ 44 ,23 9 .4 6
L oans on real estate............................
9 ,6 9 9.45
O verd ra fts ................................................
5 49.16
U . S. b on d s .............................................
2 ,1 4 2.57
O ther b on d s and secu rities..............
1,837.03
F urnitu re and fixtures........................ 1,600.00
B an k in g h ou se........................................
1,800.00
Cash item s..................... ........................
352.58
D ue from reserve ban k s................... 11,508.82
C urren cy ..................................................
701.00
G old ............................................................
32.50
S ilv er ............
982.50
Total cash and Ex........$13,577.40
T ota l

.....................................................$ 75 ,44 5 .0 7




L IA B IL IT IE S
C apital s to ck ........................................... $ 10 ,00 0 .0 0
Certified s u r p lu s .................................... 2 ,0 0 0.00
U n d ivid ed p rofits.................................... 4 ,6 0 8.10
B ills p a ya b le...........................................
3,000.00
In d ivid u a l d ep osits............................... 4 3 ,0 5 7 ,9 4
C ertificates o f deposit, dem and....... 12,678.03
Total deposits ................ $55,735.97
O ther lia b ilitie s......................................
101.00

T otal

.....................................................$ 75 ,44 5 .0 7

S tate

of

A rkansas

205

WINTHROP
Little River County
W I N T H R O P B A N K I N G C O M P A N Y (P R I V A T E B A N K )
Charter N o. 433.

Date of Charter, March 7, 1916.

O fficers— W . D. Stephens, President; G. C. Hamblin, Cashier; Alfred Buercklin, Assistant Cashier.
D irectors— W . D . Stephens, G . C. Hamblin.
S T A T E M E N T OF DECEM BER 31, 1921
R E SO U R C E S
L oans and d iscou n ts............................ $48,89 3 .4 3
Loans on real estate............................
4 ,7 4 7.24
Loans on cotton ......................................
701.38
O verdrafts .............................................
95.89
U. S. b on d s.............................................
123,99
683.50
Other bonds and securities..............
F urnitu re and fixtures.......................
941.86
Other real estate...................................
5,364.97
Cash item s................................................
66.95
Due from reserve ban ks.....................
5 ,027.17
C urren cy ..................................................
67 00
G old ........
627.50
S ilver ......
956.92
Total cash and E x..........$6,745.54
Other resou rces......................................
455.22
T otal

.................................................... $68,75 3 .0 2

L IA B IL IT IE S
$10,00 0 .0 0
Capital s to ck ...............
Certified s u r p lu s .................................... 10,000.00
U ndivided p rofits.................................... 3,140.09
B ills p a ya b le........................................... 15,000.00
In d ivid a u l d ep osits............................... 24,3 25 .5 1
P u b lic ^ fu n d s ...........................................
1,107.11
5,180.31
Certificates o f deposit, tim e..............
Total deposits ................ $30,612.93

T otal

.....................................................$68 ,75 3 .0 2

WOMBLE
Montgomery County
CADDO V A LLE Y BANK
Charter N o. 199.

Date of Charter, December 7, ^1905.

O fficers— L. C. Acruman, President; O. M . Radford, V ice President; C. H . Rowton, Cashier.
D irectors— L. C. Acruman, O. M . Radford, C. H. Rowton, L. J. Witherspoon, C. E. Kelley, M . M.
Dutton, C. A . Smith.
S T A T E M E N T OF DECEM BER 31, 1921
R E SO U R C E S
Loans and d iscou n ts.............................$42,767.71
O verdrafts - .............................................
17.95
U. S. b on d s.............................................
8,000.00
Other bonds and secu rities..............
5,082.50
F urnitu re and fixtures.............................1,250.00
B an king hou se........................................
700.00
Other real estate....................................
250.00
Item s in tra n sit......................................
38.95
Due from reserve ban ks................... 17,5 44 .1 6
C urrency ..................................................
2,361.00
G old ............................................................
280.00
S ilver .......................................................
674.10
Total cash and E x....... $20,898.21
T otal

.................................................... $ 78 ,96 6 .3 7




L IA B I L I T I E S
Capital stock ........................................... $ 10,000.00
Certified s u r p lu s .................................... 1,800.00
U nd ivid ed p rofits..............
800.00
Ind ivid u al d ep osits............................... 54,220.03
Certificates o f deposit, dem and...... 11,752.50
C ashier’ s ch eck s....................................
378.26
Total deposits ................ $66,350.79
R eserved fo r in terest..........................
15.58

T otal

................................................- .$ 7 8 ,9 6 6 .3 7

206

R eport

of

B a n k C om m issioner

WYNNE
Cross County
CROSS C O U N T Y B A N K
Charter N o. 25.

Date of Charter, June 5, 1891.

O fficers— R . Block, President; J. E. Harris, V ice President; D. H . Hamilton, Cashier; C . J.
Coffin, Assistant Cashier.
D irectors— J. D. Block, E. J. Badinelli, R . L. Block, J. E. Harris, H. A . Block, R . Block, Ed.
Hamilton, R . A . Martin, D. H. Hamilton.
S T A T E M E N T O F DECEM BER 31, 1921
R E SO U R C E S
L oans and d iscou n ts....;.................... $ 27 6 ,3 8 5 .1 0
L oans on real estate....T.................... 4 5,9 67 .0 0
L oans on co tto n ...................................
2 5,0 00 .0 0
O verd rafts .............................................
41.2 6
IT. S. b o n d s...................
14,000.00
Other bon d s and secu rities..............
8,8 4 8.55
F urnitu re and fixtures.....................
1.00
B an k in g h ou se......................................
2 ,500.00
129.36
Cash item s.............................................
D ue from reserve hanks................... 72,315.47
C hecks on other hanks.....................
1,636.81
C urren cy ................................................
9 ,610.00
G old ..........................................................
540.00
S ilver .....................................................
2 ,146.53
Total cash and E x....... $86,378.17
T otal

.................................................. $ 45 9 ,1 2 1 .0 8

L IA B IL IT IE S
Capital s to ck ........................................ $ 60,0 00 .0 0
Certified s u r p lu s .................................
14,000.00
U nd ivid ed p rofits.................................
12,1 80 .9 7
In d ivid u a l d ep osits............................ 2 77 ,04 7 .7 9
P u b lic fu n d s .........................................
4 ,0 0 0.00
D ue to non -reserve b an ks................
5,00 j0.00
C ertificates o f deposit, dem and....
86,892.32
Total deposits ..............$372,940.11

T otal

.................................................. $ 45 9 ,1 2 1 .0 8

YELLVILLE
Marion County
C I T IZ E N S B A N K
Charter N o. 107.

Date of Charter, December 13, 1902.

O fficers— J. F. Carson, President; T . L . Bond, V ice President; T . G. Angel, V ice President; Ebb
Carson, Cashier; T . V . Russell, Assistant Cashier.
D irectors— J. F. Carson, R . L . Berry, T . G . Angel, Ebb Carson, T . L . Bond.
S T A T E M E N T OF D ECEM BER 31, 1921
R E SO U R C E S
L oans and discou n ts.......................... $ 26 2 ,4 4 4 .2 3
38,5 00 .0 0
L oans on real estate..........................
U. S. b on d s...... ...............
1,500.00
O ther bonds and securities..............
10,8 33 .3 7
F urnitu re and fixtures.....................
4 ,7 0 0.00
B an kin g h ou se......................................
4 ,200.00
Other real estate........... :....................
2 ,100.00
D u e from non-reserve hanks.........
5,000.00
D u e from reserve hanks................... 38,4 03 .7 0
Checks on other ban ks.....................
6 ,3 3 6.05
C urren cy ................................................
5,150.00
G o ld ..........................................................
1,-335.00
S ilv er .....................................................
1,1 2 8.44
T o ta l cash and E x ....... $57,35 3 .1 9
O ther resou rces.................................... 22,8 71 .7 2
T otal

.................................................. $ 40 4 ,5 0 2 .5 1




L IA B IL IT IE S
C apital s to ck ........................................ $ 3 0,0 00 .0 0
C ertified s u r p lu s .................................
6 ,000.00
U n d ivid ed p rofits.................................
340.22
S avings a ccou n ts.................................
9 2,4 50 .0 0
T ru st fu n d s ...........................................
19,371.72
In d ivid u a l d ep osits............................ 2 3 2 ,76 1 .0 8
P u b lic fu n d s ......................................
2 0,8 00 .0 0
C ertificates o f deposit, tim e...........
248.70
C ash ier’ s ch eck s...... ..........................
2 ,5 3 0.79
Total deposits ..............$368,162.29

T otal

.................................................. $ 404,502.51

Statement of the Condition
OF

Building & Loan Associations Authorized to
Do Business in Arkansas

List of Officers and Statement of December 31, 1921




208

R eport

of

B a n k C om m issioner

AUGUSTA
W OODRUFF

COUNTY

B U IL D IN G

& LOAN

A S S O C I A T IO N

D irectors— T . E. Stanley, President; Carl E. Bailey, Secretary; W . M . Sale, R . M . Hutchins, C . S.
Airheart, F. E. Bronaugh.
S T A T E M E N T p F DECEM BER 31, 1921
A SSETS
Cash ......................................................... $ 1 ,3 4 3.93
L oans on s to c k ................................... .
525.00
L oans on rea l estate..........................
15,1 50 .0 0
R egu la r loa n s........................................ .
400 .00
D elinquen t d ues....................................
183.00
D elinquen t interest.............................
.
4.10
S crip t ........................................................
3 84.85
O ffice su p p lies.......................................
65.75
A ccou n ts receiv a b le.............................
135.08
R eserv e fo r retirem ent o f charter
cost .....................................................
301.00
R eserve fo r paym ent o f fees and
taxes ...................................................
32.15
T otal

....................................................$ 1 8 ,52 0 .8 6

L IA B IL IT IE S
Comm on or installm ent stock outstanding ................................................ $ 11 ,75 4 .0 0
A ccum ulated interest on b orrow ed
m oney ..................................................
132.54
B orrow ed m oney.................................... 4 ,7 5 0.00
U ndivided p rofits....................................
1,354.72
M on th ly dues p re p a id ........................
27.50
R eserv e fo r profit on scrip t................
90.63
A ccou n t p a ya b le ....................................
411.47

T otal

.....................................................$ 18 ,52 0 .8 6

BATESVILLE
B A T E S V IL L E B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— W . P. Jones, President; H. M . Kennerly, Secretary; Charles W . Barnett, L. F . Reeder,
H . C. Wade, C. K. Mosby, C. F. Cole, Joe M . Gray, S. M . Bone, C. W . Wasson.
S T A T E M E N T O F DECEM BER 31, 1921
ASSETS
L oans ..........................................................$ 66 ,60 4 .7 9
D elinquen t d u es........................
1,298.92
Cash on hand...........................................
182.90
T otal

.................................................... $ 68 ,08 6 .6 1

L IA B I L I T I E S
Comm on or installm ent stock ou t­
$ 43 ,32 0 .0 0
standing .............
E arnings ..................................................
6,1 4 9.85
B ills p a ya b le........................................... 18,6 16 .7 6
T otal

.....................................................$68 ,08 6 .6 1

BATESVILLE
N A T IO N A L B U IL D IN G & L O A N

A S S O C I A T IO N

D irectors— John Q . W olfe, President; John F. Grammer, Secretary; A lbert Sims, E. C. McIntosh,
A . L . Crouch, E. R. Long, Charles Padgett, J. F. Martin, G . E. Yeatman.
S T A T E M E N T O F DECEM BER 31. 1921
ASSETS
L oans, series on e....................................$ 42 ,97 0 .0 0
L oans, series tw o.................................... 7,700.00
E xpense, series one...............................
1,190.20
E xpense, series tw o...............................
97.76
In terest paid, series on e.....................
2,7 3 4.46
Cash on hand...........................................
7.43.99
T otal

.....................................................$55 ,44 5 .4 1




L IA B I L I T I E S
S tock paym ent, series one.................$33 ,83 9 .0 0
S tock paym ent, series tw o ................
835.00
In terest collected, series on e..............
7,209.10
In terest collected , series tw o ............................... 60.81
Fines, series one......................................
1.50
B ills payable, series one.....................
6 ,500.00
B ills p ayable, series tw o ...................
7,000.00
T otal

.....................................................$ 55 ,44 5 .4 1

S tate

of

A rkansas

209

BATESVILLE
P E O P L E S B U I L D I N G & S A V I N G S A S S O C I A T IO N
D irectors— D. D . Adams, President; E. A . Hodgse, Secretary; J. C. Fitzhugh, S. M . Casey, J. C.
Hail, F. P. Albright, C. D . Metcalf, R. B. Evans, J. Rich.
S T A T E M E N T O F DECEM BER 31, 1921
L oans ...............
Cash in bank

A SSETS
.................................. $67 ,02 9 .9 0
..................................
5,479.64

Total

.$ 72,509.54

L IA B IL IT IE S
Common or installm ent stock ou t­
standing ................................................$ 44,91 6 .7 5
U ndivided p rofits..... .............................
7,592.79
B ills p a ya b le.....................- ..................... 20,0 00 .0 0
.$72,509.54

T otal

BLYTHEVILLE
B L Y T H E V I L L E 'B U IL D IN G & L O A N A S S O C I A T IO N
D irectors— Zal B. Harrison, President; W . M . Burns, Secretary; E. D . Ferguson, S. E. Vail, Joe
Isaacs, C. M . Gray, J. A . Mott, Sam Joseph, A . B. Bottrell, Aubrey Conway
S T A TE M E N T OF DECEM BER 31, 1921
ASSETS
Cash in ban k................ ..........................$
270.74
F irst m ortgage rea l estate loans.— 11,900.00
S tock certificate loans..........................
608.08
O rganization expen se..........................
200.00
F urnitu re and fixtures........................
100.00
T otal

.................................................... $13,078.82

L IA B IL IT IE S
Common or installm ent stock ou t­
standing .............................................. $ 11 ,98 5 .0 0
N ote p a ya b le.......................................... 1 ,000.00
P rofit and loss........................... ......... —
93.82
Total

- .................................................. $ 13,078.82

BLYTHEVILLE
T H E M ISSISSIPPI C O U N T Y B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— I. Rosenthal, President; B. A . Lynch, Secretary; F . W . Schatz, A . B. Fairfield, W . W .
Hollipeter, A . M . Butt, E. D. Ferguson, C. H . Windt, L . Humphreys, A . C. Lange.
S TA TE M E N T OF DECEM BER 31, 1921
A SS E T S
F irst m ortgage loa n s..........................$ 15 9 ,2 0 0 .0 0
Stock loans..........................................
43,0 75 .0 0
E xpense a ccou n t...................................
1,300.00
Cash in b an ks........................................
16,021.95
Cash in o ffic e ......................................
851.74
T otal

.................................................. $ 220,448.79

L IA B IL IT IE S
Common or installm ent stock ou t­
$ 14 8 ,2 5 6 .5 0
standing ....................
Interest a ccou n t...................... .-............ 19,485.41
Fines and fo rfe itu re s ........................
303.99
U n divided p rofits.................................
52,402.89
T otal

...................... - ......................... $ 22 0,448.79

DARDANELLE
D A R D A N E L L E B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— A . A . Flater, President; T . E. Wilson, Secretary; C. D . Singer, W . L . Fowlkes, R. H.
Cunningham, E. W . Farrior, R . E. Batson, F. C. Burnett.
S T A T E M E N T O F DECEM BER 31, 1921
A SS E T S
Loans, m ortgage secu rity......................$ 95 ,07 5 .0 0
L oans on stock .............. .........................
1,040.00
A ccoun ts receiv a ble..............................
302.15
E xpense a ccou n t......................................
2,943.65
T otal

.....................................................$ 99 ,36 0 .8 0




L IA B I L I T I E S
Common or installm ent stock ou t­
standing ..............................................$66,62 0 .9 9
In terest a ccou n t...................................... 28,537.79
Due trea su rer..............
4 ,202.02
Total

.....................................................$99,360.80

210

R eport

of

B a n k C omm issioner

DENVER, COLORADO
T H E M ID L A N D S A V IN G S & L O A N C O M P A N Y
D irectors— F. E. Carringer, President; Frederick W . Carriiiger, Secretary; C. C. St. Clair, A . J.
Bryant, S. H. Bever.
S T A T E M E N T O F DECEM BER 31, 1921
A SS E T S
F irst m ortgage loans.... $ 3 ,5 34 ,6 7 1 .4 2
L oans to m em bers.........
86,3 43 .5 7
A dvances fo r taxes, insurance,
U .eSC.' L ib erty bonds ” ^ --” ” ---'--"
47,80o!oO
F urnitu re hom e office loca tion ..
75,000.00
C ontracts o f sale.............
2 1,1 54 .2 5
Due from b an k s.............
92,0 29 .8 2
T otal

$ 3 ,8 60 ,5 5 3 .0 9

L IA B I L I T I E S
Savings and sundry a ccou n ts....$2 ,4 2 1 ,1 5 3.05
Investm ent a c c o u n t s ..................... 1,22 7,65 4 .7 7
R eserve fu n d ..........................
140,00 0 .0 0
B ills p a ya b le......................................
4 0,0 00 .0 0
E xpense fun d and u n divided
3 1,7 45 .2 7
profits .............................................

T otal

$ 3 ,8 6 0 ,5 5 3 .0 9

EL DORADO
E L D O R A D O B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— J. E. Culp, President; J. F. Vantrease, Secretary; W . E. McRae, P. F . Nelson, J. M .
Pendleton.
S T A T E M E N T O F DECEM BER 31. 1921
ASSETS
Cash on hand...........................................$
182.67
O rganization ...........................................
2 ,212.12
B ills receiv a b le...................................... 14,2 27 .2 7
O ffice equipm ent.................................... 1,882.59
7.34
R evenu e stam ps......................................
A ccou n ts receiv a b le...............................
306.00
E xpenses ..................................................
2 ,628.30
T otal

.....................................................$21 ,44 6 .2 9

L IA B I L I T I E S
Comm on or installm ent stock ou t­
standing ................. ..............................$ 1,156.90
P referred or prepaid stock ou t­
standing ................................................ 20,250.00
39.39
Due bank ch ecks outstanding...........

T otal

.....................................................$21 ,44 6 .2 9

FORREST CITY
F O R R E S T C I T Y B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— S . H . Mann, Jr., President; C. W . Norton, Secretary; A . C. Bridewell, Jno. R . Grobmyer, A . D . Boyle, R. C. Wilkinson, W . W . Campbell, F. M . Vanhouten, J. M . Gilliam.
S T A T E M E N T OF DECEM BER 31, 1921
A SSETS
T o ta l expense a ccou nt..........................$ 1,915.00
O rgonization and supplies un ap­
p ortion ed .............................................
3 78.67
In terest p a id ....................
25.21
In su ra n ce p a id
fo r custom ers.......
135.28
L oans ...........................
2 7,8 65 .0 0
Cash F irst N ational B an k ................
6.62
O ver and sh ort................:.......................
6.50
T otal




.$30,332.28

L IA B I L I T I E S
C ollected on
installm ent s to ck ........$ 26 ,64 2 .1 1
C ollected on
interest............. 3 ,055.60
C ollected fines........................................
109.60
C ollected on
fo rfe itu re s .......
306.00
B ank o f Eastern A rkansas, o v e r­
draw n b y perm ission ........................
218 .97

T otal

.$30,332.28

S tate

of

A rkansas

211

FORT SMITH
FORT SMITH BUILDING & LOAN ASSOCIATION
D irectors— C. H. Harding, President; R . T . Little, Secretary; Leon A . Williams, Erwin Roller,
D. C. Rogers, Paul W . Sheridan, W . L . Curtis, I. H . Nakdimen, J. W . Morton, W . E. Decker,
C. B. Willard.
STA T E M E N T OF DECEM BER 31, 1921
A SS E T S
Cash ...................... .....................................$
93.70
City N ational B an k.............................
6,310.62
R eal estate loans.................................... 54,450.00
S tock loans................................................ 1,357.00
526.49
O rganization
expen se........................
T otal

.................................................... $ 62,737.81

L IA B I L I T I E S
Installm ent stock dues........................$ 41,656.42
D ividen ds ..................................................
1,997.80
Notes p a ya b les..............,......................... 19,000.00
83.59
Contingent loss fu n d ............................

T otal

.....................................................$62,737.81

FORT SMITH
HOME MUTUAL BUILDING & LOAN ASSOCIATION
D irectors— Fred Schlueter, President; H. P. Lyman, Secretary; Aug. Reichert, John J. Guler, Allan
Kennedy, Lewis Friedman, George F. Youmans, W . L. Hinton, A . S. Bullock.
S T A T E M E N T O F DECEM BER 31, 1921
A SSETS
B ills receiv a ble...................................$676 ,8 7 5 .0 0
211.10
O ffice fu rn itu re and fixtures.........
R eal
estate...........................................
69.86
Cash .........................................................
1 ,484.06

T otal

.................................................. $678 ,6 4 0 .0 2

L IA B IL IT IE S
Common installm ent stock ou t­
standing ..............................................$43 2 ,1 2 4 .0 0
B ills p a ya b le........................................ 117,300.00
Surplus .................................................. 129,216.02

T otal

.........:....................................... $ 678,640.02

FORT SMITH
PEOPLES BUILDING & LOAN ASSOCIATION
D irectors— Henry Kuper, Jr., President; A . N. Sicard, Secretary; J. W . Morton, P. E. McShane,
Wm. Wegman, B. A . Uptmoor, H. C. Hoffman, J. G. M iller, H. C. W olf.
S T A T E M E N T OF DECEM BER 31, 1921
ASSETS
Loans ....................................................... $782 ,5 2 5 .0 0
B ills receiv a ble....................................
900.00
A ccoun ts receiv a b le............................
506.22
R eal estate.............................................
403.21
L ib erty loans....... ................................
5,500.00
B alance in ban ks.................................
11,594.47
Total

..................................................$ 80 1 ,4 2 8 .9 0




L IA B I L I T I E S
Common or installm ent stock ou t­
standing ........................................... $446 ,3 8 9 .0 4
B ills p a ya b le........................................ 314,13 9 .7 5
Due b orrow e rs......................................
13,318.56
Interest bills p a ya b le........................
5,057.12
20,923.09
F ive p er cent d ivid en d .....................
Contingent loss fu n d ..........................
1,601.34
Total

................. ................................ $801 ,4 2 8 .9 0

212

R eport

of

B a n k C om m issioner

FORT SMITH
SEBASTIAN BUILDING & LOAN ASSOCIATION
D irectors— W . H . Bruce, President; W . C . Morris, Secretary; John M . Andrews, A . H . Morrow,
Nat Dyke, Jr., C. Earl Leininger, John Kerwin, Jos. V . Ferrari, Henry L . Fitzhugh.
S T A T E M E N T O F D ECEM BER 31, 1921
ASSETS
B ills rece iv a b le ....................................$ 1 8 5 ,5 6 4 .0 0
D elinquen t in terest............................
215.89
245.70
F urnitu re and fixtures^......................
E xp ense a ccou n t........................................ 195.00
Cash ............................................................
2 ,5 2 3.11
T ota l

.................................................. $ 18 8 ,7 4 3 .7 0

L IA B IL IT IE S
Comm on or installm ent stock ou t­
standing ..............................................$ 1 0 3 ,3 2 4 .4 0
B ills p a ya b le ......................................... 6 2,6 50 .0 0
N et p rofit................................................
2 2 ,7 69 .3 0
T otal

.................................................. $ 18 8 ,7 4 3 .7 0

FORT SMITH
MAPLE LEAF BUILDING & LOAN ASSOCIATION
D irectors— O. A . Fentress, President; T . H . Stokes, Secretary; Tom Daly, S. A . Lynch, Walter
Paul, J. W . Parker, B. W . Freer, Nolen Walkord.
S T A T E M E N T O F D ECEM BER 31, 1921
A SS E T S
L oans on real estate.............................$ 10 ,30 0 .0 0
L oans on s tc o k ........................................
118.50
Cash on hand...........................................
268.08
P a id out on cancelled s tock ..............
3 91.15
In c. exp en se.............................................
567.17
T otal

.....................................................$11 ,64 4 .9 0

L IA B IL IT IE S

Dues paid in ............................................. $ 8 ,553.00
In terest .....................................................
568.90
Fines ..........................................................
23.00
B ills p a ya b le.............................................
2 ,500.00
T otal

.....................................................$ 11 ,64 4 .9 0

HELENA
HELENA BUILDING & LOAN ASSOCIATION
D irectors— S. Straub, President; E. R. Crum, Secretary; Joseph Truemper, G . L . Davidson, G . T .
Updegraff, W elford White, H. E. McRae, S. W . Tappen, Henry P. Anderson, S. L . Mundt.
S T A T E M E N T O F DECEM BER 31, 1921
ASSETS
R eal estate loa n s................................. $ 32 0 ,4 4 0 .0 0
S tock loans.............................................
2 4,6 05 .0 0
In terest delin quent............................
1,346.02
L ib e rty b on d s......................................
100.00
F urnitu re and fixtures.................
50.00
In su ra n ce duff......................................
103.37
T axes d u e................................................
32.70
O utstanding drafts un p aid ..............
92.67
Cash on hand 1 2 -3 1 -2 1..................
1,000.49
T ota l

.................................................. $ 3 4 7 ,7 7 0 .2 5




L IA B I L I T I E S
Common or installm ent stock ou t­
standing ..............................................$ 2 6 1 ,5 7 4 .5 0
B ills p a ya b le ........................................
2 4,5 00 .0 0
In terest due on B .-P .........................
750.90
Surplus ...........................................
975.22
A ccum ulated p rofits............................
59,9 69 .6 3

T otal

...............................................$34 7 ,7 7 0 .2 5

S tate

of

213

A rkansas

HELENA
HOME MUTUAL BUILDING & LOAN ASSOCIATION
D irectors— W . N . Straub, President; Jos. C. Meyers, Secretary; David Solomon, C. G . King, H. O.
Hopkins, Lafe Solomon, J. W . Clopton, C. L. M oore, Jr., J. B. Butts, Sr.
STA T E M E N T O F DECEM BER 31, 1921
L IA B I L I T I E S
Dues, regular series.............. $ 682,774.80
Notes payable, b orrow ed m oney.. 72,103.42
N otes payable, series No. 1 9
2,500.00
A ccep ta n ce p a ya b le................. 17,700.00
P repaid dues, regular series.........
■
20.00
Personal accounts p a ya b le..
931.45
E xtra dues..................................
4 ,929.36
R egular series d istrib u tio n ..... ........ 234 ,11 4 .6 1

T otal ............................................... $ 1,0 15 ,0 7 3 .6 4

T otal ................................................$ 1 ,0 15 ,0 7 3 .6 4

.

A SS E T S
Cash on hand........................................ $ 11,202.99
P ersonal a ccou nt receiv a ble...........
2,069.59
F irst m ortgage real estate loans.. 8 12,175.00
S tock loans.............................................
69,520.00
Farm and outside loans................... 65,1 15 .8 1
Incom plete loa n s.................................
32,700.00
F urniture and fixtures.......................
851.00
350.00
L ib erty bonds, fou rth issue...........
D elinquent dues...................................
12,188.25
8,434.55
D elinquent in terest.....................
R etu rned dra fts .................................
466.45

HELENA
PEOPLES BUILDING & LOAN ASSOCIATION
D irectors— E. S. Ready, President; Jacob Fink, Secretary; S. C. M oore, D. T . Hargraves, E. M .
Allen, R. T . Doughtie, E. Newman, A . N. Tanner, M . E. West, C. S. Fitzpatrick.
S T A T E M E N T O F DECEM BER 31, 1921
ASSETS
R eal estate loans................................. $ 3 7 8 ,6 4 8 .4 7
S tock loans...........................................
730.00
Delinquent in terest............................
438.90
Cash on hand........................................
467.80
Insurance and taxes p a id ................
46.59
T otal

..................................................$ 38 0 ,3 3 1 .7 6

L IA B I L I T I E S
Common or installm ent stock out­
standing ..................................
$289 ,6 7 8 .5 5
Gain or un d ivided p rofit................... 90,653.21

T otal

...................................................$380 ,3 3 1 .7 6

WEST HELENA
qiTIZENS BUILDING & LOAN ASSOCIATION
D irectors— J. W . Denison, President; C. T . Hudson, Secretary; L. Darnell, J. F. Buchanan, E. T.
Horner, Skipwith Adams, Dr. H. W . A . Lee.
STA T E M E N T OF DECEM BER 31, 1921
A SS E T S
R eal estate loa n s....................................$ 19,000.00
Interest due from b orrow ers...........
273.47
Insurance due from b orrow ers......
160.00
O utstanding d ra fts...............................67.80
Cash on hand D ec. 3 1 st....................
320.51
Notes receiva ble (s e c u r e d )..............
136.08
O rganization expense..^........................
616.45
Pass b ook s................................................
8.75
E xcess over incom e...............:.............
762.44
T otal




.$21,345.50

L IA B I L I T I E S
Dues colle cte d ........................................$ 11,175.00
A ccep ta n ces p a ya b le............................ 10,170.50

T otal

.....................................................$21,345.50

214

R eport

of

B a n k C om m issioner

HOT SPRINGS
ARKANSAS SAVINGS & LOAN ASSOCIATION
D irectors— James A . Smith, President; Ray S. Smith, Secretary; J. A . Stallcup, J. H . Butterfield,
Fred Sammons, Chas. H. Davis, E. L. Howlett, A rcher J. Smith.
S T A T E M E N T O F DECEM BER 31, 1921
A SS E T S
L oans ....................................t................. $ 1 0 7 ,1 4 4 .8 5
B ooks and fixtures............................
434.00
E xpense ..................................................
149.50
Cash ..... ....................................................
1,803 09
W a r savings stam ps............................
2 50.80

T otal

..... ....................................... ....$ 1 0 9,78 2 .2 4

L IA B I L I T I E S
Common or installm ent stock ou t­
standing ........................................ _.$ 54,8 32 .8 3
U nearned in terest............................... 2 6,0 74 .5 7
B ills p a ya b le........................................
2 8,0 00 .0 0
In terest earned....................................
297 .34
Checks outsta n d in g.........................
567.50
Due b orro w e rs...............................
10.00
T otal

.................................................. $ 1 0 9 ,7 8 2 .2 4

JONESBORO
CITIZENS BUILDING & LOAN ASSOCIATION
D irectors— Dr. W . W . Jackson, President; Hal II. Peel, Secretary; A-diley Sale, John D. Reeves,
Dr. R. W . Ratcliff, M . H. Rhodes, Guy W . Cobb.
S T A T E M E N T O F DECEM BER 31, 1921
ASSETS
Cash in b a n k ...........................
E xpenses ..................................
A d vertisin g .............................
B ills receiv a b le......................

2 6 1 .15
823.43
41.4 0
1,550.00
.$2,675.98

T otal

L IA B I L I T I E S
Common or installm ent stock outstanding •......................................... ......$ 2,6 31 .0 0
44.98
In terest .......................................................
T otal

.$2,675.98

JONESBORO
JONESBORO BUILDING & LOAN ASSOCIATION
D irectors— J. H. Little, President; J. R. Gregson, Secretary; J. E. Parr, E. C. Barton, J. V . Bell,
C. B. Gregg, J. H. Hawthorne, J. E. McKee, T . J. Ellis.
S T A T E M E N T O F DECEM BER 31, 1921
A SS E T S
M ortgage loa n s........................
S tock loa n s.............................
B ills rece iv a b le ......................
S undry A cco u n ts ...................
O ffice b u ild in g ........................
F urnitu re and fixtures.......
R eal estate a ccou n t...............
E xpense a ccou n t....................
Cash on hand...........................

T otal




.$588,535.00
5,600.00
158.66
177.33
13,155.38
683.48
3,435.22
13,819.83
8,171.17

.$ 6 33,736.07

L IA B I L I T I E S
M on th ly dues a ccou n t........................$ 3 0 3 ,8 0 7 .0 9
D ivid en d a ccou n t................................. 1 04 ,69 4 .7 8
4 ,4 7 8.43
Prem ium dues......................................
Interest, m ortgage loans................... 2 8,6 92 .2 1
Interest, stock loans and b ills re ­
ceivab le .............................................
374 .40
Fines a ccou n t.........................................
1 ,012.95
Incom p lete loans.................................
3 ,960.42
T ra n sfer fe e s .......................
10.50
M em bership fe e s .................................
1 ,3 9 5.00
Pass b o o k s .............................................
68.50
R ent a ccou n t.........................................
600.00
U n d ivid ed p rofits.................................
11.79
Due bills (o u ts ta n d in g )...................
9 04.58
B ills p a ya b le......................................... 1 83,725.42
T otal

.$ 6 33,736.07

S tate ofc A rkansas

215

JONESBORO
Y O U N G M E N ’S B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— G . W . Culberhouse, President; G . G . Brooks, Secretary, J. T . Altman, C. W . Claunch,
W . C. Haynes, G . G . Brooks, Gordon Matthews, H. A . Stroud, Roy Penix, W . L . Mack.
S T A T E M E N T OF DECEM BER 31, 1921
L IA B I L I T I E S
A SS E T S
M atured stock in series “ S ’ ’ .........$
4,000.00
M ortgage loans....................................$228 ,4 7 5 .0 0
B ills p a ya b le.........................:..............
77,891.89
Cash on hand........................................
637.32
A ccru ed interest....................................
390.00
L oan to pay fire insurance..............
963.50
Loans on investm ent stock ................................... 19,335.00
M atured stock b ala n ce.....................
862.50
Dues req u ired...... -................................ 1 24,121.14
Furniture and fixtures.....................
466 .44
Profits d istrib u ted ............................... 4 7,2 99 .8 5
Delinquent in terest...........................
2,346.72
D elinquent dues...................................
2 ,196.40
Interest p rep a id ...................................
145.00
T otal

..................................................$ 254,565.48

Total

................. .».............................. $ 254,565.48

LITTLE ROCK
A M E R I C A N B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— C. E. Rosenbaum, President; W . L. Delony, Secretary; Chas. S. Stifft, J. W . House,
George W . Rogers.
STA T E M E N T O F DECEM BER 31, 1921
A SS E T S
332.57
Cash in hand o f treasurer........... $
R eal estate loans.............................. 1 ,860,118.00
S tock loa n s........................................
71,812.48
R eal esta te........................................
11,595.52
F urnitu re and fixtures..................
2,000.00
Dues d elin quent...............................
27,503.85
Interest delin quent..........................
21,0 09 .7 0
2,944.22
B ills receiv a b le.................................
P ersonal a ccou n ts............................
15,064.31

L IA B I L I T I E S
Common or installm ent stock
outstanding ................................. $1,1 91 ,1 7 4 .6 0
P referred or p rep aid stock o u t­
standing .........................................
6 68,268.79
Dues advance paym ent...................
4 ,192.10
Personal a ccou n ts............................
1,044.98
U nfinished loans...............................
8,296.61
C oupon F. P . P . s to ck ...................
736.02
B ills p a ya b le......................................
30,000.00
Surplus reserv e.................................
1 08,667.55

T otal ............................................... $ 2 ,0 1 2 ,3 8 0 .6 5

T otal ................................................$ 2,0 12 ,3 8 0 .6 5

LITTLE ROCK
A R K A N S A S B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— Max Mayer, President; Arthur Cardwell, Secretary; George Thornburgh, J. E. Coates,
W . A . Hicks, J. B. Bateman, Gordon H. Campbell.
STA T E M E N T OF DECEM BER 31, 1921
ASSETS
Cash in ban ks................................... $
20,119.31
Loans on m ortgages....................... 1 ,3 00,525.00
Loans on s tock ...................
96,505.42
R eal estate n otes............................
26,6 97 .3 5
L ib erty b on d s....................................
35,550.00
R eal estate........................................
29,0 80 .5 5
A ccru ed interest-.............................
2 3,9 84 .1 4
Furniture and fixtures...................
1,130.00
P ersonal accou nts............................
2,462.88
T otal




.$1,536,054.65

L IA B IL IT IE S
Common or installm ent stock
outstanding ....................>........... $1,2 95 ,2 7 2 .6 5
P referred or prepaid stock o u t­
standing .................. i....................
97,877.50
Single paym ent stock ..... ...............
4 ,557.00
A dvance in terest...............................
358.47
C ontingent fu n d ...............................
6,957.73
Personal a ccou n ts........... ................
36.90
P rofits..................................................
1 30,994.40
Total

$1,536 ,0 5 4 .6 5

216

R eport

of

B a n k C om m issioner

LITTLE ROCK
C A P I T A L B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— Chas. S. Stifft, President; J. A . Ginocchio, Secretary; Moorhead Wright, Gordon N .
Peay, A . D . Cohn, L. B. Leigh, J. F. Loughborough, R . W . Polk, S. L . Kahn.
S T A T E M E N T O F DECEM BER 31, 1921

T otal

27,0 60 .9 1
1 45,900.00
28,0 33 .9 9
2 5,8 66 .2 9
4 ,2 8 2.00
771.68
6,6 0 4.41
10,499.37
391.65
208 .07
5,014.17

.................................................. $ 2 5 4 ,6 3 2 .5 4

L IA B I L I T I E S
Due shareholders, accou nt dues....$240,016.50.
Due shareholders, accou nt advance
dues .....................................................
262.70
Due shareholders, a ccou nt profit..
13,537.18
P rofit and loss a cco u n t.................. ;
16.16
A ccou n ts payable, series No. 76....
800.00
.

A SS E T S
Cash in b a n k ........................................ $
R eal estate loans.................................
S tock loa n s.............................................
R eal estate con tracts..........................
L ib erty b o n d s ......................................
A ccou n ts rece iv a b le ............................
A ccru ed interest receiv a ble...........
R eal estate.............................................
F urnitu re and fixtures.......................
J. A .. D ow ell, real estate...................
1921 series closed at loss ..............

T otal

.................................................. $ 2 5 4 ,6 3 2 .5 4

LITTLE ROCK
C IT IZ E N S B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— Fred Rossner, Sr., President; R . W . Porter, Secrtary; W . H. Porter, S. C. Couch,
F.
T . Watson, A . B. Poe, Dr. J. P. Runyan.
S T A T E M E N T O F D ECEM BER 31, 1921
A SS E T S
Cash on hand........................................ $
6,869.42
M ortgage loa n s................................... 2 8 8 ,96 5 .0 0
S tock loa n s.................................. _ ........
27,3 30 .4 3
B ills rece iv a b le ....................................
9,2 2 1.79
In terest a ccru ed and in cou rse of
collection ...........................................
7,916.02
R eal estate...... ..............................-........
13,779.45
A ccou n ts receiv a b le ............................
4 ,1 7 3.56
~ 753.42
F urnitu re and fixtures.......................
R etu rn ed ch eck s.................................
205 .24
In terest p rep a id on hills payable..
166.00
1 ,5 3 0.34
A ccru ed interest on notes................
T ota l

.................................................. $ 3 6 0 ,9 1 0 .6 7

L IA B I L I T I E S
Dues p a id ..............................................$ 23 0 ,3 6 7 .9 7
171.20
. A dvance interest paym ents..............
B ills p a ya b le..................................
35,6 50 .0 0
A ccou n ts p a ya b le.................................
367.86
68,700.00
P rep a id s to ck ........................................
Profits ..................................................... 2 5 ,6 53 .6 4

T ota l

.................................................. $ 3 6 0 ,9 1 0 .6 7

LITTLE ROCK
C O M M O N W E A L T H B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— L . B. Leigh, President; J. G . Leigh, Secretary;
Brizzolara, Herman Kahn.

C. S. McCain, F . D . Watkins, A .

S T A T E M E N T O F D ECEM BER 31, 1921
A SS E T S
Cash in b a n k ........................................ $
3,1 5 7.68
M ortgage loa n s...............................
9 1 7 ,43 4 .0 0
S tock loans.............................................
39,0 56 .5 0
N otes receiva ble, lien n otes...........
3 ,602.00
A ccru ed interest receiv a ble...........
6 ,307.76
A ccou n ts rece iv a b le ...... '.....................
1,0 8 0.64
F urnitu re and fixtures.....................
842.35

T otal

.................................................. $ 97 1 ,4 8 0 .9 3




L IA B I L I T I E S
Comm on or installm ent stock o u t­
standing ........................................... $ 56 8 ,5 5 2 .5 5
P rep a id stock ......................................... 95,6 80 .0 0
Full p a id incom e s to ck ..................... 1 26 ,15 0 .0 0
P rep a id cum ulative s to ck ................
19,645.00
B ills p a ya b le......................................... 65,108.68
3,878.58
A ccru ed interest pa ya b le................
A ccou n ts p a ya b le.................................
873.71
O ther lia b ilities-..................................
439 .36
Surplus and un d ivided p rofits.......
9 ,796.11
P rofits d istrib u ted ..................
8 1,3 56 .9 4
T otal

...................... ........................... $971 ,4 8 0 .9 3

S tate

of

A rkansas

217

LIT T L E R O C K
L A D IE S B U I L D I N G & S A V I N G S A S S O C I A T IO N
D irectors— Jas. A . Mandlebaum, President; J. H. Bilheimer, Secretary; C. A . Pratt, L e o Pfeifer,
G . DeMatt Henderson, R. P. Kidd, C. K. Lincoln, W . E. Harrington.
S T A TE M E N T O F DECEM BER 31, 1921
ASSETS
Cash on hand 12-3 1 -2 1 .....................: !
102.01
R eal estate first m ortgages........... 5 63,525.00
73,587.82
S tock lien n otes...................................
1,590.00
R eal estate con tra cts..........................
15,000.00
L ib erty b on d s......................................
Insurance and taxes paid fo r b o r ­
1,102.99
row ers ................................................
1,941.31
Special a ccou n ts.................................
150.00
F urnitu re and fixtures.....................
8,5 1 5.25
D elinquent dues...................................
4 ,025.38
Delinquent interest...... .....................
T otal

................ T...............................$ 6 6 9 ,5 3 9 .7 6

L IA B IL IT IE S
Common or installm ent stock c o l­
lected .................................................. $481 ,7 9 1 .6 5
Common or installm ent stock d e ­
livered ..........................
8,515.25
A dvance paym ents...............................
1,710.52
B ills p a ya b le........................................ 108,800.00
Due on closed loans..........................
6,683.88
R eserve or contingent fu n d ..............
6,473.27
55,565.19
Profits ..................................................

T otal

$669 ,5 3 9 .7 6

LITTLE ROCK
E Q U I T A B L E B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— R . W . Rightsell, President; E’. T. Reaves, Secretary; B. W . Torreyson, J. W. House,
Sr., William Back, Sr., J. A . Watkins, A . M . Keith.
STA T E M E N T OF DECEM BER 31, 1921
A SS E T S
Cash on hand....................................... .Jf 3 ,1 9 7.54
Loans on m ortgages............................ 140,714.45
Loans on s to c k ...................................
13,678.00
S tocks and b on d s...............................
6 ,550.00
D elinquent dues...................................
1,132.75
D elinquent interest............................
1,081.65
R eal estate.............................................
8,709.23
F urniture' and fixtures.....................
592.60
Other resou rces...................................
1,843.88
T otal

.................................................. $177 ,5 0 0 .1 0

L IA B IL IT IE S
Common or installm ent stock ou t­
standing ........................................... $ 13 9 ,1 2 4 .2 7
A dvance paym ent s to ck ...................
5,933.97
C ontingent fu n d ....................................
5,092.50
U ndivided p rofits...... ..........................
20,8 49 .3 6
Othe^ lia b ilitie s....................................
6,500.00

T otal

.................................................. $ 17 7,500.10

LITTLE ROCK
L I B E R T Y B U I L D I N G A S S O C I A T IO N
D irectors— Fred Rossner, President; L . E. Walther, Secretary; H. G . Martin, John Schmelzer,
C. J. Kramer, A . Karcher, A . C. Penzel, W . J. Pennington, August Probst.
S T A T E M E N T OF DECEM BER 31, 1921
A SS E T S
Cash on hand 12-3 1 -2 1 .................. $
3 ,229.30
Loans on m ortgages..........................
72,325.00
Loans on stock s.................................... 16,380.00
R eal estate.............................................
12,565.43
A ccru ed in terest....................................
3 ,945.67
Other accounts secured .....................
590.46
F urnitu re and fixtures.......................
173.25
Stationery and pass b ook s...........
221.80
R eal estate con tra ct..........................
414.68
T otal

.................................................. $109 ,8 4 5 .5 9




L IA B IL IT IE S
Comm on or installm ent stock ou t­
standing ...........................................$ 83,827.50
B ills p a ya b le............................................
5,698.00
C ontingent un d ivided p rofits........
18,963.59
U nsettled loans........................................
1,351.50

T otal

.................................................. $ 109,845.59

218

R eport

of

B a n k C om m issioner

L IT T L E R O CK
L I T T L E R O C K B U I L D I N G A S S O C I A T IO N
D irectors— Robert E. Wait, President; Frank Wittenberg, Secretary;
Sanders, F. W . Allsopp.
S T A T E M E N T O F DECEM BER 31, 1921
A SS E T S
L oans ......................
$14 ,64 7 .0 0
Cash .........................................................
3 97.94
A ccru ed
in terest..................................
1,847.48
T otal

$ 1 6 ,89 2 .4 2

James V . Johnson,

M. B.

L IA B I L I T I E S
Common or installm ent stock ou t­
standing .............................................$16,01 0 .0 0
882.42
U ndivided p rofits...................................
T otal

.$16,892.42

LITTLE ROCK
M E C H A N I C S B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— A . H. Lange, President; Frank Wittenberg, Secretary; P. F . Lenea, E. E. Johnson.
S T A T E M E N T O F DECEM BER 31. 1921
A SS E T S
L oans ..........................................................$ 2 2 ,16 5 .0 0
F ixtu res
...........................................
101.52
Cash ............................................................
36.59
A ccru ed in terest...................................
4 ,4 3 7.51
In su ra n ce advanced...............................
11.61
T otal

.................................................... $26,75 2 .2 3

L IA B IL IT IE S
Common or installm ent stock o u t­
standing ............................................. $ 1,191.81
P referred or p rep aid stock ou t­
standing ............................................. 11,550.00
B ills pa ya b le............................................. 11,900.00
U nd ivid ed p rofits.................................... 2 ,110.42
T otal

.....................................................$26 ,75 2 .2 3

LITTLE ROCK
P E O P L E S B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— L. W . Cherry, President; J. H. Hollis, Secretary’, L. B. Leigh, J. E. Coates, W . H.
Pemberton.
S T A T E M E N T OF DECEM BER 31, 1921
ASSETS
M ortgage loa n s..............
$ 1 ,0 44 ,2 8 5 .0 0
L oans on our stock ..........................
76,515.81
R eal estate n otes............................
8 ,079.52
F urnitu re and fixtures...................
1,000.00
9,323.03
Cash w ith treasu rer.......................
D elinquen t interest........................
4 ,797.73
S undry personal a ccou n t..............
1,109.29

$ 1 ,1 4 5 ,1 1 0 .3 8

Tot^l

L IA B IL IT IE S
Comm on or installm ent stock
outstanding .................................
P referred or prepaid stock o u t­
standing ........................................
U nfinished loans..............................
B ills p a ya b le.....................................
R eserve fu n d .....................................
In terest p a id in a d va n ce...........
Sundry personal a ccou n ts...........
U nd ivid ed p rofits...... .....................
T otal

7 38,382.95
279,36 9 .4 9
6,341.17
11 , 000.00
4 3,3 38 .9 8
4,6 1 1.26
1,294.22
15,772.31
$ 1,1 45 ,1 1 0 .3 8

LITTLE ROCK
P U L A S K I B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— Gus Bertner, President; W . P. Gulley, Secretary; J. H. Stanley, A . C. Read, R . C.
Bright, S. L. White, M . B. Sanders, Fred Rossner, Jas. Lawson.
S T A T E M E N T OF DECEM BER 31, 1921
ASSETS
R eal estate loa n s...................
S tock loa n s.............................
Cash in b a n k ..........................
S undry a ccou n ts....................
O ffice fixtures........................
T otal




$ 14 4 ,2 7 2 .8 2
29,1 49 .0 0
2 ,908.10
343.10
171.48
$ 17 6 ,8 4 4 .5 0

L IA B IL IT IE S
Comm on or installm ent stock ou t­
standing ........................................... $ 1 4 3 ,9 0 6 .8 4
B ills p a ya b le......................................... 25,0 00 .0 0
C ontingent fu n d ....................................
353.34
U nd ivid ed p rofits.................................
7,584.32
Total

$ 1 7 6 ,8 4 4 .5 0

S tate

of

A rkansas

219

LIT T LE R O C K
S E C U R IT Y B U I L D I N G

& L O A N A S S O C I A T IO N

D irectors— Harry Lasker, President; Emmet Morris, Secretary; George B. Rose, R . W . Newell,
Fred W . Allsopp, Henry Lasker, M . L. Altheimer, Dave W . Kempner, J. T . Jarrell.
STA T E M E N T OF DECEM BER 31, 1921
ASSETS
Cash on hand...........................................$ 4 ,092.52
Loans on m ortga ge s ecu rity............ 89,703.00
Loans on stock secu rity....................
6,700.00
131.00
S tationery and S upplies.....................
Other assets............................................
160.43
T otal

..................................................$101 ,7 8 6 .9 5

L IA B I L I T I E S
Due shareholders....................................$99,77 4 .1 4
A dvance paym ents.................................
10.00
U ndivided p rofits...................................
235.31
C ontingent un d ivided p rofit................................... 1,767.50
Total

.........'........................................ $ 10 1,786.95

LITTLE ROCK
S T A T E B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— J. B. Bateman, President; S. C. Bossinger, Secretary; E. O. Bagley, C. E. Hayes, L . J.
Baer, J. B. Dickinson, Theo M . Sanders.
S T A T E M E N T OF C O N D IT IO N DECEM BER 31, 1921.
A SSETS
R eal estate loans................................. $579 ,6 1 5 .0 0
S tock lo a n s ........................................... 40,2 82 .9 3
R eal estate n otes.................................
2 ,680.00
7,050.00
L ib erty b on d s........................................
Delinquent interest (s e c u r e d )..........
7,142.35
Furniture and fixtures.....................
4 81.50
Due from sundry parties
(secu red ) ........................................
1,050.49
Cash in hank..... ...................................
2,965.89
T otal

..................................................$ 641,268.16

L IA B IL IT IE S
Installm ent s tock ................................. $ 456,441.09
P repaid stock ......................................... 155,995.00
A d va n ce dues and in terest..............
6,948.67
B ills p a ya b le.........................................
6,000.00
5,446.65
U nfinished loans..............
Contingent fu n d s.......................
10,436.75

T otal

.................................................. $641 ,2 6 8 .1 6

LITTLE ROCK
S T E R L IN G B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— W . E. Bass, President; D. E. Rhoads, Secretary; George G. Worthen, Finos Phillips,
W . C. Adamson, H. S. Nixon, Dr. Dewell Gann, Jr., J. G. Burlingame, T . W . Lewis, C. E.
Smith, Jr., J. E. Chrisp.
STA T E M E N T OF DECEM BER 31, 1921
ASSETS
Cash ............................................................$
55.70
Cash in b an ks........................................
639.66
M ortgage loans........................................ 13,800.00
S tock loans.............
760.24
A ccoun ts receiv a ble..............................
5.00
E xpenses— D eferred charges...........
2,376.40
T otal

.................................................... $ 17,687.00




L IA B IL IT IE S
Common or installm ent stock o u t­
standing ................................................$
P repaid stock outstand ing................
B ills pa ya b le...........................................
A ccoun ts p a ya b le...............................
P rofits— D eferred
earnings..............
T otal

7,414.00
6,635.00
1,925.00
57.10
1,655.88

.....................................................$17,687.00

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LITTLE ROCK
T R A V E L E R S B U IL D IN G & L O A N

A S S O C I A T IO N

D irectors— Joe Asher, President; J. M . Bracy, Secretary; H . S. Spivey, William
William Birse, Sr., George E. Shelton, Joe P. Waldenberger.

R . Bathurst,

S T A T E M E N T O F D ECEM BER 31. 1921
A SSETS
Cash in b a n k ........................................ $ 11,6 74 .6 4
L oans on m ortgages............................ 7 01 ,57 1 .9 4
F urnitu re and fixtures.....................
839.95
841.00
W a r savings stam ps..........................
L oans on s to c k ......................................
8 1,1 95 .2 0
'A c c r u e d in terest...................................... 16,2 82 .7 9
A ccou n ts receiv a ble............................
3 ,0 0 5.56
R eal estate.............................................
815.99
R ea l estate n otes.................................
53,415.49
T otal

.................................................. $ 8 6 9 ,6 4 2 .5 6

L IA B IL IT IE S
Comm on or installm ent stock o u t­
standing ........................................... $ 5 0 3 ,6 6 3 .9 7
P referred o r p rep a id stock ou t­
standing ..........................................
242,79 3 .8 3
B ills p a ya b le......................................... 20,3 00 .0 0
U nfinished loa n s..... ..............................
7,207.29
P ersonal accou n ts...............................
1,552.56
R eserv e fu n d ........................................
5,869:50
U n d ivid ed p rofits.................................
88,2 55 .4 1
T otal

.................................................. $ 86 9 ,6 4 2 .5 6

LITTLE ROCK
YOUNG

M E N ’S B U I L D I N G

A S S O C I A T IO N

D irectors— George W . Clark, President; Renton Tunnah, Secretary; W . R . Adcock, C. C. Kavanaugh, Jos. L. Schaer, O . E. White, C . A . Roth, D. M . Tipton.
S T A T E M E N T O F DECEM BER 31. 1921
ASSETS
B ills receiv a b le......................................$
3 ,750.00
S tock purchased, loa n s..................... 101,65 0 .0 0
F ixtu res ..................................................
232 .75
Cash in C entral B ank........................
1,5 2 4.44
T om W are a ccou n t............................
65.08
T ota l

.................................................. $ 10 7 ,2 2 2 .2 7

L IA B IL IT IE S
M on th ly dues........................................... $ 7 4 ,9 8 5 .7 6
B ills p a ya b le........................................... 17,400.00
Sundry accou nt B ra gg..........................
340.00
Net ga in ..................................................... 14,496.52
.T o t a l

.................................................. $ 1 0 7 ,2 2 2 .2 7

NORTH LITTLE ROCK
T H E A R G E N T A B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— J. F. Peugh, President; Solon Humphreys, Secretary; J. A . Henry, A . R . Howell, C. F.
Kaiser, E. O . Manees, R . J. Renke.
S T A T E M E N T O F D ECEM BER 31, 1921
A SSETS
Cash in b a n k ........................................ $
3,0 0 2.00
M ortgage loans...................................... 4 7 3 ,42 5 .0 0
M ortgage loa n s......................................
9 ,5 0 0.00
S tock loans..............................
4 3 ,7 78 .1 6
S undry a ccou nt receiv a b le ..............
1,913.07
D elinquen t interest, m ortgage
loans ..................................................
146 .96
In terest receiva ble B .-R e c...............
1,939.35
R eal estate.............................................
3,2 3 5.34
F urnitu re and fixtures.....................
6 61.96
E xpense a ccou n t.................................
4 50.01
T ota l

.................................................. $ 5 3 8 ,0 5 1 .8 5




L IA B IL IT IE S
Comm on o r installm ent stock o u t­
standing ........................................... $ 28 3 ,0 4 7 .0 3
P referred or p rep a id stock ou t­
standing ............................................. 171,50 0 .0 0
A ccru ed interest F. P . stock ...........
5,145.00
A ccou n ts payable, unfinished
loans, e tc............................................
2 0,0 83 .6 7
A ccru ed d irectors fe e s ........................
360.00
U n d ivid ed p rofits....................•.............
5 7,9 16 .1 5

T otal

.................................................. $ 5 3 8 ,0 5 1 .8 5

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A rkansas

N ORTH LITTLE R O CK
C O M M E R C IA L B U IL D IN G & L O A N

A S S O C I A T IO N

D irectors— M . L. Altheimer, President; R. J. Rice, Secretary; Henry O. Topf.
S T A T E M E N T O F DECEM BER 31, 1921
Cash ................
M ortgage loans
S tock loans....

A SSETS
..................................$ 1,145.53
.................................. 75,550.00
.................................. 2 7,5 20 .0 0

T otal

$104 ,2 1 5 .5 3

L IA B IL IT IE S
B ills p a ya b le.................................
Dues ...... ............... .........................
Profits ............................ ................
Total

$11,50 0 .0 0
. 84,358.00
. 8,357.53
$ 104,215.53

MARIANNA
H O M E B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— W . D . Newbern-, President; D . S. Clark, Secretary; D . L . Griffis, D. S. Plummer,
S. H. Crow.
STA T E M E N T O F DECEM BER 31, 1921
A SS E T S
N ote
N ote
Cash
L oss

250 .00
1,5 0 0.00
220.73
529.27

................
................
in bank
................

.$2,500.00

T otal

L IA B IL IT IE S
Common or installm ent stock outstanding ................................................$ 1,000.00
N ote sold .................................................... 1,500.00
.$2,500.00

T otal

MARIANNA
M A R I A N N A B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— P. R . Turner, President; R . B. McCulloch, Secretary; Max D . M iller, W . S. M cClintock, R. L. M ixon, R. D. Jarratt.
S T A TE M E N T O F DECEM BER 31. 1921
ASSETS
Cash in ban k ...........................................$ 4,4 9 2.55
F irst m ortgage loa n ............................... 60,945.00
S tock loa n s.............................................
7,050.00
B ills receiv a ble......................................
459.29
E xpenses ch arged.................................... 1,888.25
General expen ses....................................
241.33
T otal

.................................................... $75,07 6 .4 2

L IA B IL IT IE S
B orrow ed m oney................................... $ 5,000.00
Paym ents o f stock ................................. 51,017.47
Profits u n d iv id e d .................................... 19,049.72
Checks outstanding...............................
9.23

Total

.....................................................$75,076.42

NASHVILLE
C IT IZ E N S B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— James I. Latimer, President; C. F. Hill, Secretary; W . W . Gore, J. S. Hopkins, R. T.
Adams, Roy Millwee, H. B. Carruth, C. E. Ferguson.
STA T E M E N T O F DECEM BER 31. 1921
A SS E T S
Cash on hand.......................................... $
265.69
Loans on real estate............................ 58,750.00
S tock loa n s.............................................
1,755.00
Delinquent dues........... ..........................
700.00
Delinquent interest...............................
4 80.57
F ixtures ....................................................
215.00
Interest paid in advance.....................
20.00
P ersonal a ccou n t....................................
18.00
T otal

.................................................... $ 6 2 ,20 4 .2 6




L IA B IL IT IE S
Common or installm ent stock ou t­
standing ..............................................$ 40,396.93
E xpense a ccou n t............................... —
95.45
U nd ivid ed p rofits....................................
7.32
P ersonal a ccou n ts.............................78.57
B ills p a ya b le........................................... 21,6 25 .9 9

T otal

.....................................................$62 ,20 4 .2 6

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NASHVILLE
T H E H O M E B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— George H. Bell, President; F. G . Bozeman, Secretary; J. C. Stephenson, C . L . Haller,
C. G . Hughes, J. F. Price, A . H. Hughes.
S T A T E M E N T OF DECEM BER 31, 1921
A SS E T S
R eal estate loa n s....... .-............................. $5,8 00 .0 0
119.07
Cash on hand.............................................
L oss ..............................................................
570.93
T otal

....................................................... $ 6,4 90 .0 0

L IA B IL IT IE S
Comm on or installm ent stock o u t­
standing ................................................. $2,4 30 .0 0
B ills p a ya b le............................................. 4 ,0 6 0.00
T otal

....................................................... $ 6 ,4 90 .0 0

NEWPORT
P E O P L E S B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— W . A . Billingsley, President; W . T . Parish, Secretary; G . P. Wilbanks, R . D . Wilmans,
Tom Hutson, H. B. Hooker, M . A . Stevens.
S T A T E M E N T O F D ECEM BER 31, 1921
A SS E T S
L oans and d iscou n ts....................... -...$ 27 ,08 0 .0 0
Cash on h a n d .........................................
1,129.07
T otal

.....................................................$ 28 ,20 9 .0 7

L IA B IL IT IE S
Installm en t stock outstanding.........$27,15 2 .0 0
In terest ( n e t ) ........................................
1,057.07
T otal

...................................... -............. $ 28 ,20 9 .0 7

PARAGOULD
T H E P A R A G O U L D B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— Sam McHaney, President; M . F. Block, Secretary; H. S. Trice, P. L . Dickson, L . L.
Vandervoort, Joe W olf, L. U . Stedman.
S T A T E M E N T OF D ECEM BER 31, 1921
A SS E T S
F irst m ortga ges...................................... $ 55 ,80 0 .0 0
B ooks and su p p lies...............................
368.20
F urnitu re and fixtures........................
182.11
A ccou n ts receiv a b le............................... 2 ,6 1 0.07
B alance in ban k s.................................... 2,180.4'0
T otal

.....................................................$ 61 ,14 0 .7 8

L IA B IL IT IE S
Paym ents on s to ck ..................................$40 ,31 6 .0 1
U nd ivid ed p rofits............ ,.....................
9 ,9 0 4.80
Cash lon g ..................................................
19.97
B ills p a ya b le........................................... 10,9 00 .0 0
T otal

..........................................‘ .........$ 61 ,14 0 .7 8

PINE BLUFF
S O U T H E R N B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— Wm. Nichols, President; Chas. A . Gordon, Secretary; J. H. Means, R. F. Ezell, J. W .
Blackburn, N. J. Gantt, J.r., Pinchback Taylor.
S T A T E M E N T O F D ECEM BER 31, 1921 *
A SS E T S
L oans on colla terals..........................$
2,095.00
L oans on real estate..........................
64,480.00
Cash in b an k s......................................
2 ,9 5 8.87
C om m ission a ccou n t..........................
697.50
O rganization expense 80 per cent
480.00
S tock s u b scrip tion s............................ 397,30 0 .0 0
T otal




$ 4 6 8 ,0 1 1 .3 7

L IA B I L I T I E S
Comm on or installm ent stock o u t­
standing ........................................... $ 39 7 ,3 0 0 .0 0
Dues colle cte d ......................................
58,886.70
Surplus to stock h old ers..... .............
3 ,639.09
C ontingent fu n d ....................................
348.18
B ills p a ya b le.........................................
5,000.00
In terest co llected not earned.........
2 ,8 3 7.40
T otal

$ 4 6 8 ,0 1 1 .3 7

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223

ROGERS
H O M E B U I L D I N G & S A V I N G S A S S O C I A T IO N
D irectors— W . T . Maxwell, President; M rs. W . H. Maxwell, Secretary; Lorea M . Pope, F . A . Pope.
STA T E M E N T O F DECEM BER 31. 1921
A SS E T S
Cash ................................................................ $ 84.71
F urniture "and fixtures............................... 25.00
O rganization (ch a rter) ...............
357.50
B ook s and supplies.-.................................... 125.54
A d vertisin g ..................................................
22.50

L IA B IL IT IE S
Installm ent stock outstand ing................$ 60.00
P repaid stock outstand ing....................... 250.00
Full paid s to ck ............................................. 200.00
Central P rin tin g C o..................................... 105.25

T otal ............................................................$ 615.25

T otal ............................................................$ 615.25

TEXARKANA
T H E C IT IZ E N S B U I L D I N G & L O A N

A S S O C I A T IO N

Directors— Sam Hardin, President; Andrew Rose. Secretary; L. S. Kennedy, W . L. Hickman,
R . C. Cowan, C. G. Davis, V . A . Ghio, J. J. Taylor, Dr. J. N . White.
STA T E M E N T OF DECEM BER 31, 1921
A SS E T S
M ortgage loans...................................... $389 ,4 6 5 .0 0
S tock loans.............................................
12,072.20
L ed ger accounts, first m ortgages..
4,5 2 4.42
In terest p a id ........................................
5,914.27
E xpense ..................................................
2,170.61
Note, fo r liberty b on d s.....................
1,500.00
W ar stam ps.......................................
828.00
591.11
Furniture and fixtu res.....................
M ortgage— Lazzaro ..........................
530.56
Cash .........................................................
3,320.41
T otal

..................................................$420 ,9 1 6 .5 8

L IA B IL IT IE S
B ills p a ya b le........................................ $ 78,210.00
Loans credited to individuals, but
not due .............................................
35,9 27 .6 0
Dues on unm atured s to ck ................ 2 50,724.33
Interest, .n in e m onths.......................
22,810.68
U n divided in terest............................... 33,243.97

T otal

.................................................. $420 ,9 1 6 .5 8

TEXARKANA
T H E G A T E C I T Y B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— R. J. O ’Dwyer, President; F. W . Offenhauser, Secretary; W . H. Arnold, Louis Heilbron,
Otto Hoffman, W . A . Robinson, E. F. Burk, W. A . McCartney, P. W . Patterson.
STA T E M E N T OF DECEM BER 31, 1921
A SS E T S
Cash on hand................................ .......$
6,963.93
M ortgage loans.................................... 9 78,220.32
S tock loans...........................................
35,109.90
Straight loans......................................
1,865.00
R eal estate.............................................
3,057.83
Insurance, taxes paid, m ortgaged
p rop erty —...................................
1,160.55
F urniture and fixtures.....................
483.25
P ast due interest.................................
9,671.90
Total




.$1,036,532.68

L IA B IL IT IE S
Paym ents on s to ck ............................... $ 623,007.75
B orrow ed m oney................................. 2 76,488.15
Profits u n d iv id e d ................................. 121,955.71
C ontingency reserv e..........................
13,581.07
A. R aglan d .............................................
871.55
A dvance d ues........................................
425.25
A dvance in te re s t.................................
203.20

T otal

.$1,036,532.68

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B a n k C om m issioner

TEXARKANA
T H E T E X A R K A N A B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— N . P. Sanderson, President; W . C. Simms, Secretary; J. G . W ood, W . H. Arnold, Henry
M oore, J. S. Ragland, T . S. Mullins.
S T A T E M E N T OF DECEM BER 31, 1921
ASSETS
R eal estate loa n s................................. $ 6 4 8 ,0 3 7 .5 4
S tock loa n s...........................................
19,156.00
A d va n ces (ta x es and in su ra n ce)..
792.25
F urnitu re and fixtures.....................
1,024.39
W a r savings stam ps..... A........................
100.00
R evenu e stam ps...................................
10.00
P a st due (d elin qu en t) interest—.
1,727.01
Cash in bank 12-3 1 -2 1 .....................
13,0 88 .0 7
T otal

.................................................. $ 6 8 3 ,9 3 5 .2 6

L IA B I L I T I E S
Dues collecte d .........................................$ 35 3 ,2 3 6 .0 0
B ills p a y a b le ........................................ 192,35 0 .0 0
B onds outsta n d in g............................... 3 5,5 00 .0 0
590 .27
A dvance dues p a id ............................
P ersonal a cco u n ts...............................
11,420.89
R eserve fu n d .........................................
859.51
B u ild in g loa n s......................................
8 ,9 6 1.04
U nd ivid ed p rofits.................................
8 1,0 17 .5 5
T ota l

................................ ..................$ 6 8 3 ,9 3 5 .2 6

WYNNE
W Y N N E B U I L D I N G & L O A N A S S O C I A T IO N
D irectors— Ed Hamilton, President; F. O. Cogbill, Secretary; A . D. Jackson, N eil Killough, A . B.
Duke, C. S. Lemons, J. E. Harris.
S T A T E M E N T O F D ECEM BER 31, 1921
A SS E T S
L oans ..........................................................$ 16 ,50 0 .0 0
G eneral expen se......................................
193.94
O rganization expen se..........................
541.43
Cash on hand in ban ks........................
84.80
A ccou n ts receiv a b le...............................
31.20
T ota l

.....................................................$ 1 7 ,36 1 .3 7

L IA B IL IT IE S
Comm on or installm ent stock ou t­
standing ................................................ $ 9,2 95 .0 0
In terest earned ( n e t ) ............................
503.37
A ccep ta n ce o u ts ta n d in g ........................ 7,500.00
Fines and tra n sfers.................................
53.00
T otal

.....................................................$ 1 7 ,36 1 .3 7

TH E FOLLOW ING B U ILD IN G & LO AN ASSO CIATIO N IS IN TH E H AN DS
OF A RECEIVER FOR LIQ UIDATION .
Neighbors Building & Loan Association................. ................................... Little Rock, Ark.
W . L. Morris is receiver. No report has been filed with this Department.




S tate

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225

IN V E S T M E N T C O M PAN IES
The following investment companies have filed semi-annual reports during the
month of January, 1922, thereby complying with the law:
DOMESTIC.
Arkansas Cotton Mills Co........................................................................................................ LittleRock
American Steam Laundry. Co.........................................................................................................ElDorado
Arkansas Oil, Gas & Mineral Co................................................................................... Pocahontas
Apple Belt Oil & Gas Co................................................................................................ Bentonville
J. E. Bush Memorial Hospital................................................................................... Little Rock
Block Oil & Gas Syndicate, Inc................................................................. ................. El Dorado
Carlisle Lumber Co...................................................................................................................Carlisle
Columbia^Oil & Gas Co.........................................................................................................Stephens
Cotton Picker Company ofArkansas..................................................................................... Little Rock
Climber Motor Co.......................................................................................................................... LittleRock
Co-operative Oil & Gas Co..................................................................................................Clarendon
El Dorado Eagle Oil Co.................................................................................................. El Dorado
East Side Oil & Gas Co............. .......................................................................................El Dorado
England Investment Co.............................................................................................................. LittleRock
Estrella of El Dorado Oil Corporation......................................................................El Dorado
El Dorado Union Oil Co..................................................................................................El Dorado
Grand Prairie Community Oil, Gas & Refining Co........................................DeValls Bluff
Grant County Oil & Gas Co...................................................................................................Prague
Heber Oil & Gas Co.................................................................................................... Heber Springs
Independence Mineral Co.............................................................................................. Little Rock
Jackson County Oil & Gas Co.....................................................................................'..Tuekerman
Mutual Leasing & Developing Co.............................................................................. Little Rock
Murray-Coleman Drug SpecialtyCo............................................................................ Little Rock
Old Glory Oil & Gas Co............................................................................... .........................DeWitt
Pike County Oil & Gas Co......................................................................................................Amity
Rector Oil & Refining Co......................................................................................................... Rector
Red River Valley Oil, Gas Leasing & Drilling Co............................................Hot Springs
Section 31 Oil Syndicate............................................. ,...................................................El Dorado
Stewart Oil Co................................................................................................................. El Dorado
Southern Bauxite Co....................................................................
Benton
South Arkansas Oil & Gas Co.............................................................................................Emerson
Saline Oil & Gas Co........................................................................................................... Monticello
Success Oil Corporation.................................................................................................... El Dorado
Sas-Nak-Ra Oil & Gas Co............................................................................................... Fort Smith
Union Central Oil Co..............................................................................................................Sheridan
Vapor City Amusement Co........................................................................................... Hot Springs

FOREIGN.
Semi-Tropical Nut Candy Co...........................................................................New Orleans, La.
Shaffer Oil & Refining Co.................................................................. ...... ................ Chicago, 111.
The Welch Grape Juice Co............................................................................... Westfield, N. Y.




226

R eport

of

B a n k C ommissioner

I N V E S T M E N T C O M P A N IE S

The following investment companies have filed semi-annual reports between
January 31, 1922, and February 24, 1922, thereby not complying with the law:
DOMESTIC.
Arkansas Oil & Lease Exchange............................
Army & Navy Syndicate.............................................
Arkansas Oil Corporation............................................
Arlcansas-Rado Oil Corporation................................
American Portland Cement Co....................................
Ashley County Oil & Gas Co.......................................
American Tractor & Harvester Co.........................
Automatic Lock Co........................................................
Arkansas Royalty Co......................................................
Beach-Murdaugh Candy Co........................................
Busey Oil Co........................................ ..............................
Brummett-Berry & Julian Oil Co...............................
Brummett-Duckett & Julian Oil Co.......................
Centerton Co-operative Developing Co..................
Consolidated Oil & Gas Co........................................
Clover Leasing Syndicate..............................................
Citizens Co-operative Laundry Co.............................
Curtis Motor Car Co............................................
De Soto Springs Co..........................................................
Dome Oil Co.............................. .......................... ............
El Dorado Columbia Oil Corporation......................
Eastern Arkansas Oil & Gas Co...............................
El Dorado Extension Syndicate.................................
El Dorado Chief Oil Corporation...............................
El Dorado Western Oil Co.... .....................................
Farmers Union & Exchange Co................................
Great American Oil Co...................................................
Gravel Hill Oil & Refining Co....................................
Greenway Milling Co.....................................................
Keystone Oil & Gas Co...............................................
Lucky Six Oil Co..............................................................
Lampton Oil Corporation..............................................
Malvern Oil & Development Co...................................
Maynard Oil & Gas Co................................................
Mountainburg Oil & Gas Co........................................
Oil Well Salvage Co......................................................
Old River Oil & Gas Co.................................................
Page Copper Mining & Smelting Co........................
Perry County Oil, Gas & Drilling Co.......................
Rose City Petroleum Corporation.............................
Ouachita & Nevada Syndicate No. 2.......................
Rose City Drilling & Developing Co.........................
Timberlake Oil Co., Lee J........................................
Two States Oil & Gas Co..............................................
War Eagle Oil & Gas Co..............................................
Walbert Oil Co.................................................................
Winthrop Truck Growers Association......................
FOREIGN.
American Oil & Refining Co..........................................
Dayton Rubber Manufacturing Co.............................
Keystone Copper Mining Co.........................................
E. R. Squibb & Sons.......................................................
Farmers Oil & Refining Co..........................................
Toyah Valley Sulphur Co...............................................
United States Automotive Corporation.....................




............Little Rock
............. Pine Bluff
............ Little Rock
..............El Dorado
............. Little Rock
................. Hamburg
..................Stuttgart
........... .Little Rock
—............El Dorado
............ Little Rock
......... -....Monticello
...............El Dorado
...... ....... El Dorado
.............--Centerton
..............Pine Bluff
............ Little Rock
........... Little Rock
........... Little Rock
.......... Hot Springs
................ Centerton
............ Little Rock
......................Helena
............. Pine Bluff
.............. El Dorado
..............El Dorado
.......................Belton
..............Pine Bluff
............. Russellville
................ Greenway
................Jonesboro
..............El Dorado
................ Stuttgart
................—Malvern
................. Maynard
.......Mountainburg
............ Pine Bluff
.......Walnut Ridge
............ Fort Smith
.................. .Bigelow
........... Little Rock
........... Little Rock
........... Little Rock
..............El Dorado
Mammoth Spring
.....................Aurora
................Batesville
................ Winthrop
Oklahoma City, Okla.
................Dayton, Ohio
..........Newton, Kansas
....... New York, N. Y.
...... Texarkana, Texas
........ New Orleans, La.
........Connorsville, Ind.

S tate

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A rkansas

227

I N V E S T M E N T C O M P A N IE S

The following investment companies have not filed semi-annual report as of
December 31, 1921, as required by law. The names have been given to the various
prosecuting attorneys of the State of Arkansas advising that they have not com­
plied with Act 547 of the Acts of 1921:

DOMESTIC AND FOREIGN.
Arkansas-El Dorado Oil Corporation............................................
Arkansas Producing & Refining Co...............................................
Arkansas Gas & Refining Co...........................................................
Arkansas Mill & Grain Co.................................................. v..........
•(Arkansas Oil Corporation..............................................................
American Rubber Co...........................................................................
Ardmore-Akron Tire & Rubber Co..............................................
Arkansas Fullers Earth Refining Co.............................................
Arkansas Drilling & Developing Co...........................................
Arkansas Oil, Lease & Developing Co..........................................
Arkaddo Oil Co....................................................................................
Big Four Oil Syndicate....................................................................
Benton County Hardware Co........................................................
*Big Six Drilling Co.............................................. .........................
Blue Ribbon Oil & Developing Co..................................................
*Burk New-Town Oil _Co..................................................................
*Dixie Petroleum Co...........................................................................
fDome Oil Co........................................................................................
f-Dayton Rubber Co............................................................................
El Dorado Union Oil Syndicate....................................................
El Dorado Royalty Pool....................................................................
El Dorado Stock Exchange..............................................................
El Dorado Roof Garden Co..............................................................
El Dorado Oil Syndicate....................................................................
Greene County Oil, Gas & Dev. Co..............................................
Greer Service Co., W. H ..................................................................
fGusher State Oil Syndicate................ ' ..........................................
Greenwood Sweet Potato Co............................................................
Harrison Oil & Gas Co.....................................................................
*Hamilton Stump Saw Co...............................................................
•(•Independence Oil & Gas Co...........................................................
Imelda Improvement Co...................................................................
fLoutre Creek Oil Co...... ...................................................................
Little Rock Auto Brokerage Co....................................................
Little Rock Gro-See-0 Co................................................................
Lucky Tiger Oil & Gas Co...............................................................
Legion Oil & Gas Co..........................................................................
Love Bros., Inc.....................................................................................
Midland Motor Co...............................................................................
Magnolia-Haynesville Oil Co............................................................
Morgan & Co.........................................................................................
Noco-Mexican Oil Co..........................................................................
Neill Producing Co......... ...................................................................
Preston Oil & Gas Co........................................................................
Preston Motors Corporation.............................................................
Perpetual Leasing & Royalty Co.....................................................
Richardson Oil Syndicate..................................................... ...........
Sinclair Oil Syndicate, J. W ....................... '..................................
Stephens-Ranger Oil Co......................................................................
Southern Rose Oil Co..........................................................................
Southern Petroleum Corporation.....................................................
Scott County Oil & Gas Co...............................................................




......... El Dorado, Ark.
..........El Dorado, Ark.
.........El Dorado, Ark.
................... Hoxie, Ark.
......Little Rock, Ark.
............ ;... Chicago, 111.
...........Ardmore, Okla.
........Little Rock, Ark.
........... Mansfield, Ark.
............ Stuttgart, Ark.
.......... Jonesboro, Ark.
.........El Dorado, Ark.
................Rogers, Ark.
..... Little Rock, Ark.
........... Seminole, Okla.
Wichita Falls, Texas
..........El Dorado, Ark.
........... Centerton, Ark.
............... Dayton, Ohio
......... El Dorado, Ark.
.........El Dorado, Ark.
......... El Dorado, Ark.
......... El Dorado, Ark.
......... El Dorado, Ark.
.... , ... Paragould, Ark.
...... Little Rock, Ark.
........Little Rock, Ark.
.........Greenwood, Ark.
............ Harrison, Ark.
....... Harrisburg, Ark.
...........Batesville, Ark.
.... Hot Springs, Ark.
.........El Dorado, Ark.
....... Little Rock, Ark.
......Little Rock, Ark.
........Uoffeyville, Kan.
.........El Dorado, Ark.
.........El Dorado, Ark.
Siloam Springs, Ark.
....... Little Rock, Ark.
.......Little Rock, Ark.
......New York, N. Y.
...........Shreveport, La.
.........Paragould, Ark.
..... Birmingham, Ala.
Oklahoma City, Okla.
........El Dorado, Ark.
........El Dorado, Ark.
............. Gravette, Ark.
.......Little Rock, Ark.
........ Little Rock, Ark.
............. Waldron, Ark.

R eport

228

of

B a n k C omm issioner

Silver King Mining Co..................................................................................... Hot Springs, Ark.
* Southern Motors Corporation.............................................................................Houston, Texas
The Creasy Corporation............................................................................................... Chicago, 111.
Triangle Oil Co.......................................................................................................El Dorado, Ark.
Thirty-three Oil Co...................................................................................................El Dorado, Ark.
-(-United States Automotive Corporation......................................................Connorsville, Ind.
Unit Oil Co..........’.................................................................................................Fort Smith, Ark.
Walker-Lucas-Hudson Oil Co............................................................................. El Dorado, Ark.
White Kiver Oil & Gas Co................................................................. -................... Batesville, Ark.
Walton-Cobb Oil Co.......................................................................................................Benton, Ark.
fWinthrop Truck Growers Association............................................................. Winthrop, Ark.
fE l Dorado Western Oil Co.................................................................................. El Dorado, Ark.
* Companies that have asked for additional time within which to file reports.
-(-Reports filed since list of delinquents was made up for prosecuting attorneys.

R E C E IP T S A N D D IS B U R S E M E N T S O F T H E B L U E S K Y D E P A R T M E N T

The following is a statement showing the total receipts and disbursements of
the Blue Sky Department from January 1, 1921, to December 31, 1921, inclusive:

RECEIPTS
Examination fees ...................................................................................................................$1,216.30
Application fees .................................................................................................................... 8,129.40
Agents registration fees....................................................................................................... 1,272.00
Annual and semi-annual reports........................................................................................
690.00
Miscellaneous ...........................................................................................................................
20.00
Total .............................................................................................................................. $11,327.70

DISBURSEM ENTS
Salary Assistant Commissioner......................................................................................... $3,000.00
Stenographer and examiner.......... ...................................................................................... 1,161.76
Expense of examinaations....................................................................................................
389.68
Supplies and equipment...............................................................................
897.33
Telephone and telegraph......................................................................................................
22.80
Premium on bond of assistant commissioner............................................
20.00
Total ................................................................................................................................. $5,491.57