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FORTY-FIRST ANNUAL REPORT OF THE CONDITION OF State Banks, Mutual Savings Banks, Trust Companies https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis and National Banks OF WISCONSIN AT THE CLOSE OF BUSINESS DECEMBER 31, 1935 Prepared Under the Direction of the BANKING COM M ISSION Peter A. Cleary, Chairman H. F. Ibach S. N. Schafer, Secretary M ADISON, WISCONSIN 1936 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis DEMOCRAT PRINTING COMPANY MAyi?CiNf WiSCON§irj ROSTER OF THE STATE BANKING DEPARTMENT December 31, 1935 BANKING REVIEW BOARD Crowley, L eo T., Chairman___________________________________ Madison von Oven , H. A., Vice Chairman_________________________________Beloit K ing , Joh n ____________________________________________________ Marathon K u h n m u en c h , Charles J___________________________________ Milwaukee S chreiner , J. F __________________________________________Fort Atkinson Advisory Committee BUILDING AND LOAN DIVISION B achhuber , F rank E., Chairman_____________________________ Wausau Berndt, Paul F., Vice Chairman___________________________ Milwaukee Crowley, J. M_______________________________________________ Milwaukee Czerw inski , B arney A. L___________________________________ Milwaukee K rueck, F. W ________________________________________________ Milwaukee Schulz , F red_____________________________________________________ Racine W ant A, A. F _________________________________________________ Milwaukee BANKING COMMISSION Cleary, Peter A., Chairman_________________________________ Milwaukee I bach , H. F _____________________________________________________ Madison Schafer, S. N., Secretary______________________________________ Madison EMPLOYES Backus , I rving E., Senior Examiner__________________________ Madison B arney , H arry W ., Chief Examiner__________________________ Madison B arney , Robert M., Asst. Examiner_______________________ Sheboygan B ennett , Mary E., Jr. Clk. Stenog____________________________Madison B enninger , M erlin C., Asst. Examiner_____________ ______ Eau Claire B oehm , E sther, Jr. Clk. Stenog_____________________________ Milwaukee B rown , John C., Asst. Examiner________________________ Lake Geneva B uenzli , Gregory M., Law Examiner_________________________Madison Caldwell , S. R., Examiner________ Madison Cardinal , F. D ean , Examiner__________________________________ Cudahy Crowley, Jan e , Jr. Clk. Stenog_______________________________ Madison D iggles, Clyde P., B. & L. Assn. Supervisor_________________ Madison D oyle, John F., Supervisor of Consumer Credit______________ Madison F osse, A lice, Asst. Clerk______________________________________ Madison F osse, Geneva , Jr. Clk. Stenog_______________________________ Madison Ga n n o n , J. D eane , Asst. Examiner________________________ Green Bay Garrigan, D. K elly , Asst. Examiner_______________________ Milwaukee https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4 REPORT OF THE COMMISSIONER OF BANKING Golz, A lvin W ., Asst. Examiner______________________________ Oshkosh H agan , A lexander , Asst. Examiner_________________________ Madison H agan , N elson M., Examiner_____________________________ Green Bay H ampton , E mmet G., Examiner________________________________ Madison H andel , W ilferd F., Asst. Examiner_________________________Madison H ermsen , M rs. E sther M., Secretarial Stenog______________ Madison H erreid, T homas , Jr. Statistician__________________________ __Madison H erreid, T. L eroy, Examiner________________________ Prairie du Chien H oukom , O mer, Examiner_______________________________________ Racine H yland , Charles G., Credit Union Organizer______________West Allis I ngram , G. E rle, Special Counsel___________________________Eau Claire Jamieson , G. W ., Senior Examiner____________________________ Madison Johnson , M rs. E lsie , Jr. Clk. Stenog________________________ Madison L evenick , L eo B., Examiner__________________________________ Madison M cCarthy , Genevieve A., Secretarial Stenog_________________ Madison M atthew s , Guerdon M., Examiner__________________________Green Bay M eloy, T. M., Examiner----------------------------------------------------------- Madison M erriman , H azel K., Junior Accountant______________________ Madison M iddleton, A rthur , Asst. Examiner______________________ Wauwatosa M oors, A rthur C., Examiner_______________________________Wauwatosa M orrison, Colin M., Accounting Clerk_______________________ Madison M ulva , James B., Examiner___________________________________ Oshkosh M urphy , M argaret F., Jr. Clk. Typist_______________________ Madison Pauls , D ayton F., Examiner___________________________________ Sparta P latz , H erbert E., Examiner_______________________________Milwaukee Ploetz, N elson C., Examiner_________________________________ Wausau Purtell, T homas M., Asst. Examiner______________________ Milwaukee R othe, E arl H., Examiner_________________________________ Sheboygan Rothe , L. W ., Senior Statistician_____________________________ Madison Sch om an , D oretha V., Jr. Clk. Stenog________________________ Madison Schultz , E lizabeth , Secretarial Stenog______________________Madison S hape , Charles T., Senior Examiner______________________ Milwaukee S hape , Gustave A., Asst. Examiner__________________________ Madison Steele, Clarence C., Examiner_________________________________ Sparta S tock, W alter L., Asst. Examiner____________________________ Madison Sw enson , Gladys R., Senior Clk. Stenog______________________Madison T eske , F red C., Examiner_____________________________________Princeton V allier, Gordon E., Asst. Examiner-------------------------South Milwaukee W alker , E velyn , Jr. Clk. Stenog.____________________________ Madison W alsh , B ernadette E., Jr. Clk. Stenog.______________________ Madison W in k o w sk i , Roman J., Examiner__________________________ Milwaukee W itzig , E. F., Senior Examiner____________________________ Eau Claire https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis LETTER OF TRANSMITTAL April 7, 1936. To His E xcellency , P hilip F. L a F ollette, Governor of Wisconsin. S ir: In conformity with Section 220.14, we have the honor to submit herewith, the Forty-first Annual Report of the condition of state banks, mutual savings banks, and trust companies of the State of Wisconsin, and there is also included the report of the national banks of this state. The figures of this report are as of the close of business De cember 31, 1935. Respectfully, https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis B anking Commission , P eter A. Cleary , Chairman. H. F. IBACH, S. N. S chafer , Secretary. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis April 6th, 1936. T he H onorable P hilip F. L a F ollette, Governor of Wisconsin, Madison, Wisconsin. Dear S ir: To improve the conditions of state banks, to give each community as adequate banking facilities as is practical, to consolidate banks if to the best interest of the depositors, and to obtain for each bank sufficient earnings to pay its overhead and build a reserve for possible losses has been the aim of the Banking Review Board in 1935. Your Board worked with the members of the Banking Commission in drafting legislation which would achieve this goal, and that our plans met with the approval of the public is evidenced by the passage of most of the bills in their original forms by both houses of the Legislature. In the discretion of the Banking Commission it was deemed necessary to further reduce the maximum interest rate payable on time deposits. On May 27, 1935 with the approval of this Board, an order was issued to each state bank, mutual savings bank and trust company bank notifying them of the uniform rule for a maximum rate of two per cent per annum on all time deposits after July 1, 1935. With reduced earnings on investments, a bank must be allowed a small percentage of margin for overhead. There are many banks throughout the State which have already established reasonable service charges for the collection and handling of items and accounts. There are some banks which are reluctant to install charges for such services. The Banking Commission late in the year began a survey of costs for different classes of banks and recently submitted a report of their findings to this Board for our study and consideration. On July 1, 1935 at the expiration of temporary permits for receiving stations and upon passage of a new law, we passed upon applications for continuance of stations al ready functioning together with a number of additional requests. During the period between July 1, 1935 and December 31, 1935 permits were granted for 57 paying and https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8 REPORT OF THE COMMISSIONER OF BANKING receiving stations. These stations afford banking con veniences to the public in communities in which a bank cannot operate profitably. Extensive hearings were held in the matter of the appeal from the decision of the Banking Commission plac ing the Anchor State Bank of West Milwaukee in liquida tion. The decision of this Board upholding the action of the Commission was appealed, but was affirmed by the Circuit Court. Hearings were held under Section 221.205 of the statutes regarding the removal of bank officers and under Section 221.01 (6) relative to the granting of bank charters. The Banking Review Board held 30 meetings during 1935 and is in close touch with the condition of the state banks of Wisconsin and with the liquidation of the assets in closed banks and segregated trusts. With a reduced interest rate commensurate with the times, with nominal service charges, and with the close supervision that each bank and bank officer is accorded by the Banking Commission, the banks of the State should continue to reflect a healthy condition. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Respectfully submitted, B anking R eview B oard, H. A. von Oven , Chairman. TABLE OF CONTENTS Pages Abstract of Reports of State Banks, Mutual Savings Banks and Trust Companies at the close of busi ness December 31, 1935, and comparison with December 31, 1934 ___________________________ 10 New State Banks and Banks increasing or decreas ing their capital in 1935 _____________________ 11 Charters extended during 1935 ___________________ 13 Classification of Banks as to Capital S tock ________ 14 Names and Compensation of Department Employes 15 Receipts and Disbursements of Banking Department during 1935 _________________________________ 17 Abstract of State and Mutual Savings Banks and Trust Companies as of December 31, 1935, by Counties______________________________________ 18-31 Abstract of State Banks, Trust Companies and Mutual Savings Banks separately as of Decem ber 31, 1935 _________________________________ 22 Abstract of Three Call Reports of 1935 ___________ 23 Report of National Banks as of December 31, 1935__ 24-29 Report of State Banks as of December 31, 1935, ar ranged in alphabetical order by cities and name of bank-------------------------------------------------------- 30-51 Report of Mutual Savings Banks and Trust Com panies as of December 31, 1935 ______________ 52 Statements of Banks in Liquidation_______________ 58-239 Officials of State and National Banks_____________ 242 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 10 REPORT OF THE COMMISSIONER OF BANKING Abstract of report of State and Mutual Savings Banks and Trust Companies of Wisconsin at the close of business December 31, 1935 and comparison with the last report, December 31, 1934 Dec. 31, 1935 Number of banks_ 515 RESOU RCES Loans and discounts, in cluding redis. if an y____ $127. 984,560.93 Overdrafts_______________ 26,423.65 Drafts paid under letters of credit_______________ 46,713.61 United States Securities - ,320,543.88 Stock in Federal Reserve B an k__________________ 221 , 100.00 Other stocks and securities ,307,626.26 Other bonds_____________ ,768,256.05 Banking house, furniture and fixtures____________ ,871,263.17 Other real estate owned__ ,732,014.36 Due from other banks____ 867,114.99 Due from approved re serve banks____________ 66,013,351.58 Due from Federal Reserve B an k__________________ 10,123,618.27 Gold coin and certificates 22,912.81 Silver coin _______________ 773,582.67 U.S. & N at’nal Currency _ 8,11 3,47 5 .9 6 Nickels and cents________ 226,197.84 Exchange for C. H. and checks on banks in same place__________________ 2 ,1 2 7,37 0 .3 8 Checks on other banks in process of collection____ 1 ,1 39,998.53 Cash item s_______________ 192,087.74 Other assets______________ 1 ,1 28,947.02 Expense account_________ 678.34 T otal. $399,007,838.04 L IA B IL IT IE S Capital Stock paid in_____ 5 27,945 ,5 0 0 .0 0 Incom e debentures_______ 16,261,945.00 Surplus fun d _____________ 6 ,4 30,229.81 Undivided p r o f i t s .______ 8 ,8 0 2,82 1 .1 6 Due to banks deposits____ 7.3 6 3,15 9 .1 0 Dividends unpaid________ 84,243.89 Individual deposits sub ject to ch eck_____ _____ 113,141,845.36 Demand certificates of deposit________________ 2,01 7,55 0 .2 1 Certified checks__________ 513,071.38 Cashiers checks__________ 2 ,7 5 3,63 7 .5 6 United States deposits___ 1,1 9 5,30 4 .6 2 Postal savings____________ 3,98 1,48 4 .0 6 Time certificates of deposit 55,805,940.39 Savings deposits_________ 143,161,913.59 L. of c. and traveler’s checks sold for cash and outstanding___________ 44,360.66 N otes and bills redisc. __ 34,752.00 Bills pay., inc. oblgts. for m oney borrowed other than redis______________ 43,211.79 Incom e debenture sinking fund reserve___________ 82,767.53 Other liabilities__________ 249,597.31 Debentures______________ Special___________________ 3 ,3 4 3,16 9 .1 0 Due as exr., adm., guard., receiver, trustee, as signee, etc--------------------5,74 7,84 4 .9 7 Interim certificates_______ Contingent Fund in Stabilized Banks______ 3,4 8 8.55 T ota l_______________ $399,007,838.04 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Increase Dec. 31, 1934 Decrease 527 4 ,3 9 4,49 8 .5 4 5 ,6 1 5.46 $132,379,059.47 32,039.11 17,588.04 60,355,731.99 29,125.57 10,964,811.89 208,050.00 1 ,410,127.03 73,167,212.67 18.601.043.38 9,9 9 0,32 0 .9 8 4 ,7 3 4,87 3 .7 3 748,722.49 997,140.63 118,392.50 52,829,053.53 13,184,298.05 7 ,6 99,410.11 17,970.25 701,581.75 7,3 6 8,30 0 .1 5 195,403.35 2,42 4,20 8 .1 6 4 ,942.56 72,000.92 745,175.81 30,794.49 1 ,437,439.29 689,931.09 705,196.13 179,643.20 1 ,2 40,647.68 119,713.97 434,802.40 12,444.54 $355,538,084.92 48,322,161.99 ? 28,308 ,0 0 0 .0 0 15,483,063.31 6 ,7 2 2,67 2 .8 7 8,0 3 6,84 4 .6 3 6 .2 8 2.94 3 .3 2 35,236.31 94,939,119.14 3.5 3 3.45 9 .3 2 296,673.51 2 ,0 3 6,21 4 .8 3 2,79 1,80 6 .2 9 4 ,3 3 6,40 4 .3 7 62,977,251.78 114,486,170.29 17,487.00 13,050.00 119,057.81 111,700.66 119,035.63 $ 4 ,8 5 2,40 8 .8 7 362,500.00 $ 778,881.69 292~443~06 765,976.53 1 ,080,215.78 49,007.58 18,202,726.22 1 ,515,909.11 216,397.87 717,422.73 1 ,5 96,501.67 354,920.31 7 ,171,311.39 28,675,743.30 26,873.66 34,752.00 350,675.21 307,463.42 48,172.63 34,594.90 275,132.37 429.70 1,145,313.36 2,19 7,85 5 .7 4 3,2 7 2,61 5 .5 8 2,47 5,22 9 .3 9 25,535.06 429.70 175,976.83 $355,538,084.92 102,500.77 172,488.28 55,269,255.12 $ 11,799,502.00 REPORT OF THE COMMISSIONER OF BANKING 11 CHANGES IN CAPITAL OF STATE BANKS IN 1935 N E W BANKS Farmers and Merchants Bank, Reedsburg_______________ -$50,000.00 AMENDMENTS TO INCREASE CAPITAL From Cedarburg State Bank, Cedarburg The Neillsville Bank, Neillsville State Bank of Medford, Medford First State Bank, W est Bend Farmers Savings Bank, EdmundPeoples State Bank, Bloomer Bank of South W ayne, South W ayne Farmers & Merchants Bank, Richland Center___ Farmers Bank, Omro_ Farmers State Bank, Pound(Authorized October, 1933) T otal- _ - $ 40,000 60,000 25.000 40.000 20.000 25.000 20.000 40.000 30.000 To $ 60,000 70.000 50.000 50.000 25.000 42.000 30.000 50.000 60.000 _ Increase $ 20,000 10,000 25.000 10.000 5,000 17.000 10.000 10,000 30,000 500 $ 137,500 INCREASE DUE TO CLOSED BANKS RE-OPENED DURING 1935 Coloma State Bank, Colom a_________________________________________________________ $10,000 Farmers State Bank, C ato___________________________________________________________ 20,000 Total------------------------------------------------------------------------------------------------------------------- _ $30,000 DECREASE IN CAPITAL OF STATE BANKS 1935 AMENDMENTS TO DECREASE CAPITAL From C ity Bank & Trust Co., Milwaukee ____ _ __ Bank of Sun Prairie, Sun Prairie___ ______ Wisconsin Valley Trust Co., Wausau___ Bank of Sturgeon Bay, Sturgeon B ay ___ Citizens State Bank, Genoa C ity _ _ _ _ T o t a l., __ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ______ _________ $ 300,000 50.000 150.000 200.000 50.000 To $ 200,000 30.000 100,000 100,000 30.000 Decrease $ 100,000 20,000 50.000 100,000 20.000 $ 290,000 12 REPORT OF THE COMMISSIONER OF BANKING DECREASE DUE TO SALES AND MERGERS Farmers & Merchants Bank, Cedarburg, sold to_.----Cedarburg State Bank Decrease $ 50,000 George Warren Co. Bank, Tomah, sold to___________ Farmers & Merchants Bank, Tomah 1 0,000 State Bank of Ogema, Ogema, sold t o ----------------------State Bank of M edford, Medford 20,000 Bank of Sand Creek, Sand Creek, sold t o -----------------Bank of New Auburn, New Auburn 25.000 State Bank of Exeland, Exeland and------------------------Farmers Bank, Sheldon, consolidated with---------------Bruce State Bank, Mercer, and name changed to Dairyland State Bank 10.000 State Bank of Haven, Haven, sold to-----------------------Bank of Sheboygan, Sheboygan 15.000 First State Bank, Rio, sold t o -----------------------------------First State Bank, Fall River and name changed to Rio-Fall River Union Bank, Fall River 30.000 First State Bank, Solon Springs, sold t o -------- - ---------Superior State Bank, Superior 10.000 Total---------------- --------- ---------------------------------------- $180,000 10,000 DECREASE DUE TO CLOSED BANKS Coloma State Bank, Colom a-------------------------------------------------------------------------------------- $ Anchor State Bank, W est Milwaukee---------_-------------------------------------------------------------State Bank of Suamico, Suamico-------------------------------------------------------------------------------Bank of Linden, Linden---------------------- : --------------------------------------------------------------------Friendship State Bank, Friendship-------------1------------------------------------------------------------- 10,000 40,000 15,000 20,000 10,000 Total__________________________ '---------------------------------- --------------------------------------$ 95,000 VOLUNTARY LIQUIDATION Haugen State Bank, Haugen https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 15,000 13 REPORT OF THE COMMISSIONER OF BANKING CHANGE IN CAPITAL, 1935 $28,308,000 50.000 137,500 30.000 Capital Stock December 31, 1934.. New Banks_______________________ Capital Increased b y Amendments. Closed Banks reopened___________ $28,525,500 Total Capital Decrease b y Amendments______1------------------------------------------------------------- $ Decrease due to sales____________________________________________________________ Decrease due to closed banks__— ------------------ ---------------------------------- ----------------Decrease due to voluntary liquidations________________________________________ _ 290,000 180,000 95,000 15,000 T otal_______________________________________________________________________ $ 580,000 Capital December 31, 1935______________________________________________________ $27,945,500 CHANGES IN NAMES AND LOCATION OF STATE BANKS DURING YEAR 1935 Farmers Savings Bank, Edmund, moved to Mineral Point. Bruce State Bank changed name to Dairyland State Bank, Bruce. First State Bank, Fall River, changed name to Rio-Fall River Union Bank, Fall River. CHARTERS EXTENDED DURING THE YEAR 1935 From 1-11-35 1-14-35 1-14-35 2 - 8-35 7-12-35 7-17-35 Farmers State Bank, W aupaca. _ Farmers State Bank, Markesan Farmers State Bank, Beaver Dam — Hustler-Camp Douglas Bank, Hustler Ferryville State Bank, Ferryville State Bank of Newburg, Newburg https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis --------- — 10- 1-35 1 - 4-35 6-15-36 1-15-35 3 - 6-36 1-21-36 To 10- 1-85 1 - 4-60 6-15-61 Unlimited 3 - 8-61 1-21 61 14 REPORT OF THE COMMISSIONER OF BANKING CLASSIFICATION OF BANKS AS TO CAPITAL STOCK Number of Banks Banks Having Capital Dec. 31, 1931 Of $10,000_______________________________ Over $10,000 and less than $15,000 Of $15,000_______________________________ 103 11 75 Over $15,000 and less than $20,000 _ Of $20,000_______________________________ Over $20,000 and less than $25,000 6 51 3 ' Dec. 31, Dec. 30, 1932 1933 Dec. 31, Dec. 31, 1935 1934 86 9 61 62 4 44 44 3 39 39 3 36 7 38 4 6 34 3 6 27 3 5 25 3 $25,000_______________________________ $30,000_______________________________ $35,000. . ___________________________ 118 67 15 110 57 13 91 56 12 93 61 15 91 63 15 Over $35,000 and less than $40,000. Of $40,000_______________________________ Over $40,000 and less than $45,000 _ 4 40 1 4 35 2 3 34 2 2 31 2 2 27 3 Of $45,000 . ____________ _____________ Over $45,000 and less than $50,000 Of $50,000. ____________________________ 4 0 99 3 1 93 4 1 88 4 1 80 4 1 81 Of Of Of $55,000_______________________________ $56,000_______________________________ $60,000______________________________ 0 1 11 0 1 13 1 1 12 1 1 12 1 1 13 Over $60,000 and less than $65,000 Of $65 ,00 0 .. ___________________________ Of $70,000. ____________________________ 0 3 2 0 3 1 0 1 2 1 1 3 1 1 4 $75,000_______________________________ $80,000_______________________________ $85,000. . _________________________ 13 5 1 14 7 1 12 5 1 11 5 1 11 5 1 Of $90,000_______________________________ Over $90,000 and less than $100,000 . . . Of $100,000_____________________________ 0 2 48 0 3 41 0 4 38 4 0 35 4 0 37 Over $100,000 and less than $125,000 Of $125,000______________________________ Of $130,000______________________________ 0 3 0 0 3 0 2 3 0 3 3 1 3 3 1 Over $130,000 and less than $135,000 Of $135,000______________________________ Of $150,000______________________________ 1 0 3 1 0 2 2 1 4 1 1 3 1 1 2 Of Of Of Of Of Of Of Of Of $200,000______________________________ $225,000_________________________ ___ _ $300,000______________________________ 21 1 7 19 1 7 20 1 5 13 1 4 13 1 2 Of Of Of $400,000. ___________________________ $500,000______________________________ $1,000,000____________________________ 4 2 2 4 2 1 3 2 1 2 2 1 2 2 1 Of $1,500,000____________________________ 1 1 1 1 1 Mutual Savings Banks without capital stock. 4 6 4 5 5 732 654 570 527 515 T ota l. . . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis REPORT OF THE COMMISSIONER OF BANKING 15 THE NAMES AND COMPENSATION OF ALL OFFICERS AND EMPLOYES OF THE STATE BANKING DEPARTMENT JANUARY 1, 1935-DECEMBER 31, 1935 Name Cleary, Peter A ______ Schafer, Stanley N ___ Ibach, Herbert F .-_ _ _ Backus, Irving E _____ Barney, Harry W ___ _ Barney, Harry W ____ Barney, Robert M ___ Bennett, M ary E _____ Bennett, M ary E _____ Benninger, Merlin C. Benninger, Merlin C. Boehm, Esther_______ Boehm, Esther_______ Bosshard, John A ____ Brown, John C _______ Buenzli, Gregory M .„Caldwell, Stanley R __ Cardinal, F. D ean____ Crowley, Jane________ Crowley, Jane________ Diggles, Clyde P _____ D oyle, John F ._______ D oyle, John F ________ Fosse, Alice.,_________ Fosse, Alice__________ Fosse, Geneva________ Fosse, Geneva_______ Gannon, J. Deane____ Garrigan, D . K elly___ Golz, Alvin W ________ Golz, Alvin W ________ Hagan, Alexander____ Hagan, Nelson M ____ Hagan, Nelson M ____ Hagan, Nelson M ____ Hampton, Emmet G. Handel, W ilferd F ___ Hermsen, Mrs. E. M._ Herreid, Thom as_____ Herreid, T. L eroy____ Houkom, Omer_______ Hyland, Charles G ___ Ingram, G. Erie______ Jamieson, Gerald W . . Johnson, Mrs. Elsie__ Johnson, Mrs. Elsie Kileen, R oy E ________ Levenick, Leo B --------M cCarthy, G. A ------- Matthews, G. M -------M eloy, Theodore M ._ Merriman, Hazel K __ Merriman, Hazel K __ Middleton, Arthur___ Moors, Arthur C _____ Morrison, Colin M ___ Mulva, James B ______ Murphy, Margaret F. M urphy, Margaret F. Pauls, Dayton F ---------Pauls, Dayton F _____ Platz, Herbert E -------Ploetz, Nelson C -------Purtell, Thomas M. Rothe, Earl H ________ Rothe, Lester W _____ Schoman, Doretha___ Schoman, Doretha___ Schultz, Elizabeth____ Shape, Charles T _____ Shape, Gustave A ____ Title Commissioner, Commissioner Commissioner __ Senior Examiner _ Senior Examiner _ Chief Examiner___ Ass’ t. Examiner Jr. Clerk Stenog. .. Jr. Clerk Stenog__ Ass’t. Examiner__ Ass’t. Examiner__ Jr. Clerk Stenog— Jr. Clerk Stenog__ Review Examiner _ Ass’t. Examiner__ Law Examiner____ Examiner Examiner _ __ Jr. Clerk Stenog— Jr. Clerk Stenog__ Sup’r B. & L. Div. Ass’t. Examiner__ Sup’r Con. Credit Ass’t. Clerk Ass’t. Clerk Jr. Clerk Stenog__ Jr. Clerk Stenog— Ass’t. Examiner__ Ass’t. E xam iner,__ Ass’t. Examiner__ Ass’t. E x a m in er.,. Ass’t. Exam iner,. Ass’t. Examiner__ Ass’t. E xam in er-,. Examiner Examiner Ass’t. Examiner__ Secretarial Stenog. Junior Statistician. Examiner . Examiner Credit U. Organ’r Special Counsel___ Senior Examiner Jr. Clerk Stenog— Jr. Clerk Stenog__ Examiner. Examiner Secretarial Stenog. Examiner _ _ Examiner . Jr. Accountant____ Jr. Accountant___ Ass’t. Examiner__ Examiner Accounting Clerk _ ______ Examiner Jr. Clerk T ypist__ Jr. Clerk Typist__ Ass’t. Examiner___ Ass’t. Examiner __ Examiner__ __ Examiner______ Ass’t. Examiner__ Examiner Senior Statistician _ Jr. Clerk Stenog.Jr. Clerk Stenog__ Secretarial Stenog. Senior Examiner _. Ass’t. Examiner__ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Da te From To Jan. Jan. Jan. Jan. Jan. Apr. Jan. Jan. July Jan. July Jan. N ov. Jan. Jan. Jan. Jan. Jan. Jan. July Jan. Jan. N ov. Jan. July Jan. July Jan. Jan. Jan. July Jan. Jan. July N ov. Jan. Jan. Jan. Jan. Jan. Jan. Jan. Sept. Jan. Jan. July Jan. Jan. Jan. Jan. Jan. Jan. July Jan. Jan. Jan. Jan. Jan. July Jan. N ov. Jan. Jan. Jan. Jan. Jan. Jan. July Jan. Jan. Jan. 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 21 1 1 1 1 1 1 1 1 1 1 15 1 1 1 1 1 1 1 23 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 16 1 1 1 1 1 1 1 1 1 1 Dec. 31 Dec. 31 Dec. 31 Dec. 31 Mar. 31 Dec. 31 Dec. 31 June 30 Dec. 31 June 30 Dec. 31 Oct. 31 Dec. 31 Mar. 31 Dec. 31 Dec. 31 Dec. 31 Dec. 31 June 30 Dec. 31 Dec. 31 Oct. 31 Dec. 31 June 30 Dec. 31 June 30 Dec. 31 Dec. 31 Dec. 31 June 30 Dec. 31 Dec. 31 June 30 N ov. 15 Dec. 31 Dec. 31 Dec. 31 Dec. 31 Dec. 31 Dec. 31 Dec. 31 Dec. 31 Dec. 31 Dec. 31 June 30 Dec. 31 Aug. 7 Dec. 31 Dec. 31 Dec. 31 Dec. 31 June 30 Dec. 31 Dec. 31 Dec. 31 Dec. 31 Dec. 31 June 30 Dec. 31 N ov. 15 Dec. 31 Dec. 31 Dec. 31 Dec. 31 Dec. 31 Dec. 31 June 30 Dec. 31 Dec. 31 Dec. 31 Dec. 31 N o. of M o. Da. 12 12 12 12 3 9 12 6 6 6 6 10 2 3 12 12 12 12 6 6 12 10 2 5 6 6 6 12 12 6 6 12 6 4 1 12 12 12 12 12 12 12 3 12 6 6 7 12 12 12 12 6 6 12 12 12 12 6 6 10 1 12 12 12 12 12 6 6 12 12 12 11 15 15 8 7 15 15 Annual Salary Salary Received $5,000 5,000 5,000 3,300 3,300 3,600 1,8001,320 1,440 1,800 2,100 720 900 3,600 1,800 3,000 2,520 2,400 1,320 1.440 3,600 2,400 3,000 900 1,200 1,320 1,440 1,800 2,100 1,800 2,100 1,500 1,800 2,100 2,400 2,400 1.800 1,980 2,400 2,400 2,400 2,400 3,000 3,300 1,020 1,200 2,700 2,400 1,980 2,700 2,700 1,980 2,100 2,100 2,400 2,400 2,400 1,200 1,320 1,800 2,400 2,400 2,400 2.100 2,700 3,000 1,200 1,320 1,980 3,300 2,400 $5,000 5,000 5,000 3,300 3,525 1,800 1,380 1,911.11 750 900 1,800 3,000 2,520 2,400 1,380 3,600 2,500 1,003.84 1,380 1,800 2,100 1,950 1,500 1,987.50 2,400 1,800 1,980 2,400 2,400 2,400 2,400 778.05 3,300 1,110 1,625 2,400 1,980 2,700 2,700 2,040 2,100 2,400 2,400 2,400 1,260 1,875 2,400 2,400 2,100 2,700 3,000 1,260 1,980 3,300 2.400 16 REPORT OF THE COMMISSIONER OF BANKING THE NAMES AND COMPENSATION OF ALL OFFICERS AND EMPLOYES OF THE STATE BANKING DEPARTMENT JANUARY 1, 1935-DECEMBER 31, 1935— Continued Name Date From Title Steele, Clarence C. — Stock, Walter L. Swenson, Gladys R. - Examiner. _ Jan. Ass’t. Examiner Jan. Sr. Clerk Stenog. _ Jan. Vallier, Gordon E ----Walker, Evelyn Walker, E velyn______ Walsh, Bernadette E. Walsh, Bernadette E. Winkowski, Roman J. W itzig, Edgar F. Special Services A t- Ass’t. Examiner__ Jr. Clerk Stenog.. Jr. Clerk Stenog.. Jr. Clerk Stenog. Jr. Clerk Stenog— Examiner. Senior Examiner . Jan. Jan. July Jan. July Jan. Jan. 1 1 1 1 1 1 1 1 1 1 1 To Dec. 31 Dec. 31 Dec. 31 31 Dec. 31 June 30 Dec. 31 June 30 Dec. 31 Dec. 31 Dec. 31 Number of M o. Da. 12 12 12 12 12 6 6 6 6 12 12 Annual Salary Salary Received 2,700 1,680 1.680 2.700 1.800 1.200 1,320 1,320 1,440 2,400 3,000 2,700 1 .680 1,680 2,700 1,800 1,260 1,380 2,400 3,000 2 ,491.25 841.00 Temporary Employees $147,807.75 BANKING REVIEW BOARD N o. of M o. Days Date From To von Oven, H. A., Vice Chairman King, John _. ____ _ _ _ Kuhnmuench, Charles J. __ Schreiner, J. F ___ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Jan. Jan. Jan. Jan. 1 1 1 1 Dec. Dec. Dec. Dec. 31 31 31 31 22 28 30 30 Rate Per Diem $ 15.00 15.00 15.00 15.00 Salary Received $ 330 420 450 450 $ 1,650 REPORT OF THE COMMISSIONER OF BANKING 17 The receipts and disbursements of the State Banking Department from January 1, 1935 to December 31, 1935, are presented in the fol lowing report: R E C E IP T S NonAppropriated Balance Jan. 1, 1935 (1933-34 Appropriation)________________________________ Balance Jan. 1, 1935 (1934-35 Appropriation)________________________________ Appropriated from General Fund Sept. 1, 1935______________________________ Appropriated from General Fund for 1933-34 in v oices-______________________ License Small Loan Companies______________________________________________ License Discount Companies_________________________________________________ Miscellaneous Fees_____________________________________________ $ 396.71 Receipts from Closed Banks__________________________________________________ Receipts from Stabilized Banks______________________________________________ Receipts from Bank Fees, and Assessments__________________________________ Receipts from Building and Loan Fees and Assessments_____________________ Receipts from Credit Unions___________________________________ 235.00 Certified Copies_______________ 129.35 525.00 Agents Licenses________________________________________________ Filing Originals and Amendments______________________________ 175.00 Licenses for Auto Sales_____________________________________________________ _ Licenses for Receiving Stations for Banks____________________________________$ 1,461.06 Appropriated $ 4,6 5 0.76 99,928.26 50,000.00 124.90 6,980.94 2 ,0 1 9.20 4,646.43 20,364.82 17,056.66 49,618.45 24,946.74 6,107.69 4 ,135.00 2,400.00 $292,979.85 D ISB U R SE M E N TS Banking Review Board Salaries________________________________ $ 1,650.00 Officers and Office Employees salaries____ ___________ __________ 62,142.89 Examiners Salaries_____________________________________________ 83,173.61 Special services of A ttorneys___________________________________ 2 ,4 9 1.25 Total Salaries. $149,457.75 Banking Review Board Travel Expense________________________ $ 1,291.76 Advisory Committee, Building and Loan Associations__________ 970.00 Advisory Committee, Credit Unions____________________________ 17.40 Interim Committee on Finance Companies_____________________ 154.78 Officers and Office Employees Travel Expense--------------------------5,351.23 Examiners’ Travel Expense------------------------------------------------------- 39,089.19 Total Travel Expense___________________________________________________ Stationery and Office Supplies_______________________________________________ Postage___________________________________________________________ Telephone and Telegraph__________________________________________ __________ Express, Freight andDrayage_______________________________________________ Printing_________________________________________________ '.------------------------------Miscellaneous________________________________________________________________ Surety Bonds________________________________________________________________ Total Disbursements___________________________________ _________________ Balance on 1933-34 Appropriation transferred to General Fund June 30, 1935___________________________________________$ Balance Dec. 31, 1935 on 1934-35 Appropriation________________________ Balance Dec. 31, 1935 on 1935-36 Appropriation________________________ $ 46,874.36 $ 3 ,134.72 5 ,190.19 1,487.00 52.10 7,1 9 8.63 9 ,178.78 1,223.67 $223,797.20 4 ,132.56 7 ,987.23 57,062.86 $292,979.85 2 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ABSTRACT OF REPORTS OF STATE A N D M UTUAL SAYINGS BANKS AND TRUST COMPANIES OF WISCONSIN ON DECEMBER 31, 1935 BY COUNTIES County $ Bayfield________________________________________________________ B row n_________________________________________________________ Chippewa______________________________________________________ D odge_________________________________________________________ Douglas---------------------------,---------------------------------------------------------- Fond du L ac___________________________________________________ Green Iron Kenosha_______________________________________________________ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 61,986 342,539 1,379,431 132,990 4,414,097 U. S. Securities Stock in Fed. Reserve Bank, Banking Hse., Other Stocks & Furn., Fix., Sec. other Bonds Other R . E. $ 226,537 465,863 1,116,427 59,697 5,064,358 $ 8,450 32,300 237,553 17,011 320,451 Other Assets Due from Banks and Cash on Hand $ 151,215 81,565 574,708 76,900 2,184,099 $ 65 12,695 22,811 882 116,850 Total Resources $ 448,253 934,962 3,330,930 287,480 12,099,855 701,998 152,719 1,152,381 1,455,231 1,623,732 1,682,517 36,461 1,479,076 1,946,199 1,864,534 89,636 15,000 139,637 169,902 203,096 349,955 97,999 579,826 827,672 887,555 12,956 1,083 7,653 6,537 13,583 2,837,062 303,262 3,358,573 4 ,4 0 5,54 1 4,592,500 2,107,013 1,355,955 4,872,079 2,922,408 837,233 2,353,266 1,655,567 5,809,249 3,533,574 931,909 296,165 144,337 1.019,317 378,437 57,609 1,171,153 483,097 3,933,749 1,475,918 437,669 14,660 8,493 208,927 28,852 19,836 5,9 4 0,25 7 3,647,449 15,843,321 8,339,189 2,284,256 717,637 856,650 505,558 39,631 1,245,330 825,921 1,080.690 320,502 109,939 1,612,972 83,900 197,190 60,434 22,372 175,004 604,128 434,407 156,028 93,041 930,529 15,750 30,556 266 7 28,739 2,247,336 2,5 9 9,49 3 1,042,788 264,993 3,992,574 218,953 2,111,535 2,127,625 1,194,883 1,070,587 159,417 2,748,720 3,583,125 1 ,6f)6,410 2,026,976 20,615 344,241 184,186 135,213 126,116 106,295 2,253,353 1,211,092 457,553 976,140 601 28,965 29,541 5,663 10,292 505,881 7,486,814 7,135,569 3,399,722 4,210,111 196,918 614,577 2,913,361 829,766 262,504 413,333 1,494,972 5,240,363 1,609,228 130,083 30,000 35,581 411,001 129,183 115,095 115,094 830,132 1,695,689 646,801 251,359 5,179 10,475 44,209 8,155 3,241 760,524 2,985,737 10,304,623 3,223,133 762,282 REPORT OF THE COMMISSIONER OF BANKING Loans, Dis counts and Overdrafts 1,981,841 1,015,699 801,372 529,694 1,201,912 2,555,899 3,155,001 971,728 931,175 2,574,073 102,505 179,111 84,168 25,079 146,657 839,350 1,240,561 858,883 481,533 776.666 9,294 91,921 1,606 5,947 24,525 5,488,889 5,682,293 2,7 1 7,75 7 1,973,428 4,723,833 4,725,545 3,887,459 783,728 345,079 27,803,268 4,736,366 5.476.730 869,786 739,459 33,052,169 683,956 410,517 135,712 27,838 3,256,579 2 ,5 6 7,83 0 1,877,918 420,272 116,168 25,890,265 157,130 83,123 3.292 951 2,502,212 12,870,827 11,735,747 2,212,790 1,229,495 92,504,493 M onroe___. . . . . ____ __ _____ O c o n t o __ ________ . . . . ______________ . . ................. ............ Oneida. _______ . . . . . ____________ ______ Outagam ie-. . . . _ __ _ . . . __ Ozaukee _ __________ . . . . 1,533,085 661,715 625,519 2,998,394 1,569,110 1.926.406 312,927 415,178 3,251,022 1,496,216 194,730 90,253 93,900 277,773 175,313 1,092,061 190,446 274,578 1,904,549 1,137,272 16,694 4,231 10,415 80,037 2,378 4,762,976 1,259,572 1,419,590 8,511,775 4,3 8 0,28 9 . . _____ __ _____ P e p i n . _____ ______ __ . Pierce__ . . . . ____ ____ ______ P olk ___________________________________________________________ Portage. . . . . _ . .... . _. ______ 261,310 699,567 1,002,408 617,796 187,903 152,273 980,956 880,078 595,138 352,155 15,100 126,272 109,575 72,764 24,640 180,764 450,887 364,324 154,455 205,019 2,405 3,597 3,036 523 1,825 611,852 2,261,279 2,359,421 1,440,676 771,542 Racine . . . . . . . . . . . _____ __ R ich la n d .. . . __ ____ . _ . . ._ _______ __ R ock . . . . . . . . . R usk_____ __________ . . . . . St. C roix. ________ ______ _. ._ . . _________ 3,335,700 792,976 5,577,829 257,490 930,922 4,909,520 1,100,714 6,232,704 466,267 653,164 277,133 145,289 485,619 21,456 96,840 1,745,147 887,769 3,304,851 140,094 506,400 122,044 10,481 131,630 3,943 1.648 10,389,544 2,937,229 15,732,633 889,250 2,188,974 Sauk___ _______ . . _______ ____ . . . . __________ . . . . Sawyer _ .... Shawano __ _ . . . ______ . . . _ Sheboygan__ . . . T a ylor. _____ ____ . . . . . . 2,008,618 43,229 1,346,103 6,702,406 760,581 5,079,839 54,152 2,035,159 8,116,373 351,271 504,872 3,629 149,429 786,187 66,015 2 ,0 1 4,68 4 27,639 878,129 3 ,6 2 8,48 4 171,641 29,176 1,122 8,279 413,671 2,500 9,637,189 129,771 4,417,099 19,647,121 1,352,008 Trempealeau. . . . . _______ __________ . . . Vernon__ __ . _ . _____ ____ ____ __ _____ ____ Vilas. . . . . __ __ . . . . . . _____ _____ Walworth . _ . . . _ . _ . . . . ___ Washburn 1,716,153 1,519,636 69,416 2,004,612 203,210 1,790,413 1,482,337 12,610 3.411.731 394,523 209,922 134,474 11,799 302,207 30,202 955,668 564,468 51,266 931,984 169,251 10,487 7,689 130 61,485 1,107 4 ,6 8 2,64 3 3 ,7 0 8,60 4 145,221 6,712,019 798,293 Washington . . . _ _ Waukesha . . . . _ _ _ W aupaca. . . . . . . . . . . Waushara . Winnebago . . . . 1,439,158 2,319,340 1,631,082 999,409 2,136,205 2,133,937 1,887,301 2,598,976 1,183,982 3.860.407 126,143 228.984 139,921 60,256 340.984 983,681 910.667 866,403 354,679 1,786,941 24,837 8,230 26,013 1,722 59,826 4,7 0 7,75 6 5,354,522 5,262,395 2,6 0 0,04 8 8,1 8 4,36 3 567,194 249,515 50,435 167,982 1 ,0 0 0 1,036,126 M anitow oc. ______ ____ __ . M arathon. _______ ____ __ _____ _ _ . . Marinette . _____ __ _ Marquette__ ____ ___. . . Milwaukee. _________ __ __ . . . . W o od . ._ _ . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis . _____ _ . . . . . . . . . . . . . . . __ __ . . . . . . . . . . . _______ ________ _______ ____ __ REPORT OF THE COMMISSIONER OF BANKING K e w a u n e e ._________ __ . . _ La Crosse___ _____ Lafayette. . ______ Langlade _____ __ L incoln. _ __ __ to ABSTRACT OF REPORTS OF STATE AND MUTUAL SAVINGS BANKS AND TRUST COMPANIES OF WISCONSIN ON DECEMBER 31, 1935 BY COUNTIES Other Liabilities Deposits Income Debentures Number of Banks Brown---------------------------------------------------------------------------------------- 20,424 135,000 270,340 30,580 1,120,218 435,000 414,800 715,539 2,825,477 254,177 10,267,978 11,708 2 i 10 2 14 Clark__________________________________________________________ 213,000 52,000 345,588 320,500 358,676 60,718 8,106 54,164 89.377 30,162 127,000 10,000 220,000 150,000 188,000 2,436,310 232,731 2,737,538 3,844,773 4,014,904 34 425 1,283 891 758 6 1 10 6 9 446,000 227,000 1,504,366 757,000 130,000 116,949 76.078 381,867 117,045 27,784 245,000 215,000 1,005,000 335,000 20,000 5,111,945 3,128.331 11,761,021 7,124,344 2,106,472 22,363 1.040 1,191.067 5,800 11 6 27 17 2 252,733 249,000 84,000 26,000 371,500 21,534 69.821 5.921 5.921 80,200 77,500 180,000 30.000 25,000 150,000 1,894,490 2,100.635 922,867 208,072 3,390,873 1,079 37 1 6 5 2 1 11 58,000 519,452 730,432 351,000 248,000 20,553 101.210 165,670 90,079 51,769 50,000 290,000 75,000 106,500 115,000 377,328 6,576,035 6.164,321 2,850,350 3,786,792 117 146 1,793 8,550 2 14 9 6 6 75,000 212,500 1,040,725 310,000 117,500 10,055 39,284 185,054 75,924 46,644 40,000 275,000 262,000 105,000 12,500 635,469 2,458,953 8,815,604 2,731,012 398,987 1,240 897 186,651 $ Fond du Lac .... ........................ Tron K en osh a ., . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .. . . . . . $ 3,029 9,423 47,333 2,723 264,951 $ 10,000 75,000 187,500 $ $ 279 _ 1 2 14 7 2 REPORT OF THE COMMISSIONER OF BANKING Undivided Profits Capital and Surplus County o 80,890 70,572 29.678 14.816 38,581 245,000 235,000 72,500 55,000 115,000 4,631,430 4,776,472 2,417,528 1,841,612 4,118,252 1.569 115,249 1.551 6 6 6 2 4 Manitowoc M arathon. Marinette . Marquette. Milwaukee. 1,574,500 958,500 248,565 110,000 7,308,959 201,417 304,538 23,576 20,287 3,320,776 240,000 290,000 67,500 80.000 4,1 7 0,00 0 10,692,659 9,990,072 1,873,149 1,016,270 70,752,081 161,251 192,637 2,938 6,9 5 2,67 7 16 11 6 3 29 M onroe___ O conto___ Oneida____ Outagamie. Ozaukee__ 375,750 135.000 199.000 886,300 392,005 73,519 25,356 21,450 188,240 120,185 155,000 65.000 132,500 225.000 166,000 4.158.600 1,034,215 1,056,140 7,132,039 3,702,020 107 1 10,500 80,196 79 8 3 4 12 5 Pepin _ _ Pierce. . P olk__ Portage Price__ 55,000 150,700 225.000 50,000 180,000 185,000 90,000 35,000 504,350 1,892,661 1,910.046 1,110,217 628,071 450 2,564 1.000 1 5 7 6 3 101,775 2,502 37,468 36,811 27,459 6,696 R a cin e.. Richland R ock ___ R usk___ St. Croix 804,000 258,900 1,314,500 53,500 256,300 201,347 33,577 317,103 21,382 20,605 285,500 85,245 545,000 45,000 122,200 9,086,877 2,559,507 13,514,179 769,322 1,769,742 41,851 46 20,127 10 6 12 2 8 Sauk______ Sawyer___ Shawano__ Sheboygan Taylor____ 515,918 11,200 423,500 1,679,000 663,000 200,000 637,000 7,500 8,396,615 114,190 3,683,388 16,827,397 1,185,101 1,407 200 18,148 198.414 73 11 1 11 16 3 2 12 .000 120,000 60,249 4,181 92,063 305,310 39,334 Trempealeau Vernon______ Vilas________ W alworth___ Washburn__ 451,250 280,000 27.500 539,000 67.500 94,186 53,361 311 161,819 7,192 136,000 245,000 345,000 20,000 4,001,207 3.095,491 117,410 5,604,642 703,598 Washington W aukesha.. W aupaca__ Waushara. . W innebago. 410,800 418.300 417,600 255,500 683.300 73,829 80,386 126.692 55,908 135,689 122,500 320,000 280,000 195,000 267,500 W ood. 114,500 7,293 37,000 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 11,820 61,558 3 10 8 1 11 3 4,098,574 4,529,460 4,437,539 2,093,608 6,906,542 2,053 6.376 564 32 191,332 10 11 9 6 7 877,257 76 4 34,752 REPORT OF THE COMMISSIONER OF BANKING 530.000 485.000 196,500 62,000 452.000 Kewaunee La Crosse. Lafayette . Langlade.. Lincoln___ 22 REPORT OF THE COMMISSIONER OF BANKING ABSTRACT OF REPORT OF STATE AND M UTUAL SAYINGS BANKS AND TRUST COMPANIES OF WISCONSIN A T THE CLOSE OF BUSINESS DECEMBER 31, 1935 Number of Banks. State Banks Trust Companies 499 11 RESOU RCES Loans and discounts, in cluding rediscounts, if £jny---------------------------- $123,757,414.52 26,423.65 Overdrafts______________ Drafts paid under letters 46,713.61 of credit______________ 69,731,340.21 United States Securities Stock in Federal Reserve 218,600.00 Bank_________________ Other stocks and se 1,1 9 8,24 6 .3 7 curities_______________ 8 9,580,383.78 Other bonds____________ Banking house, furniture 9 ,6 7 4,76 6 .7 0 and fixtures________ ... 5,04 2,43 6 .0 4 Other real estate owned __ 616,533.22 Due from other banks___ Due from approved re 56,852,945.92 serve banks__________ Due from Federal Re 10,123,618.27 serve B ank___________ 22,677.81 Gold coin and certificates 770,399.27 Silver coin ______________ U. S. and National Cur 8,0 4 0,92 5 .9 6 ren cy______________ _ 225,642.36 Nickels and cents_______ Exchange for C. H . and checks on banks in 2,1 1 5,41 7 .6 5 same place--------------Checks on other banks in 1,139,597.53 process of collection__ 170,832.40 Cash items--------------------862,630.41 Other assets____________ 678.34 Expense account-----------T otal______________ $380,218,224.02 L IA B IL IT IE S Capital Stock paid in------ $ 26,210,500.00 15,741,945.00 Incom e debentures--------5,6 2 7,41 8 .3 2 Surplus fund____________ 8 ,2 77,019.84 Undivided profits __-------7 ,3 63,159.10 Due to banks deposits__ 84,137.89 Dividends unpaid----------Individual deposits sub 113,141,845.36 ject to check__________ Demand certificates of 2,0 1 7,55 0 .2 1 deposit_______________ 513,071.38 Certified checks_________ 2,75 3,63 7 .5 6 Cashiers checks-------------1,195,304.62 United States deposits— 3,9 8 1,48 4 .0 6 Postal savings---------------54,931,470.17 Time certif. of deposit___ 137,549,750.76 Savings deposits------------L. of c. and traveler’s checks sold for cash and outstanding--------44,360.66 Notes and bills redis 34,752.00 counted______________ Bills pay., inc. oblgts. for money borrowed other 43,211.79 than redis--------- v-------Incom e debenture sink 82,381.31 ing fund reserve______ 231,185.89 Other liabilities_________ Debentures_____________ Special__________________ Due as exr., adm., guard., receiver, trustee, as 390,549.55 signee, etc------------------Interim certificates_____ Contingent Fund in 3 ,4 8 8.55 Stabilized Banks______ T otal______________ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $380,218,224.02 $ 1 ,8 92,391.64 Mutual Savings Banks 5 $ 876,948.78 712,254.89 515 $127,984,560.93 2fi 422 fifi 4fi 712 fi1 71,320 ! 543.88 2 ,5 0 0.00 221,100.00 109,379.89 1 ,374,996.04 812,876.23 1 ,307,626.26 91,768,256.05 102,842.70 638,655.54 144,532.74 93,653.77 50,922.78 106,049.03 9 ,8 7 1,26 3 .1 7 5 ,732,014.36 867,114.99 8 ,6 4 3,52 3 .7 0 516,881.96 66,013,351.58 10.00 235.45 225.00 2 ,947.95 10 122 fi18 27 22Í912.81 773,582.67 21,028.00 68.97 51,522.00 486.51 8,1 1 3,47 5 .9 6 226,197.84 2 ,235.13 9 ,717.60 2 ,1 2 7,37 0 .3 8 21,006.88 254,462.65 401.00 248.46 11,853.96 1 ,1 39,998.53 192,087.74 1 ,1 28,947.02 678.34 $ 4,70 7,29 5 .9 1 $399,007,838.04 $ 320,000.00 131,593.02 73,190.19 $ 14,082,318.11 $ 2 ,3 3 4,75 4 .7 7 Combined Totals 1 ,735,000.00 200,000.00 671,218.47 452,611.13 106.00 $ 27,945,500.00 16,261,945.00 6,430,229.81 8,80 2,82 1 .1 6 7 2fi2 159 10 84[243!89 112 141 845 2fi 874,470.22 1 ,430,336.35 4,18 1,82 6 .4 8 2 017 550 21 512 071 28 2 752 fi27 5fi 1 195 204 fi2 2 981 484 Ofi 55 ! 805 ! 9 4 0 !39 143,161,913.59 44 2fi0 fifi 42 211 79 386.22 300.00 18,111.42 82,767.53 249,597.31 3 ,3 43,169.10 5,35 7,29 5 .4 2 5,7 4 7,84 4 .9 7 3,4 8 8.55 $ 14,082,318.11 5 4 ,7 0 7,29 5 .9 1 $399,007,838.04 REPORT OF THE COMMISSIONER OF BANKING 23 ABSTRACT OF THE THREE REPORTS OF STATE AND MUTUAL SAYINGS BANKS AND TRUST COMPANIES OF WISCONSIN DURING THE YEAR 1935 N um ber of banks. June 29, 1935 N ov. 1, 1935 522 518 Dec. 31, 1935 515 RESOURCES Loans and Discounts, including re discounts if any---------------------------- $129,244,329.25 Overdrafts_______ _____________ ____ 41,334.96 Drafts paid under letters of credit___ 22,506.79 United States Securities____________ 66,675,551.25 Stock in Federal Reserve Bank______ 2 11 , 000.68 Other stocks and securities__________ 1,807,950.92 Other bonds______ - ________________ 80,716,995.22 Banking house, furniture and fixtures 9 ,911,097.36 5 ,3 o7 ,3 60 .4 9 Other real estate owned_____________ Due from other b a n k s ._____________ 633,444.79 Due from approved reserve banks___ 65,164,624.84 Due from Federal Reserve B ank____ 10,791,755.75 Gold coin and certificates___________ 21,118.64 Silver coin __________________________ 632,462.72 U. S. and National Currency________ 7,63 2,02 2 .2 0 Nickels and cents___________________ 157,920.38 Exchange for C. H. and checks on 1 ,543,901.17 banks in same place______________ Checks on other banks in process of collection_____________ ___________ 769,522.05 241.446.81 Cash item s_________________________ Other assets________________________ 933.435.81 76,668.49 Expense account___________________ $128,002,402.84 131,301.07 5 ,375.31 69,331,901.33 203,600.00 1 ,520,097.75 90,293,396.90 9 ,9 63,158.56 5 ,5 96,859.89 961,611.94 61,692,176.50 10,228,084.56 22,965.24 760.535.92 6 ,6 38,548.54 206.794.41 $127,984,560.93 26,423.65 46,713.61 7 1,320,543.88 221, 100.00 1 ,307,626.26 9 1,768,256.05 9,87 1,26 3 .1 7 5,732,014.36 867,114.99 66,013,351.58 1 0,123,618.27 22,912.81 773,582.67 8 ,1 13,475.96 226,197.84 1 ,678,913.08 2,1 2 7,37 0 .3 8 937.862.92 301.514.41 1 ,2 79,558.35 38,397.98 1,139,998.53 192,087.74 1,128,947.02 678.34 $389,795,057.50 $399,007,838.04 Capital Stock paid in------------------------ $ 2 8,200,000.00 Income debentures--------------------------16,209,000.00 6 ,4 6 5,89 8 .5 0 Surplus fu n d ___________ ,___________ Undivided profits___________________ 8,86 0,08 5 .2 4 Due to banks deposits______________ 7 ,1 58.696.52 Dividends unpaid____ _____________ 30,273.06 Individual deposits subject to check 110,708,547.88 Demand certificates of deposit______ 2 ,259,423.10 Certified checks____________________ 263,335.48 Cashiers checks-------------------------------2,50 4,42 0 .7 5 United States deposits______________ 572,189.91 Postal savings_________ ;____________ 3 ,9 30,249.16 Time certificate of d e p o s it_________ 59,657,251.19 Savings deposits------------------------------- 129,185,037.70 L. of c. and traveler’s checks sold for cash and outstanding_____________ 21,981.68 Notes and bills rediscounted------------Bills pay., inc. oblgts. for money borrowed other than redis_______ _ 134,187.31 Incom e debenture sinking fund re36,195.33 serve___ _______________________ Other liabilities_________ „•___ ____ 320,570.92 Debentures______________________ 250.00 Special___________________________ 1 ,882,253.61 Due as exr., adm., guard., receiver, 4,13 2,71 5 .5 5 trustee, assignee, etc___________ Interim certificates. Contingent Fund in Stabilized banks 33,887.68 $ 27,965,000.00 16,311,145.00 6 ,2 73,955.00 10.369.597.66 7,315,461.39 1,564.04 110,803,891.03 2 ,0 24,888.69 244,461.91 2,4 8 7,78 5 .1 4 984,677.06 3,9 5 3,78 1 .4 7 57.668.380.66 137,108,416.37 $ 27,945,500.00 16,261,945.00 6 ,430,229.81 8,80 2,82 1 .1 6 7 ,3 63,159.10 84,243.89 113,141,845.36 2 ,017,550.21 513,071.38 2 ,7 53,637.56 1,195,304.62 3 ,9 81,484.06 55,805,940.39 143,161,913.59 4,8 0 0.00 44,360.66 34,752.00 93,297.82 43,211.79 56,301.94 331,994.17 250.00 993,312.23 82,767.53 249,597.31 3,343,1607 iÖ 4,7 9 6,47 0 .6 8 5 ,7 4 7,84 4 .9 7 5 ,625.24 3 ,488.55 T otal__________________________ $382,566,450.57 $389,795,057.50 $399,007,838.04 T otal__________________________ $382,566,450.57 L IA B IL IT IE S https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 24 REPORT OF THE COMMISSIONER OF BANKING First National Bank_______________ $ 8,162,236 The Union National Bank o f______ 1,572,980 First National Bank______________ 506,882 Bangor------------Baraboo_______ B a r r o n ----------- First National Bank_______________ The First National Bank of________ First National Bank o f___________ Bayfield----------Beaver Dam — Beaver Dam — Banking House, Furniture and Fixtures and Other Real Estate Total Footings A ppleton--------Ashland----------Baldwin----------- Loans, Discounts and Name of Bank Location t Overdrafts CONDITION OF INDIVIDUAL NATIONAL BANKS $ 1,730,025 175,661 262,237 $ 135,637 30,000 7,002 654,337 694,437 537,780 129,462 108,222 179,704 24,650 First National B ank______________ American National Bank_________ The Old National Bank___________ 230,459 2,004,493 1,998,517 115.363 198,551 263,424 15,837 33,200 22,230 Beloit_________ Berlin_____- — Blan chard ville The Second National Bank_______ First National Bank______________ First National B ank______________ 2,563,606 1,974,973 404,449 377,297 314,540 85,883 105,691 58,502 12,000 Burlington------Chippewa Falls Chippewa Falls The Burlington National Bank___ The First National Bank of_______ Lumbermen’s National Bank_____ 902,423 1,008,969 2,146,817 252,760 264,364 480,982 14,195 55,568 70,000 Clintonville-----Columbus-------Crandon______ The Clintonville National Bank__ First National Bank______________ Crandon National Bank__________ 760,206 2,172,734 358,292 118,547 206,478 211,6o5 373 50,183 17,321 Darlington------Darlington------Dodge ville_____ Citizens National Bank___________ First National Bank at Darlington First National Bank______________ 1,655,518 624,706 1,012,206 322,274 101,352 505,142 94,552 Durand-----------Eagle River----Eau Claire____ Security National Bank___________ First National Bank______________ American National Bank & Trust C o_____________________ 530,519 573,164 161,265 120,958 19,000 21,400 2,114,473 623,362 3,876 Eau Claire------Edgerton______ Elkhorn_______ Union National Bank_____________ The National Bank of_____________ The First National Bank of_______ 6,175,665 440,828 1.487,794 2,159,178 136,430 310,687 251,586 13,780 43,907 Fennimore____ Fond du Lac__ Fond du Lac__ The First National Bank in_______ First Fond du Lac National Bank. National Exchange Bank_________ 674,194 7,754,730 2,266,508 160,375 802,978 666,122 19,664 142,441 4,624 Fort Atkinson _ Grantsburg____ Green B ay____ The First National Bank_________ The First National Bank of_______ Kellogg-Citizens National Bank__ 1,526,186 567,687 9,581,726 535,268 132,770 2,530,014 58,500 6,000 188,833 Hartford______ Hayward______ Hudson_______ First National Bank______________ The Peoples National Bank_______ The First National Bank of_______ 882,600 504,662 1,188,219 125,000 158,594 202,358 64,600 18,850 18,000 Janesville______ Janesville______ Kenosha______ The First National Bank of_______ R ock County National Bank______ The Brown National Bank o f_____ 3,060,791 1,577,592 1,216,957 426,278 373,160 340,746 66,150 21,205 53,061 Kenosha______ La Crosse_____ La Crosse_____ The First National Bank of_______ Batavian National Bank__________ The National Bank of____________ 10,146,550 5,329,836 5,903,513 2,462,040 995,190 1,416,864 378,163 295,632 111,000 Ladysmith____ Lake Geneva _ _ M adison______ The Pioneer National Bank o f____ The First National Bank of_______ The First National Bank of_______ 521,507 1,342,281 22,387,248 138,787 330,864 3,390,366 39,392 71,723 917,781 Maiden R ock - _ M anitow oc____ M anitowoc____ The First National Bank_________ First National Bank in M anitowoc Manitowoc National Bank________ 180,222 3,060,920 1,341,590 105,996 714,301 619,266 6,856 61,657 62,000 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 13,790 43,908 REPORT OF THE COMMISSIONER OF BANKING 25 $ 18,145 319 7,098 $ 4,148,699 974,787 156,780 $ 2,129,730 392,213 73,765 Î 7,108,106 1.435,497 437,668 $ 1,034,648 137,483 65,915 ? Other Liabilities 1 Capital, Surplus and Undivided Profits O Deposits Q J m < S Cash on Hand and Due from Banks U. S. Securities Stock in Federal Reserve Bank, Other Stocks and Securities, Other Bonds IN WISCONSIN ON DECEMBER 31, 1935 19,482 3,299 984 8,693 848 436,717 457,489 230,847 73,384 120,033 101,731 566,717 624,408 476,604 87,620 70,026 61,176 3 1 2,844 53,526 1,599,574 1,428,777 45,733 173,167 281,242 189,655 1,796,762 1,818,407 40,804 207,698 177,110 33 3,000 4,005 15,650 444 1,426,097 1,045,782 220,822 650,516 540,499 85,300 2,421,947 1,771,698 370,159 141,659 192,992 34,290 10,283 1,254 4,038 22,346 431,062 241,773 1,121,287 203,152 443,226 452,202 778,411 834,209 1,875,559 124,012 174.160 265,999 600 5,259 678 3,053 361,390 1,675,375 66,158 279,218 237,645 63,178 695,995 1,975,808 284,041 64,211 196,926 74,251 2,365 1,448 5,660 898,152 398,437 266,758 388,819 123,469 140,094 1,522,403 559,999 875,628 133,115 64,707 135,583 995 2,027 952 287,347 352,272 60,830 77,582 465,282 459,234 65,237 87,943 25,987 4,283 579,360 903,592 1,915,722 198,751 43,845 1,941,637 202,957 797,173 1,779,419 87,661 333,878 5,611,701 371,350 1,322,220 501,935 69,478 155,505 62.029 2,149 715 46,934 13,567 328,412 5,145,344 802,999 165,028 1,617,033 779,196 606,129 7,003,350 1,955,200 67,778 717,492 310,721 287 33,888 587 3,781 6,204 7,333 596,832 341,270 2,359,513 331,805 81,443 4,496,033 1,304,379 494,380 8,811,155 221,582 68,299 726,230 225 5,008 44,341 1,200 7,356 2,094 578,000 215,527 598,400 113,800 104,335 367,367 761,600 445,469 1,072,618 121,000 59,193 115,601 3,931 10,979 1,517 2,010,729 932,099 648,346 553,703 240,149 173,287 2,791,656 1,318,435 991,671 269,135 259,157 224,883 179,201 6,985 26,701 5,289,721 1,594,490 2,190,829 1,837,425 2,437,539 2,158,119 8,809,203 4,524,194 5,330,003 1,284,569 805,642 532,869 40,641 2,725 2,624 402,272 98,630 673,829 8,775,089 241,973 263,241 8,901,740 457,710 1,220,796 20,012,921 63,797 119,718 1,993,927 1 ,767 380,400 354 10,230 1,004 33,428 764,469 367,523 33,588 1,510,263 291,797 149,270 2,613,215 1,151,572 30,952 447,705 187,018 3,000 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 10,069 403 52,778 REPORT OF THE COMMISSIONER OF BANKING 26 Loans, Discounts and Overdrafts Location Name of Bank Total Footings Marinette M arion. _ . The Stephenson National Bank___ First National Bank in _ $ 2,587,268 2,379,816 397,194 Banking House, Furniture and Fixtures and Other Real Estate CONDITION OF INDIVIDUAL NATIONAL BANKS $ 545,111 408,717 199,462 $ 71,865 75,000 15,480 Marshfield__ M ayville _ . Menasha The Citizens National Bank of. The First National Bank in The First National Bank 1,711,800 324,289 1,843,612 397,400 51,649 559,978 20,000 18,558 61,000 Menomonie Milwaukee Milwaukee____ 2,460,444 The First National B a n k .. . _ First Wisconsin National Bank. . 199,399,946 Marine National Exchange B an k .. 35,774,245 615,241 38,633,856 5,190,247 146,952 5,111,799 600,296 M ondovi _ _ M onroe. _ Neenah First National Bank . The First National Bank First National Bank 463,576 2,418,596 3,817,925 198,238 156,059 831,188 6,646 66,034 1 Neenah Neillsville Nelson The N at’l Manufacturers Bank of The First National Bank at _ First National Bank 2,685,009 452,919 196,084 550,307 118,862 41,108 120,000 25,448 8,966 New Richmond Niagara Oconom owoc __ The First N ational Bank _ First National Bank Oconom owoc National Bank 402,001 422,012 1,069,014 143,817 147,103 253,721 10,500 10,165 44,000 Oconto _ Oshkosh _ Oshkosh First National B ank. _ . First National Bank in The Oshkosh National Bank. __ 697,556 7,579,893 2,424,776 69,647 1,153,765 319,710 8,479 788,181 1 Park Falls The First National Bank 783,298 279,204 502,440 161,214 40,196 121,689 19,533 9,900 14,420 Pt. Washington First National Bank of _ 947,039 2,046,877 728,422 228,530 182,120 143,894 77,408 64,804 26,000 Princeton Racine. Farmers-Merchants N at’l Bank in. First National Bank & Trust Co. of 428,195 586,373 12,211,165 197,614 105,257 2,067,966 2,552 16,315 517,117 1,548,778 273,173 1,258,844 550,303 131,456 331,258 63,847 12,255 72,987 2,742,983 915,859 508,187 610,735 437,269 136,371 105,072 3,000 7,204 1,360,039 780,527 8,228,820 370,482 148,569 2,667,886 1,001 20,440 467,906 .. __ __ . Rhinelander___ The First National Bank Ripon River Falls____ St. Croix Falls First National Bank The First National Bank The First National Bank Sheboygan____ The Security National Bank Stevens Point. Stevens Point. _ First National B ank. Citizens National Bank 631,522 2,671,859 1,708,284 88,419 625,889 328,038 15,230 36,976 71,300 Superior. _ The National Bank of Commerce of 1,324,027 2,349,278 2,888,562 456,351 41,487 198,149 37,200 35,000 43,833 Viroqua First National Bank in „ 1,591,564 221,752 1,054,218 233,608 72,942 90,297 8,300 8,537 34,013 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis _ . REPORT OF THE COMMISSIONER OF BANKING 27 $ 3,474 3,111 1,778 $ 1,210,028 1,450,841 103,481 $ 756,790 442,147 76,993 $ 2,340,861 2,085,195 333,533 $ 243,136 294,080 63,661 Other Liabilities Capital, Surplus and Undivided Profits Deposits Cash on Hand and Due from Banks 1 Other Assets U. S. Securities Stock in Federal Reserve Bank, Other Stocks and Securities, Other Bonds IN WISCONSIN ON DECEMBER 31, 1935— Continued $ 3,271 541 1,600 283 10,099 971,900 197,871 961,043 320,900 55,928 251,492 1,563,400 264,229 1,617,783 146,600 60,053 225,829 29,897 3,778,703 159,806 1,401,482 92,562,022 14,932,904 266,872 59,313,566 14,890,992 2,138,537 179,982,056 32,069,478 321,907 18,696,851 3,413,066 721,039 291,701 4,002 20,024 163,542 1,647,800 2,286,478 90,948 528,679 700,258 375,535 2,057,233 3,288,418 88,041 352,097 499,938 9,266 29,569 7,361 207 1,455,642 168,366 53,253 551,699 140,243 92,560 2,421,723 387,555 146,116 255,925 64,557 49,968 7,361 807 4,527 5,687 1,336 170,895 216,583 453,442 72,262 42,474 316,515 337,438 371,711 960,056 59,514 49,556 108,914 5,049 745 44 897 111,200 3,264 412,227 4,037,192 1,680,084 206,306 1,489,555 421,717 631,792 6,592,705 2,122,617 65,764 948,196 294,584 38,992 7,575 1,042 601 466 468,068 156,202 278,034 133,441 72,305 87,831 700,521 248,795 440,871 71,658 30,409 61,569 11,119 880 13,546 499.198 1,346,411 422,378 141,023 439,996 136,150 789,110 1,854,562 624,777 157,924 179,000 103,645 5 13,315 4,927 467 70,631 168,543 373,046 7,454,518 54,559 91,288 2,100,933 356,815 514,375 10,532,289 69,588 71,998 1,581,277 97,599 429 12,740 733,786 83,359 628,802 200,842 45,674 213,057 1,341,123 218,789 1,080,299 207,655 54,174 177,725 210 820 1,671,929 336,086 114,401 355,247 139,504 250,211 2,366,432 826,403 473,677 376,551 86,686 34,510 2,770 33,328 768,741 394,007 3,094,463 217,991 217,511 1,965,237 1,237,848 683,977 7,466,920 119,969 96,550 720,166 8,874 4,966 7,304 388,302 1,541,323 1,049,652 130,697 46^,705 251,990 528,872 2,366,832 1,545,889 101,466 305,027 162,395 1,184 3,471 8,446 3,998 547,220 679,505 1,693,682 279,785 1,584,840 948,900 1,186,318 1,982,350 2,662,688 135.209 356,850 225,874 2,500 10,078 13,302 245 959 817,973 82,845 717,495 518,381 57,183 211,454 1,336,962 157,208 985,656 254,298 63,544 68,562 304 1,000 1,824 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1,800 7 1,792 2,222 41,734 28 REPORT OF THE COMMISSIONER OF BANKING Loans, Discounts and Overdrafts Name of Bank Total Footings Location 200,873 326,105 150,798 $ 14,000 48,214 50,000 The First National Bank Merchants National Bank ____ Wisconsin National Bank in_ . Waukesha Waukesha National B ank___ 8,512,196 594.547 1,303,685 1,753,661 136,693 296,795 318,493 25,001 51,000 Wauwatosa _ _ West Bend Wis, Rapids___ The First National Bank in__ ___ The First National Bank of The First National Bank _ _ 1,559,894 2,764,775 2,849,091 544,568 727,689 664,529 25,093 61,472 139,300 Wis. Rapids___ W ood County National Bank_____ 1,992,967 660,031 64,350 _ 572,451 1,592,344 782,697 $ Washburn Watertown W atertown____ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ j Banking House, Furniture and Fixtures j and Other Real Estate CONDITION OF INDIVIDUAL NATIONAL BANKS REPORT OF THE COMMISSIONER OF BANKING 29 $ .$ 2,149 7,415 31,059 248,620 901,386 457,202 $ 108,958 314,490 117,282 $ 512,296 1,273,706 637,812 $ 60,155 318,605 138,483 Other Liabilities Capital, Surplus and Undivided Profits Deposits Cash on Hand and Due from Banks U. S. Securities Stock in Federal Reserve Bank, Other Stocks and Securities, Other Bonds 1 Other Assets IN WISCONSIN ON DECEMBER 31, 1935— Continued $ 33 6,402 1,793 4,826,333 312,427 655,327 1,582,650 120,426 298,770 7,745,329 525,495 1,178,731 766,867 68,052 124,954 1,000 7,527 21,714 29,943 430,547 1,413,660 1,338,878 552,159 540,240 676.441 1,432,249 2,554,533 2,583,292 124.699 209,797 265.799 2,946 445 14,286 678,137 576,163 1,831,758 161,209 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis REPORT OF THE COMMISSIONER OF BANKING 30 CONDITION OF INDIVIDUAL STATE BANKS T} e a Location Name of Bank 03 ¡S 1X1«OSrt Q) < u OJ +» O .5 ^ ^w p et « a i " P5 Ableman A d a m s.. A dell___ Farmers State B ank_____ ____ $ Adams County State B ank-----Adell State B ank_____________ 157,392 297,350 324,474 62,010 35,477 102,072 7,076 4,150 10,376 A lb a n y,. A lgom a, Allen ton. Bank of A lbany________ Community State Bank Allenton State B ank___ 544,129 949,572 369,934 119,880 217,807 149,193 32,264 __________ 5,600 5,361 6,186 48 A lm a__ Almond Amery _ The American B ank__________ The Portage County Bank____ Union State Bank------------------- 815,320 285,935 395.274 211,371 31,333 213,291 32,800 2,800 30,380 1,094 Amherst_______ Amherst Jet___ A ntigo________ The International Bank o f ____ The Security State Bank--------Fidelity Savings Bank------------- 223,891 135,582 1,871,727 59,375 21,526 495,493 25,000 12.700 19,681 173 331 5,947 Appleton Appleton A rca d ia .. The Appleton State Bank Outagamie County Bank. State Bank of Arcadia__ 2,792,412 729,732 678,477 1,125,318 188,888 204,840 110,000 23,300 15,950 24,946 __________ 2,360 Arena___ A rgyle---Arlington Arena State Bank----State Bank of Argyle _ Arlington State Bank. 72,166 510,346 135,028 28,034 174,024 43,323 1,600 19,600 1,550 1,272 92 Ashippun. Ashland. _ Athens__ The Bank of Ashippun Northern State B an k .. The Bank of Athens__ 135,903 934,962 599,033 54,521 342,539 322,319 11,950 32,300 21,576 335 Auburndale___ Augusta_______ Baldwin_______ Auburndale State Bank Peoples State B ank____ Security State Bank----- 319,964 470,659 381,171 189,726 167,996 99,696 7,000 27,100 13,000 651 __________ 896 Bancroft B an gor.. B araboo. Bancroft State Bank Farmers State BankBank of B araboo___ 87,792 263,749 2,713,989 57,600 91,287 410,228 9,075 15,000 133,997 400 23,349 Barneveld Barron___ Barron___ Barneveld State B ank________ Bank of Barron___________ ___ The Normanna Savings Bank _ 1,058,379 419,022 333,652 338,165 188,264 162,825 10,345 45,294 33,670 5,676 5,913 3,005 Barton________ Bay C ity ---------Beaver D a m ___ Barton State B an k .. Bay C ity State Bank Farmers State Bank- 158 ,846 207,833 1,013,955 72,325 92,310 348,716 23,300 6,992 69,950 665 5,812 Belleville Belleville B eloit__ Belleville State Bank. Citizens State Bank__ The Beloit State Bank 298,563 582,082 4,742,073 98,865 95,079 1,828,471 6,250 16,598 141,925 __________ 7,274 61,462 B en ton .. Berlin . . . Big Falls The Benton State Bank The Berlin State B a n k .. Big Falls State Bank__ 235,934 734,317 93,360 67,895 183,989 42,166 6,512 45,777 9,505 292 7,569 Birchw ood____ Birnamwood__ Black C re e k __ Citizens State Bank____ _ The Bank of Birnamwood. Bank of Black Creek_____ 136,652 313,975 453,167 35,320 112,892 197,264 6,850 18,825 8,312 148 488 __________ Black E a r th __ Blk, R iv. Falls _ Blair__________ The Black Earth State Bank .. Jackson County B ank________ Union Bank of Blair__________ 293,833 2,230,208 490,137 51,010 519,638 172,510 8,000 26,230 19,000 2,432 9,429 720 Bloom er_______ Bloom ington__ Bloom ington__ Peoples State B ank___________ The Bloomington State B a n k .. The Woodhouse& Bartley Bank 1,095,913 285,353 420,660 297,911 50,823 38,534 64,763 4,050 5,878 974 648 4,093 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ .. 130 ’ "§57 20 REPORT OF THE COMMISSIONER OF BANKING 31 $ 60,318 134,964 169,531 $ 27,858 122,759 42,495 $ 123,138 284,950 280,706 $ 24,254 12,400 31,768 $ 10,000 Other Liabilities Bills Payable and Rediscounts Incom e Debentures Capital, Surplus and Undivided Profits Deposits Cash on Hand and Due from Banks |U. S. Securities, Stock j in Federal Reserve Bank, j Other Stocks and Securities, Other Bonds IN WISCONSIN ON DECEMBER 31, 1935 $____________ $ 12,000 279,535 527,352 136,188 107,089 198,227 78,905 474,607 819,405 324,392 54,522 130,167 30,542 15,000 493,337 220,826 97,367 76,718 30,976 53,279 695,620 242,179 273,015 69,667 43,756 52,259 70,000 110,862 80,882 894,412 28,481 20,143 456,194 157,344 88,009 1,758,795 66,276 32,573 62,932 15,000 50,000 789,435 334,711 272,021 742,713 182,833 183,306 2,530,981 639,070 545,784 261,431 62,162 112,693 25,000 20,000 26,320 140,097 52,632 16,212 175,353 37,431 59,885 429,778 116,559 12,281 30,568 18,469 31,660 465,863 99,723 37,772 94,260 155,080 118,157 715,539 531,866 16,805 144,423 52,167 88,116 192,827 119,080 34,471 82,736 148,499 287,442 414,175 340,341 20,472 36,484 40,675 12,000 20,000 10,678 115,198 1,664,942 10,419 41,864 481,473 65,357 210,703 2,399,506 12,435 28,046 114,483 10,000 25,000 200,000 383,080 136,087 57,644 321,113 43,464 76,508 1,008,329 359,943 277,160 50,000 59,052 38,992 17,500 45,752 79,491 461,399 17,469 28,375 128,078 118,477 164,475 850,494 25,369 18,358 113,461 15,000 25,000 50,000 149,090 413,388 1,463,259 44,358 49,743 1,246,956 249,857 514,174 4,103,162 43,706 37,908 438,880 5,000 30,000 200,000 31 90,988 357,099 30,099 70,247 139,883 11,590 194,979 632,854 80,369 40,954 69,833 12,991 30,000 1 1,630 59,378 93,897 100,742 34,956 87,873 146,849 113,438 262,647 417,897 23,214 51,328 35,270 164,528 933,450 169,916 67,863 741,461 127,991 257,384 1,845,387 434,283 36,449 184,821 30,854 432,848 130,557 270,571 299,417 99,275 101,584 987,229 247,905 376,907 63,684 36,162 43,753 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 15,000 50,000 33 271 3,500 50,000 75,000 15,000 941 50 155 50 27 200,000 25,000 45,000 1,286 REPORT OF THE COMMISSIONER OF BANKING 32 $ Blue R iver. _ Bonduel - __ Blue River State Bank Bonduel State Bank . B oyceville. Bank of Boyceville Brandon . . . The Foster Bank B rill___________ Brill State B a n k ___________ Brillion___ Farmers & Merchants B an k. . Brownsville__ Brownsville State Bank Burlington _ M einhardtBank. .. . 212,035 1,168,314 1,267,516 $ 101,565 342,732 450,247 $ 48,302 31,194 60,600 Other Assets Banking House, 1Furniture and F ix tures and Other Real Estate 1 Name of Bank Total Footings Location Loans, Discounts and Overdrafts CONDITION OF INDIVIDUAL STATE BANKS $ 488 1,522 10,730 329,813 300,809 523,776 55,006 90,294 117,654 21,719 6,350 45,690 127 136 12,332 74,465 424,346 285,007 29,325 110,974 134,824 4,800 11,136 30,301 6 928 1,071 777,091 858,653 113,844 218,275 260,568 56,345 26,962 37,790 6,925 5,176 5,444 187 381,641 397,938 248,743 165,391 134,506 109,217 16,664 19,700 10,531 725 270 1,522,371 1,202,677 209,704 548,037 420,380 103.477 25,471 5,000 2 0 ,000 4,179 4,489 1,200 1,041,207 368,240 466,611 473,970 257,947 183,520 19,728 14,700 18,136 C am brid ge.. _ Cambridge . . . Bank of Cam bridge. _ The InternationalBank o f . _ 343,018 151,124 357,809 204,936 55,240 116,200 5,000 2,977 43,983 1,193 406 Campbellsport The First State B a n k .. 450,592 84,718 179,126 61,175 63,414 68,239 24,668 6,200 7,186 1,026 149 175,300 674,221 455,342 88,465 262,664 151,605 19,050 18,525 67,750 38 233,212 120,160 73,149 121,538 18,624 29,655 8,211 6,090 2,500 233 312,059 157,120 974,429 106,103 74,649 352,953 6,675 12,131 55,035 511 255 542,930 711,884 492,114 245,733 442,952 95,099 5,000 37,446 11,700 1,546 4,000 ___ Chippewa Falls C layton_______ Northwestern State Bank _. . Citizens S täte B ank 435,858 859,407 151,852 129,516 227,605 57,996 24,932 36,439 9,350 602 1 9 Clinton Citizens State Bank 175,704 434,274 291,315 72,634 176,009 111,734 4,000 35,250 13,700 1,011 2,831 1 ,814,597 222,236 214,761 399,023 31,517 9 i;8 1 3 17,978 3,000 23,800 __ _ ___ Clinton ville. Dairyman’s State B an k.......... Cobb ... Cobb State B ank------ -------------- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 2,415 - ........... - REPORT OF THE COMMISSIONER OF BANKING 33 $ 19,800 571,904 555,805 Other Liabilities Bills Payable and Rediscounts Incom e Debentures Capital, Surplus and Undivided Profits Deposits Cash on Hand and Due from Banks l 1 U. S. Securities, Stock in Federal Reserve Bank, Other Stocks and Securities, Other Bonds IN WISCONSIN ON DECEMBER 31, 1935— Continued $ 41,880 220,962 190,134 $ 181,688 965,304 1,123,670 $ 30,015 152,865 68,846 $ $ 50,000 75,000 332 145 256,142 262,469 455,520 43,671 27,832 68,256 30.000 1 0 ,0 0 0 508 20,728 216,265 85,969 19,606 85,043 33,842 58,566 350,695 207,498 10,649 43,651 53,506 5,000 30,000 25,000 250 430,034 461,980 31,291 96,644 92,871 19,096 599,551 773,946 87,203 137,523 84,707 16,641 40,000 17 136,261 138,272 81,890 63,325 104,735 46,835 329,470 356,538 216,897 32,171 41,400 16,800 2 0 ,0 0 0 1 5 ,0 0 0 46 706,397 559,194 54,507 238,287 213,614 30,520 1,342,497 1,092,820 184.101 105,568 109,843 15,603 62,500 11,806 14 407,764 24,992 144,099 139,745 70,601 120,856 915,574 309,994 420,431 80,633 13,231 46,180 45,000 45,000 80,930 50,529 102,643 50,959 41,972 94,983 304,741 130,355 304,935 38,277 20,330 27,874 25,000 277,367 2,500 76,391 86,356 12,455 27,310 391,279 62,980 132,706 59,020 11,738 21,420 25,000 47,452 325,144 157,355 20,333 67,850 78,632 145,091 597,181 364,782 20,209 57,038 40,560 23,015 57,502 158 80,448 37,711 40,836 199,529 103,133 50,994 33,683 17,027 22,155 82,894 39,412 418,984 115,876 30,673 147,457 269,726 110,926 881,161 32,333 31,192 93,268 15,000 209,598 140,732 300,740 81,053 86,754 84,575 467,600 536,488 416,488 30,330 65,644 45,626 45,000 75,000 30,000 239,493 451,388 36,012 41,315 143,974 48,485 385,996 768,262 130,222 29,862 91,145 21,595 2 0 ,0 0 0 50,399 97,490 55,535 48,671 124,514 107,515 142,789 371,377 233,438 32,915 46,897 37,877 1,097,725 154,947 60,369 297,456 32,772 35,779 1,517,001 190,867 151,741 147,596 21,369 30,020 G O O G https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3 G 3 g g 29,253 39,595 56,780 G 223,708 164,434 291,320 15 439 293 10,000 10,0 0 0 2 0 ,0 0 0 2 50,000 1 0 ,0 0 0 2 $ 34,752 35 15,000 1,0 0 0 2 0 ,0 0 0 150,000 1 0 ,0 0 0 25,000 8 ,0 0 0 34 REPORT OF THE COMMISSIONER OF BANKING $ C olby ._ C olby__ __ 362,721 588,514 425,644 $ 180,126 225,912 124,231 $ 17,882 23,655 17,500 Other Assets Total Footings N am e of Bank Banking House, Furniture and Fix tures aind Other Rea l Estate Location Loans, Discounts and Overdrafts CONDITION OF INDIVIDUAL STATE BANKS $ 923 Coleman____ C olfax___ Collins 247,022 224,334 111,843 40,037 69,966 71,816 12,446 5,000 1,500 985 296 Coloma _ C olom a___ 107,502 902,708 343,774 37,980 306,194 124,067 2,500 279 356 97 Coon V a lle y __ Cottage Grove _ Cross P la in s__ Coon Valley State Bank . Cottage Grove State Bank . State Bank of Cross Plains____ 1,198,811 270,693 290,597 405,409 105,453 155,794 28,225 8,075 5,500 1,659 13,218 Cuba City Cudahy . . Cumberland___ Cuba City State BankCudahy State Bank Northwestern State B ank. 658,638 1,032,816 591,406 249,330 298,859 273,204 2 0 ,0 0 0 47,500 20,860 894 6,303 534 CurtissDale Dallas. . Farmers & Merchants Bank _ Bank of Dallas 259,284 934,248 253,988 64,678 277,438 157,508 7,970 16,450 15,044 4,353 626 Darien _ Deerfield . Deer Park The Farmers State Bank___ Bank of Deerfield 313,134 244,797 238,362 77,155 74,241 77,154 17,492 17,197 13,500 166 2,525 De Forest_____ Delavan . Delavan . . _ De Forest Morrisonville Bank Citizens Bank of Delavan. ... Wisconsin State B ank. . . 335,406 468,548 976,413 148,056 217,652 125,354 4,629 16,960 16,000 596 2,566 3,867 Denmark . Denmark. D eP ere. Bank of W est De Pere _ 708,866 1,242,090 392,221 157,435 474,650 164,438 23,500 48,641 26,715 3,459 3,791 3,178 984,413 345,141 139,854 411,108 171,511 73,722 29,175 12,119 5,850 6,224 1,836,975 299,660 197,194 393,180 88,568 93,606 49,000 6,800 6,836 4,583 472 7 ._ De Pere . De Soto . . Dodge ....... „ Dodgeville. Dorchester__ Dousman . The Dorchester State Bank 290 Drum mond__ Durand Eagle - __ State Bank of Drummond 115,775 611,852 412,470 39,484 261,309 250,224 670 15,100 31,200 391 2,406 753 East T r o y .. E den. . Edgar__ State Bank of East T roy _ 818,939 163,482 479,741 333,116 46,284 195,159 31,755 10,400 18,692 36,088 170 958 807,426 101,701 338,750 231,030 34,201 206,955 24,773 5,398 5,800 874 E d gerton .. Elcho Eldorado Elkhart Lake Elkhorn _ Ellsworth. _ Bank of Elkhart Lake___ ._ State Bank of Elkhorn. ____ Bank of Ellsworth . 337,935 453,263 903,404 131,747 150,136 254,144 13,677 39,250 71,739 285 4,123 9,886 E lm w ood -. E lroy. Embarrass.... First State Bank 309,728 439,333 207,391 122,383 112,469 90,523 8,800 500 15,579 182 652 Embarrass State B ank___ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis . _ 35 REPORT OF THE COMMISSIONER OF BANKING 124,535 194.785 152,905 $ 40,178 143,239 131,008 Capital, Surplus and 1U ndivided Profits Deposits Cash on Hand and Due from Banks U. S. Securities, Stock in Federal Reserve Bank, Other Stocks and Securities, Other Bonds IN WISCONSIN ON DECEMBER 31, 1935— Continued $ 275,950 519,861 385,191 $ 46,771 48,653 40,453 © H 3 Ö 0» Q) Q <D s o o KH tì $ rt S 3 ci 3 U <D -C 4-> O 40,000 20,000 101,453 122,786 25,161 92,101 26.286 13,366 226,435 165,228 85,025 18,087 24,096 26,818 2,500 35,000 58,150 505,811 89,343 8,593 90,347 130,267 87,450 766,755 286,391 20,037 82,661 57,383 50,000 608,156 59,508 69,051 155,362 84,439 60,252 1,064,913 217,566 253,694 83,898 28,127 36,903 50.000 25.000 278,794 608,246 186,441 109,620 71,908 110,367 556,169 897,230 504,254 76,105 135,586 47,152 25,000 153,503 449,420 55,167 33,133 186,587 25,643 225,620 843,685 202,189 15,164 40,554 26,797 18.000 50.000 25.000 171,826 115,247 80,448 46,495 35,587 67,260 271,621 199,817 195,964 41,513 44,980 22,398 20,000 135,151 184,910 765,022 46,974 46,460 66,170 253,898 370,377 836,182 51,508 53,171 80,231 30.000 45.000 50.000 387,922 583,604 152,181 136,550 131,404 45,709 578,129 996,438 311,463 80,737 245,652 55,758 50.000 25.000 331,007 103,966 42,691 206,899 57,545 17,301 843,348 277,193 116,447 90,890 37,948 12,907 50.000 30.000 10.000 1,085,8(41 141,285 74,973 304,371 62,535 21,772 1,642,074 257,847 152,039 119,901 34,313 25,155 75.000 7,500 20.000 49,238 152,273 51,406 25,992 180,764 78,887 93,704 504,350 339,514 22,071 57,502 32,956 50.000 40.000 257,239 78,715 153,588 160,741 27,913 111,344 683,860 138,630 402,100 43,892 24,851 77,607 445,874 36,763 95,809 104,875 25,339 30,186 723,994 82,817 291,099 83,432 13,884 32,651 5,000 15.000 129,929 192,218 432,398 62,297 67,536 135,237 260,687 342,666 805,606 42,194 60,597 34,274 35.000 50.000 50.000 85,502 262,942 77,002 92,861 62,770 24,287 241,142 388,816 162,189 38,586 50,517 30,202 30.000 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T3 Ö <D -Û oS C >> 3 eJ O Ph g £ 'S iS <D WPS / $ 10 15 3,292 1,364 40.000 35.000 15,000 500 9 2 10,000 175 500 56,187 1 34 54 13,524 REPORT OF THE COMMISSIONER OF BANKING 36 $ Evansville Fall R iver_____ F erryville.. _ R';o-Fall River Union Bank. 167,614 640,065 572,129 $ 80,804 164,712 337,562 $ 9,700 14,950 33,334 Other Assets T otal Footings Name of Bank Banking House, Furniture and Fix tures and Other Real Estate Location Loans, Discounts and Overdrafts CONDITION OF INDIVIDUAL STATE BANKS $ 30 266 381.¿87 176,777 264,993 190,417 26,219 39,632 22,373 244,348 256,317 342,245 194,778 63,017 101,579 5,592 14,184 4,551 500,985 492,049 1,053,250 239,477 217,353 76,104 14,728 40,824 6,740 2,993 1,923 2,316 793 71 7,500 222 121 Forest J unction Forest Junction State B ank___ Fort Atkinson Fountain City _ Fort Atkinson Savings Bank First State Bank ... Fox Lake _ . . Francis Creek _ Franksville____ State Bank of Fox Lake . State Bank of Francis Creek . Bank of Franksville _ _____ 527,047 458,671 363,521 293,884 193,558 231,739 13,500 24,278 4,001 State Bank of Fredonia Freedom State Bank _ 267,121 410,431 165,960 114,075 55,365 97,503 10,1 2 2 Fredonia _ Freedom _ . 4,200 6,600 162 239 Friesland Friesland State Bank . . Gays Mills Bank of Gays M ills. . ____ 138,906 965,041 489,204 81,791 402,737 321,629 3,777 82,672 85,975 23 1,431 2,177 382,361 208,648 294,055 152,635 64,990 157,462 6,383 3,500 46,678 756 249,750 566,961 146,664 100,610 315,345 54,570 1,500 77,550 116,314 182,744 231,657 39,444 72,577 30,606 4,000 5,680 5,600 323,537 119,244 363,o97 104,045 45,673 165,988 25,900 7,000 18,835 150,902 303,262 695,274 26,509 152,719 231,011 4,300 15,000 5,200 1,083 2,283,770 1,290,164 1,659,040 628,012 828,215 672,496 6,500 93,128 36,492 33,647 1,817 12,586 1,253,848 292,415 238,837 493,979 134,108 74;567 6,870 19,930 6 ,0 0 0 5,093 2,476 376 Genesee D ep ot. State Bank of Genesee D e p o t .. Genoa C ity ____ Citizens State B ank. . . . . Germantown. . Gillett___ ___ The Germantown State Bank Gillett State Bank Gilmanton . . Glenbeulah____ Gilmanton State Bank The Glenbeulah State B ank__ Glenwood City First State Bank of Glenwood Grafton _ . Grafton State Bank . Grantsburg____ First Bank of Grantsburg. _ Green B a y __ __ Green Bay . Farmers Exchange Bank __ Peoples Trust & Savings Bank _ 2 ,1 0 1 Green B a y _____ The West Side State B ank. Greenleaf. State Bank of Greenleaf. _ . . Green V alley__ Greenwood. _ State Bank of Green V alley___ Farmers & Merchants Bank 150,716 437,262 175,778 57,921 166,594 80,448 5,300 8,612 14,898 Hales Corners State Bank o f. H ancock_____ Bank of H ancock. _ 389,707 143,528 287,380 49,000 89,417 140,149 7,600 1,740 14,350 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 360 46 3,770 273 349 262 136 435 REPORT OF THE COMMISSIONER OF BANKING 37 45,079 381,269 127,675 $ 32,001 79,134 73,292 $ 134,013 540,230 508,692 .$ 33,601 99,835 53,437 Other Liabilities Bills Payable and Rediscounts Incom e Debentures Capital, Surplus and Undivided Profits Deposits Cash on Hand and Due from Banks U. S. Securities, Stock in Federal Reserve Bank, Otner Stocks and Securities, Other Bonds IN WISCONSIN ON DECEMBER 31, 1935— Continued $ 10,000 87,206 124,227 109,939 95,942 26.210 93,049 322,859 140,355 208,072 31,109 21,028 31,921 25,000 15,000 25,000 8,762 141,134 177,520 35,216 37,622 58,595 182,453 221,845 288,564 31,888 34,436 33,681 2 0 ,0 0 0 183,743 163,874 834,669 63,037 67,005 133,814 451,851 394,484 975,393 49,134 44,722 77,857 40,000 12,843 83,619 180,333 58,398 133,728 59,709 69,312 442,489 3.94.793 304,222 41,808 33,878 59,299 40.000 30,000 2,750 144,422 291,020 27,701 28,502 59,684 33,917 210,610 362.070 133,481 21,511 48,361 22,479 35,000 29,236 284,310 31,573 24,079 193,891 47,850 112,587 869,879 431,959 11,319 95,162 32,245 15,000 148,431 103.674 56,057 74,866 36,484 33,102 328,389 167,770 215,900 33,972 10.878 53,155 30,000 25,000 110,479 107,288 72,733 37,161 63,008 16,987 194,047 443,891 120,415 29,452 73,070 18,722 25,000 50,000 7,500 50,227 90,785 161,045 22,294 13,702 34,406 93,352 142,367 198,222 15,962 23,450 18,435 7,000 15,000 15,000 142,850 24,827 114,643 50,742 41,744 63,869 284,322 96,586 309,667 39,215 22,658 53,909 91,573 36,461 184,859 28,520 97,999 274,204 129,849 232,731 646,606 11,053 60,106 18,668 10,000 10,000 1,300,219 136.323 495,227 315,392 230,681 442,239 2,018,059 1,041,786 1,493,770 165,711 173,378 165,270 100 ,000 356,550 108,553 121,974 376,519 43,757 34,727 1,090,477 244,216 196,602 162,889 48,196 27,235 57,055 180,869 47,178 30,064 81,187 33,254 117,492 376,653 136,039 18,224 33,276 29,739 290,764 18,111 103,942 42,207 34,260 28,504 338,568 113,508 223,600 51,134 30,020 33,779 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Î 30,000 2,319 394 7 36 10,000 25,000 2 0 ,0 0 0 1,251 27 1,927 21 425 75,000 482 3 15,000 15,000 25,000 2,333 10,000 5 30,000 ------------------ : 1 REPORT OF THE COMMISSIONER OF BANKING 38 141,668 162,314 160,819 Other Assets Total Footings $ if 3,500 30,849 5,200 $ 4,586 654 Hartford _ Hartland Hartford Exchange Bank _ _ .$ Bank of Hartland . Hilbert „ __ H ills b o r o ___ State Bank of Hilbert Farmers State Bank - 355,905 428,420 612,047 91,151 132,313 236,503 22,019 4,899 30,200 Holm en. .. . Horicon Howards Grove Bank of Holmen _ Horicon State Bank. ___ State Bank of Howards Grove 664,116 841,214 920,046 224,486 322,541 443,113 24,500 60,811 30,500 38 4,719 H urley-_ Iron Exchange Bank 760,524 206.321 199,003 196,919 52,139 42,203 30,000 9,150 10,394 5,178 Independence-_ loia State Bank of Independence__ First State Bank of. . 659,751 390,364 349.663 171,216 130,446 172,810 35,321 7,475 15,200 3,129 976 76,954 240,792 3 ,¿6 9 ,4 6 2 39,215 30,679 1,072,433 4,675 8,749 146,289 Janesville____ Merchants & Savings B an k ___ Janesville--- Rock County Savings & Trust C o------- . . . . _ ___ ______ The Farmers & Merchants Bank of _ _ Jefferson County Bank _ Jefferson - . Jefferson _ _ Juneau- Citizens Bank o f. . Kaukauna- . - Farmers & Merchants B ank__ Kendall - _ Kewaskum Kewaunee Farmers & Merchants Bank of. Bank of Kewaskum _ . _ State Bank of Kew aunee.. K iel___________ K iel___________ Citizens State B ank. State Bank of Kiel Kingston - _ Knowles- Kingston-Dalton State Bank Knowles State B a n k ___ La Crosse... State Bank of La Crosse Lake Mills __ .. _ The Greenwood’s State B an k .. L a n c a s t e r .___ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 655,374 424,646 372,850 1 Name of Bank Lc Catlc n Banking House, Furniture and Fix tures and Other Real Estate Loans, Discounts and Overdrafts CONDITION OF INDIVIDUAL STATE BANKS 8 1,684 33,314 1,674,854 395,097 724 15,063 957,597 1,743,336 282,043 607,082 93,177 85,660 14,759 2,567 280.035 227,610 222,698 58,357 57,218 80,600 3,689 582,666 544,537 899,062 171,218 165 ,44o 314,146 19,204 48,480 26,500 57 2,660 42,954 2 4 2 ,0o6 1,135.919 1,400,581 1 42 ,o63 402,920 626,890 8,803 28,792 36,915 500 2,911 828 997,289 527,410 303,705 376,979 179,578 174,255 24,365 34,000 1,535 649 2,581 286,082 238,231 312,013 122.243 65,572 56,338 11,526 6,950 6,250 137 190 1,124,941 2,732,425 640,506 188,068 308,282 148,272 17,252 78,594 10,925 11,715 62,972 3,673 332,503 269,830 1,230,352 117,983 98,169 202,767 16,700 12,552 73,997 17 543 75 645,867 1,054,457 297,135 152,545 125,132 144,990 39,325 42,283 1,063 7,488 9,800 6 ,0 0 0 8 ,0 0 2 REPORT OF THE COMMISSIONER OF BANKING 39 399,707 181,407 158,400 $ 105,913 49,422 48,431 $ 585,524 331,814 331,203 $ 69,850 62,832 41,647 $ Other Liabilities Bills Payable and Rediscounts Incom e Debentures Capital, Surplus and U ndivided Profits Deposits Cash on Hand and Due from Banks 1 |U. S. Securities, Stock |in Federal Reserve Bank, |Other Stocks and Securities, Other Bonds IN WISCONSIN ON DECEMBER 31, 1935— Continued 30,000 165,688 203,298 251,724 77,047 87,902 91,936 315,145 325,735 502,025 25,760 67,659 60,022 15,000 35,000 50,000 286,267 332,993 364,590 128,825 120,150 81,843 565,805 763,976 771,762 63,311 77,238 123,284 25,000 413^333 111,861 122,189 115,094 33,171 24,217 635,468 168,058 146,510 85,056 38,263 32,493 2 0 ,0 0 0 380,812 191,125 104,281 69,273 60,441 57,372 555,604 331,604 286,485 84,147 58,852 35,818 27,452 181,094 1,266,427 5,612 20,270 750,999 60,038 204,595 2,757,630 16,916 36,197 507,332 1,014,561 249,409 1,465,690 175,570 450,624 751,015 116,994 297,012 836,543 1,496,991 71,054 246,345 156,698 120,194 114,893 55,180 44,198 23,516 249,447 207,873 174,418 30,588 19,737 22,280 200,161 239,697 319,464 192,026 88,257 195,998 499,341 428,100 710,895 53,325 116,437 88,167 100 ,0 0 0 55,006 466,907 505,592 35,164 234,389 230,356 205,544 997,037 1,186,839 36,384 88,881 113,742 100 ,000 506,813 154,289 60,734 111,962 168,529 32,135 849,239 458,644 216,876 146,483 65,587 76,662 10,0 0 0 1,567 3,179 167 112,895 115,358 170,941 39,418 50,214 78,294 240,834 182,831 272,313 45,248 55,400 24,654 15,000 46 807,985 1,553,511 384,378 99,921 729,066 93,258 908,534 2,511,535 552,425 91,407 220,890 58,081 121,218 67,040 813,776 76,585 91,526 139,737 290,089 208,190 1,045,908 42,414 41,640 134,444 2 0 ,0 0 0 280,314 510,997 73,853 172,620 368,557 70,290 574,856 973,156 216,153 31,011 42,531 48,753 40,000 30,000 30,000 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 26 35,000 40,000 2 0 ,0 0 0 25,000 2,360 4 500 33,594 50,000 25,000 1 ,0 0 0 30,000 50,000 108 1 125,000 30,000 50,000 8,770 1 ,2 2 9 REPORT OF THE COMMISSIONER OF BANKING 40 Total Footings $ 263,610 223,195 226,585 $ 134,967 95,733 131,056 $ 4,500 9,420 3,600 Other Assets Name of Bank Location Banking House, Furniture and Fix tures and Other Real Estate Loans, Discounts and Overdrafts CONDITION OF INDIVIDUAL STATE BANKS $ 346 395 312 L eopolis.- - . The Farmers State Bank . Lebanon State Bank Leopolis State Bank Lime Ridge Little C h u te ,_ Livingston ,_ - The State Bank of Lime R idge, Bank of Little Chute, Livingston State Bank, , 313,633 503,488 236,171 70,184 215,912 56,821 6 , 683 8,541 650 138 50 L o d i____ Loganville Lone Rock State Bank of Lodi . Loganville State Bank Farmers Bank _____ 671,630 576,601 348,784 247,154 246,664 188,039 45,693 67,678 9,232 2.104 3,057 920 271,578 407,476 431,606 95,184 111,439 162,707 7,700 27,396 8,400 1,156 649 85 Larsen Lone R ock Loyal Luck _- State Bank of Lone Rock Citizens State Bank of _ Fidelity State Bank _ .. 3,810 Luxemburg — Lyndon Station Lyons Bank of Luxemburg. Lyndon State Bank __ Lyons State Bank 1,338,797 137,133 167,780 490,586 49,640 81,800 47,066 3,414 3,295 193 McFarland M adison, Madison McFarland State Bank The American Exchange Bank Commercial State B ank, . 181,410 2,278,703 1,751,877 45,158 403,200 657,518 7,706 54.915 107,335 119 31,460 24.460 Madison Madison _ _ Madison Madison Trust Company Randall State B an k ________ . Security State Bank . . 431,222 235.930 752,018 107,704 55,582 289,781 45,513 8 ,065 93,569 13,727 Madison Madison _ Maiden R ock _. South Side State Bank _ Union Trust Company Bank of Maiden R ock, 164,603 745,298 378,163 43,070 217,888 85,389 15,147 126,585 25,558 86,677 ____ Manawa M anitow oc, _. Marathon Farmers State B ank____ Manitowoc Savings Bank Merchants & Farmers State Bank, 369,028 6,331,575 178,753 1,957,789 9,420 367,485 754 75,721 244,215 57,108 8 ,2 0 0 472 Marathon ___ Maribel . M arinette_____ The State Bank of Marathon City _ __ Maribel State B a n k ___ _ . Farmers and Merchants Bank 490,677 306,658 1,250,361 193,470 138,110 562,586 21,500 5,659 70,681 9,163 199 7,585 Markesan _ Markesan Marytown Farmers State Bank Markesan State Bank Farmers & Merchants Bank __ 468,033 1,251,946 238,776 153,949 531,396 129,837 38,275 18,610 3,625 2,764 372 4,278 M attoon____ Mauston _ _ M ay ville, _ Mattoon State B ank, . , _ Bank of Mauston State Bank of M ay ville__ 168,025 932,608 1,056,791 48,078 189,057 453,444 3,643 43,300 38,000 1,128 1,978 Mazomanie, Medford Melrose_______ The Peoples State Bank State Bank of Medford . Bank of Melrose 203,966 983,324 755,529 22,109 602,599 94,940 8,497 53,810 9,350 394 1,952 1 ,046 Menasha . Menomonee FIs Menomonie , Bank of Menasha Farmers & Merchants Bank Bank of Menomonie _ . ! .207,073 1,543,618 917,440 463,357 809,267 261,038 2 2 ,0 0 1 9,804 63,400 100,535 28,198 Menomonie _ The K raftS tate Bank _ „ Merrill, Lincoln County B ank___ 966,187 1,631,159 2,209,091 398,812 541,358 f.05,093 65,095 67,384 39,982 1,935 15,428 8,300 . https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 14.295 REPORT OF THE COMMISSIONER OF BANKING 41 92,316 79.269 70,670 $ 31,481 38,378 20,947 Capital, Surplus and Undivided Profits Deposits Cash on Hand and Due from Banks U. S. Securities, Stock in Federal Reserve Bank, Other Stocks and Securities, Other Bonds IN WISCONSIN ON DECEMBER 31, 1935— Continued $ 225,931 178,205 176,681 $ 20.179 29.990 19,904 cu a o $ 275,232 421,870 205,056 15,401 81,528 31,115 23.000 280,892 154,351 72,029 95.787 104,8,51 78,564 582,889 481.832 309,355 48,698 44,769 14,184 40.000 50.000 25,245 82,262 210,737 215,379 85,276 57,255 48,035 243,126 366,668 393,218 18,452 40,808 41,359 10.000 594,117 61.615 61,034 207,028 22,271 21,651 1,073,189 104,297 137,520 140,608 22,836 15,255 125.000 10,000 15.000 109,467 1,303,190 535,055 18,960 485,938 427,509 154.886 1.966.583 1,293,645 26,524 207,120 208,232 100.000 250,000 64,584 88,445 206,486 199.694 83,838 147,887 310,924 199,545 645,832 100,298 36.385 56,179 20.000 69,506 96,446 147,350 36,880 217,702 119,866 115,915 488,123 347,305 28,688 245,452 30,858 20.000 50,893 2,570,533 129,208 1,360,047 337,924 5,556,013 31,104 775,562 139,793 38,642 197,620 46,594 204,323 91,668 404,044 62,221 71,022 205,465 424,313 230,267 1,076,062 66,364 51,391 124,299 25.000 50.000 214,658 581.506 61,807 58,387 120,062 39,229 383,478 1,063,032 188,298 64,555 158,754 20,478 20.000 30.000 30.000 88,080 445,104 410,056 28,224 254,019 153,313 146,951 794,005 826,981 21,074 108.603 129,810 30,000 100,000 135,283 204,674 561,522 40,683 120,289 88,671 179,844 869,317 613,566 27,122 113,961 66,963 75,000 394,364 437,417 407,473 317,547 233,534 120,196 1,055,529 1,339,428 775,661 151,544 104,190 91,779 100,000 50.000 269,553 712,098 1,341,109 230,792 294,891 314,607 777,208 1,403,264 1,986,947 138,952 157,895 222,144 3 .73 0) O 17,500 15.000 15.000 40,600 79,401 94,159 3 ci CD o Ö 198,389 201,354 76,600 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T3 C cJ <D 3 *2 ? c >» s rt 0 (X m s C3 <D rQ CD Q CD $ 15,000 90 43 29 5 5,000 50.000 7 $ 5,298 6,425 1 160 46 50.000 70.000 27 REPORT OF THE COMMISSIONER OF BANKING 42 $ 6,700 29,625 14,375 Other Assets Total Footings Name of Bank Banking House, Furniture and Fix tures and Other I Real Estate Location Loans, Discounts and Overdrafts CONDITION OF INDIVIDUAL STATE BANKS $ 365 1,370 7,470 Middleton- ___ Milton - Milton Jet-------- Bank of Middleton Bank of Milton The Farmers Bank. Milwaukee____ Milwaukee------ American State Bank. Badger Stale Bank ------ .... 95,688 1,345,566 5,709,614 2,710 658,766 1,972,412 4,280 323,860 554 68,561 262,001 Milwaukee-----Milwaukee-----Milwaukee------ Bay View State Bank. . .. The City Bank & Trust Co. Holton Street State Bank_____ 421,293 2,489.859 842,419 138,775 827,245 237,770 8,692 87,992 81,154 5,163 131,964 20,635 Milwaukee-----Milwaukee____ Milwaukee------- Home Savings Bank _ Kilbourn State Bank Layton Park State Bank . 1,556,454 1.140,860 599,271 771,149 194,230 375,062 167,591 50,744 29,525 41,900 30,723 1,124 Milwaukee____ Milwaukee____ Milwaukee____ Lincoln State Bank _ Marshall & Ilslev Bank __ Mitchell Street State Bank____ 1,105,363 44,562,578 2,117,559 504,424 12,627.855 1,158,912 116,761 1,030,898 256,206 20,506 1,266,757 4,183 Milwaukee____ Milwaukee____ Milwaukee____ North Milwaukee State Bank Park Savings B ank. State Bank of Milwaukee. . 225,650 1,768,329 1,838,191 63,194 656,215 858,432 19,105 72,543 86,018 618 48,189 81,672 Milwaukee____ Milwaukee____ Milwaukee____ Teutonia Avenue State Bank West Side Bank- . Wisconsin State Bank ___ 1,809,117 4,682,037 3,238,312 679,485 1,362,497 1,391,464 170,944 37,347 223,685 77,725 88,312 158,263 Mineral Point Minocqua _ M ondovi- Farmers Savings Bank Security State Bank M ondovi State Bank - 671,923 322,097 296,901 125,242 109,654 122,469 19,352 8,042 16,134 34 778 9,264 M onroe. The C ommercial & Savings Bank 1,143,612 655,752 484,219 326,038 257,655 104,007 3,000 5,089 2,588 4,511 4,668 756 265,070 896,130 193,901 132,453 321,893 96,058 23,800 7,700 6,096 5,952 36 558 242,904 389,516 1,067,521 114,598 109,806 473,328 17,812 3,500 41,340 577 5,602 603,734 252,300 1,371,008 229,318 168,657 507,320 18,940 15.000 57,152 4,191 474,355 200,376 743,417 222,098 23,551 266,006 25,450 2,750 34,619 285 269,554 933,608 1,655,205 79,761 119,149 400,707 3,602 6,573 46,717 443 4,221 10,602 _ ..... _ . M ontfort Citizens State Bank M osinee.- Farmers State Bank__ Mt. C alvary___ M t. Horeb . Mt. Calvary State B ank__ State Bank of Mount H oreb__ M ukwonago___ Citizens Bank of Mukwonago Neillsville_____ N eillsville Bank________ _____ $ 299,628 258,107 626,965 $ 157,092 74,581 196,372 803 N ekoosa. Nekoosa State Bank . New Auburn__ Bank of New Auburn Newburg New F ranken ._ New Glarus___ State Bank of Newburg„_ New Franken State B ank. The Bank of New Glarus New Holstein New L isb on .__ New London__ Peoples State B a n k _____ New Lisbon State Bank _ First State Bank of . 437,806 292,055 859,735 253,189 52,422 201,047 17,540 10,500 48,123 167 51 2,146 New Richmond Bank of New Richmond 342,749 109,713 87,410 736 State Bank of Nichols . 537,858 172,961 125,688 2 0 ,0 0 0 Nichols 600 10,420 64 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis _ . ___ 387 REPORT OF THE COMMISSIONER OF BANKING 43 $ 66,204 121,597 197,935 $ 69,267 30,934 210,813 Capital, Surplus and Undivided Profits Deposits Cash on Hand and Due from Banks U. S. Securities, Stock in Federal Reserve Bank, Other Stocks and Securities, Other Bonds IN WISCONSIN ON DECEMBER 31, 1935— Continued $ 226,937 199,338 574,905 $ 42,691 38,069 52.060 ca c >> 3 ca o Ph ü moi 30.000 2 0 .0 0 0 700 76,941 418,174 2,639,492 15,483 195,785 511,849 74,425 1,079,205 5.054,671 21,263 263,902 337,483 300.000 2,459 17,460 206,096 1,022,344 341,220 62,567 420,314 161,640 337,058 2,090,065 562,490 59,227 249,457 178,547 25.000 150.000 1 00. 000 337 1,382 332,319 679,403 114,105 243,495 185,760 79,455 985,203 977,607 510,959 321,251 148,253 56,027 250.000 15.000 30.000 2,285 349,293 17,344,992 445,385 114,379 12,292,076 252,873 649,737 39,733,923 1,449,578 155,626 3,301,518 267,981 300.000 ,500,000 400.000 92,940 643,958 539,142 49,793 347,424 272,927 159,782 1,162,894 1,204,523 65', 868 255,435 466,502 350.000 150.000 519,229 1,462,180 1,160,755 361,734 1,731,701 304,145 1,296,030 3,487,774 2,714,948 238,087 1,192,513 522,878 275,000 305,678 171,574 99,988 221,617 32,049 49,046 609,617 275,896 226,363 37,306 33,701 40,538 25.000 12,500 30.000 688,552 195,876 332,508 128,511 192,464 44,360 996,587 533,378 418,221 147,025 122,374 50,996 15.000 48,097 348,486 60,053 54,768 218,015 31,136 223,560 787,454 165,717 26,510 108.548 13,184 15.000 80,226 158,428 242,027 30,268 117,205 305,224 177,083 343,503 902,694 43,821 31,013 64,788 2 0 .0 0 0 15.000 100,000 294,773 22,930 588,594 59,900 45,713 213,751 518,852 196,481 1,225,741 44,882 30,819 85,267 40.000 25.000 60.000 135,250 138,937 304,848 91,272 35,138 137,557 401,075 168,989 586,586 48,255 16,372 106,448 25.000 15.000 50.000 143,394 679,657 929,205 42,354 124,008 267,974 229,035 819,660 1,461,454 28,019 113,948 193,751 12,500 91,838 200,530 511,344 75,072 28,552 97,075 369,487 258,466 716,856 33,589 141,980 102,716 8,905 16,260 71,657 53,743 11,534 360,730 143,348 94,911 92,214 29,613 30,777 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 8 27.137 17,166 1,750 486 128 15.000 1,000 39 25 15 383 209 6 8 ,1 1 0 899 65,000 19,914 44 REPORT OF THE COMMISSIONER OF BANKING Other Assets Total Footings Name of Bank Banking House, Furniture and Fix tures and Other Real Estate Locatu n Loans, Discounts and Overdrafts CONDITION OF INDIVIDUAL STATE BANKS N . Fond du Lac North Freedom North Lake___ Bank of North L a k e __ 226,872 404,464 283,206 Oconom owoc __ Bank of Oconomowoc 292,400 310,776 635j 179 61,909 87 191 200,917 9,095 8,378 24,750 29 1 487 3,423 262,176 1,008,508 113,384 117,252 247,600 38,678 2,200 38,700 5,717 228 525 69 585,775 411,642 406,754 261,957 135,099 96,043 7,800 16,000 1,357 4,093 45 391,930 3,187,950 2,075,147 135,971 786,392 393,070 42,324 148,021 82,140 24 30,490 30,218 647,801 280,869 332,419 252,445 108.026 120,761 18,252 9,000 12,050 333 526 194,154 459,931 145,221 88 898 168,486 69,416 4,994 24,700 11,799 418 694 130 344 115 The First Wisconsin Bank Oconto Falls___ Oconto County State Bank. .. Ontario _ Bank of Ontario Oostburg Oregon Orfordville___ Bank of Oregon _. Farmers & Merchants Bank of. O s c e o la ___ Oshkosh__ Oshkosh . . Bank of Osceola The New American Bank Security Bank of Oshkosh____ Osseo. _ __ P a lm y r a __ Park Falls Bank of O sseo.. Palmyra State Bank . _ Phelps _ ____ P h illip s ___ $ $ 8,063 66,375 78,101 $ 7,761 23,369 5,800 $ 372 522 Pigeon Falls Pigeon Falls State Bank _. 318,962 119,821 409,546 48,517 42,510 128,072 6,500 12,161 5; 400 P la in field ^ .__ Platteville P la tte v ille __ Mound City B ank. __ State Bank of Platteville____ 341,744 750,125 709,595 134,038 125,166 285,619 11,500 22,400 29,355 206 1,724 Plymouth _ _ _ Plymouth . . Poplar _ . . Plymouth Exchange Bank State Bank of Plymouth Poplar State Bank 594,622 811,674 104,637 215,703 132,910 39,477 36,470 71,125 4,750 5,015 7,012 725 Portage . . . . Pt. Washington Port W ing. . _ C ity Bank of Portage . . . Pt. Washington State Bank. . First State Bank of Port W ing. 1,296,494 1,630,969 171,704 424,332 640,110 93,506 71,157 32,000 16,341 12,260 1 ,434 491 P otosi_________ P otter____ __ _ P ound____ __ Potosi State Bank __ _ The Farmers State Bank of - _ Farmers State Bank 567,981 162,831 199,342 173,042 56,523 26,287 15,000 12,100 22,090 123 167 15 Poy n e t t e . . __ P oy Sippi______ Pr. du Chien___ Farmers State Bank ._ . _ Peoples State B ank_____ 800,381 206,346 1,450,950 233,768 81,152 513,678 85,512 17Ì251 31,950 332 1,198 1.046,054 848,689 380,188 66,650 10,586 4,322 2,099 305 Pr. du Chien___ Prairie du Sac . Prairie Farm__ P u la sk i__ R a cin e ____ . Prairie City Bank______ _ . Bank of Prairie du S a c .. First State Bank of Prairie Farm . Pulaski State Bank American Bank & Trust C o___ R a c in e __ Farmers & Merchants Bank __ Racine ____ West Racine Bank https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 290,757 87,510 8,750 3,841 420,021 550’ 912 3,389,925 125 870 259;794 1,095,538 19,600 23,917 134,000 53,441 831,971 870,684 554,585 288,477 206,861 168,056 23,452 3,348 4,304 24,303 16 975 18,250 REPORT OF THE COMMISSIONER OF BANKING 45 171,333 283,276 133,011 $ 39,343 31,444 65,772 Capital, Surplus and Undivided Profits Deposits Cash on Hand and Due from Banks U. S. Securities, Stock in Federal Reserve Bank, Other Stocks and Securities, Other Bonds IN WISCONSIN ON DECEMBER 31, 1935— Continued $ 182,772 332,309 253,937 $ 29,100 32,155 28,740 >> 3 O (L, o rS « 03 Pi 15,000 40.000 529 189,295 174,007 339,766 32,072 39,713 66,323 235,737 241,655 565,037 36,663 69,121 70,142 95,826 518,108 28,261 46,670 203,575 40,659 226,193 897,814 101,290 35,982 110,694 12,094 173,845 204,188 241,812 142,173 52,262 67,497 516,332 368,809 334,097 69,423 42,833 44,355 25.000 156,900 1,643,485 1,128,254 56,711 579,562 441,465 292,589 2,779,068 1,845,753 64,341 233,882 154,165 35.000 175,000 75.000 205,289 78,681 117,825 171,482 84,636 81,783 565,388 244,124 244,913 52,413 36,745 51,706 30.000 20.000 20 35 7ÖÖÖ 3~302 800 62,173 55,472 12,610 37,671 210,579 51,266 164,750 386,841 117,410 29,404 43,090 27,811 176,828 51,044 230,374 86,773 13,991 45,700 274,744 102,445 347,455 38,937 17,354 37,091 130,901 135,925 56,380 65,305 466,428 336,517 279,411 696,304 593 ,666 37,320 53,814 65,929 25.000 174,817 470,866 34,151 162,617 129,761 25,534 483,562 698,138 83,054 61,060 83,536 14,064 50.000 30.000 7,500 576,426 416,025 10,458 212,319 541,400 50,908 1,144,707 1,399,514 160,473 76,747 231,182 11,231 75.000 40 273 263,660 71,373 132,377 116,156 475,467 105,229 155,469 56,470 32,594 28,873 35.000 25.000 15.000 1,044 8 18,573 282,219 76,189 765,054 198,882 31,422 139,070 702,841 175,256 1,290,914 62,540 16,090 90,036 35.000 15.000 70.000 436,861 603,727 216,320 173,685 878,478 707,709 92,576 89,573 75.000 50.000 158,252 32,404 241,625 29,132 20.000 229,236 220,332 1,518,879 45.299 45,894 588,067 343,938 448,748 3,078,033 76,083 67,164 311,892 35,000 334,143 496,044 284,941 167,649 164,431 72,981 660,143 787,698 456,619 96,828 67,986 57,966 75.000 15.000 40.000 2 2 ,6 6 8 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 5,281 22 25.000 50joOO 19 1,407 46 REPORT OF THE COMMISSIONER OF BANKING Radisson______ R andolph_____ Random L a k e .. Chippewa Valley Bank___ $ Dairyman’s State Bank State Bank of Random Lake __ Reedsburg____ Reedsburg_____ Reeds ville_____ Farmers and Merchants Bank_ The Reedsburg Bank Reedsville State Bank Reeseville_____ Rhinelander___ Rice Lake_____ 129,771 473,304 281,573 $ 43,229 212,727 96,997 3,629 14,690 23,800 Other Assets Banking House, $ j tures and Other 1Real Estate Total Footings Name of Bank 1 Furniture and Fix- Location Loans, Discounts and Overdrafts CONDITION OF INDIVIDUAL STATE BANKS $ 276 117 3 130,998 2,895,530 347,576 1,770 584,251 153,556 24,621 205,826 11,500 32,6o9 492 State Bank of Reeseville Merchants State B a n k ___ State Bank of Rice Lake 474,087 931,412 678,058 174,930 427,797 196,512 20,597 70,000 3,584 703 9,308 11,585 Richfield______ Richland Ctr__ Richland Ctr__ Richfield State B ank. Farmers & Merchants Bank . Richland County B an k. 175,002 882,554 872,947 53,035 239,092 105,446 4,600 54,282 45,000 25 4,517 2,801 Ridgeland_____ R io Creek_____ R ipon_________ Ripon State Bank 161,716 128,427 904,082 71,827 6,916 275,389 23,500 Roberts_______ Rosendale_____ R osh olt_______ State Bank of R oberts__ _____ Rosendale State Bank . The State Bank of R osholt___ 96,458 238,558 484,775 31,940 122,727 3 6 7 ,o62 1,650 18,400 19,500 2,953 R udolph______ Saint C lou d___ St. N azianz____ Farmers & Merchants Bank _ . State Bank of St. Cloud _ St. Nazianz State B ank. 158,071 207,389 550,571 100,380 80,249 389,217 5,500 23,281 22,179 1,694 4,900 Sauk C ity _____ S candinavia__ Seneca________ Farmers & Citizens Bank Commercial State Bank Farmers & Merchants State Bank___. . . . 920,631 196,088 109,292 61,498 16,590 8,500 4,139 455 135,652 62,991 10,500 84 Seym our______ Sharon________ Shawano______ Seymour State Bank___ Sharon State Bank ._ Citizens State Bank . . . . 838,633 545,340 1,095,851 162,285 148,435 182,454 9,500 32,954 23,637 1,595 1,464 4,944 Sheboygan____ Sheboygan____ Sheboygan____ Bank of Sheboygan _ . Citizens State B a n k .. Merchants State Bank 4,635,180 7,828,325 1,115,645 2,174,484 2,183,900 268,410 252,446 155,200 86,401 89,117 292,056 12,365 Sheboygan____ Sheboygan____ Shell L ake_____ North Side State B a n k _____ South W est State Bank____ Shell Lake State B a n k .. 471,081 893,835 203,447 170,165 186,532 52,039 7,465 34,400 4,920 7,645 4,126 959 Sherwood_____ Shullsburg_____ Silver Lake____ Farmers and Merchants Bank Silver Lake State Bank . 201,551 675,421 249,366 106,591 156,938 104,983 4,060 31,119 25,644 41 2,300 Slinger________ Somerset______ So. Milwaukee 438,397 125,620 1,149,042 103,273 58,485 293,380 17,000 35 The Home State B a n k .. 28,936 4,750 So. Milwaukee South W ayne __ Sparta_________ 1,171,153 385,632 1,073,539 466,649 85,214 417,381 46,024 14,197 15,000 7,227 Bank of Sparta. 769,476 203,989 458,193 299,379 115,912 115,850 2 2 ,0 0 0 1 2 ,0 0 0 391,195 323,292 469,284 205,205 185,987 145,340 7,037 10,545 13,182 __ State Bank of Slinger . . South Milwaukee B an k .. Sparta_________ Spencer_______ Spooner_______ Monroe County B ank. Spencer State B ank. Spring Green__ Spring Green__ Spring Valley ._ The Farmers State Bank o f. . . State Bank of Spring Green . The Bank of Spring V alley____ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4,840 545 3,849 2,371 4,696 6 18,432 541 1,518 REPORT OF THE COMMISSIONER OF BANKING 47 $ 54,152 186,755 122,736 $ 28,485 60,015 38,037 [ Capital, Surplus and 1Undivided Profits Deposits Cash on Hand and Due from Banks U. S. Securities, Stock in Federal Reserve Bank, Other Stocks and Securities, Other Bonds IN WISCONSIN ON DECEMBER 31, 1935— Continued $ 114,190 414,745 213,716 $ >»3 c4 O CU " rapi -Q a œ -d O 200 15,381 58,559 27,857 40,000 1,601,024 128,011 104,607 471.770 54,017 75,880 2,557,204 300,587 55,118 135,669 26,989 2 0 0 ,0 0 0 2 0 ,0 0 0 2,657 187,445 203,346 356,634 90,412 220.961 109,743 393,356 672,728 599,676 39.718 158,684 53,382 40.000 1 00, 000 25.000 1,013 90,562 452,438 296,818 26,780 132,225 422,882 136,638 776,146 761,861 32,564 66,408 111,086 5,000 40.000 800 57,170 96,880 179,889 27.879 24,086 421,455 126,395 105,577 811,462 20,321 22,850 52,620 15,000 24,771 46,155 56,995 38.097 48,323 40,918 81,026 185,364 382,908 15,432 28,194 61,867 25.000 40.000 24,145 78,141 68,246 28,046 24,024 66,029 131,371 161,008 510,071 26,700 21,381 40,500 25,000 855,761 148,667 34,870 32,021 30.000 15.000 395,627 100,620 394,983 25,015 , 4(hÖ00 400 10 39,156 22,921 98,431 37,211 559,081 253,360 654,396 106,172 109,127 230,420 670,314 500,169 963,225 128,276 45,042 84,626 1,381,147 3,511,699 500,420 737,986 1,685.470 248,049 4.061,058 6,758,076 974,784 573,652 918,040 140,861 222,350 546,846 100,512 63,456 121,931 45,017 405,827 760,922 175,751 65,254 67,734 27,693 65,000 179 3 33,016 325,266 78,208 57,884 162,057 38,231 . 163,790 616,026 206,337 22,761 48,045 30,529 15.000 10.000 12,500 1,350 224,996 42,055 244,884 93,093 25,080 577,092 388,371 93,143 1,013,536 50,026 17,477 135,506 15.000 462,037 136,901 407,371 189,216 149,320 231,416 980,173 349,154 975,480 105,980 36,478 98,059 268,214 33,424 234,633 175,187 42,647 89,278 661,912 164,453 414,409 57,564 29,516 22,420 10.000 20,000 1,364 55,694 62,492 236,215 122,718 62,750 74,547 330,223 257,818 334,132 30,972 35,474 59,702 30.000 30.000 75.000 *450 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 40.000 15.000 43 129 3,000 470 152,209 85.000 50.000 20 REPORT OF THE COMMISSIONER OF BANKING 48 Stanley, Stetsonville-----Stockbridge----- 8,001 10.103 8,784 364,784 222,020 233,319 Stoddard _ Farmers & Merchants StateBank Stratford Stratford State B a n k .. 186,184 587,311 433,165 41,609 98,650 110,408 566 24,000 21,789 259 1,359 107 1,942.010 254,369 428,739 735,654 67,809 87,166 53,058 15.270 56,683 19,836 514,712 400,585 689,373 203,466 139,693 59,155 47,000 8,500 4,400 2,381 8,471 2,975 420,460 430,434 297,823 215,536 229,118 118,125 11,000 10,503 9,200 919 348,492 962,408 598,819 84,266 354,694 250,415 8,750 26,789 37,445 155 6,676 81,080 1,068,756 696,594 46,430 237,480 176,434 5,550 30.133 35,118 80 7,197 1,901 700,837 146,005 250,587 82,884 54,902 104,669 33,611 10.776 55,368 995 2,191 678 1,904,603 831,936 645,829 640,464 382,113 193,652 63,140 78,825 38,100 15,153 9,544 1,116 225,967 285,464 83,734 97,267 131,230 54,990 2,800 5,675 12,485 170 249,305 208,745 255,853 59,111 73,963 107,208 22,400 12,613 9,000 575 601 308,572 665,487 342,490 51,877 .133,584 43,373 23,544 23,495 15,960 89 35 765,477 2,336,156 750,137 312,650 380,464 144,149 16,617 22,000 7,500 1,011 12,856 6,461 192,554 287,270 320,456 72,483 71,646 208,024 12,080 4,000 25,625 326 600 602 Bank of Sturgeon Bay Sun Prairie____ Bank of Sun Prairie S u p erior.,. Superior . . . . American Exchange Bank . . Comm unity Savings B ank____ T h o r p ... Three Lakes _ _ Peoples State B ank. . Tom ah________ Farmers & Merchants B ank__ Tom ahawk____ Trempealeau _ . Turtle Lake___ Bradley Bank _ Citizens State Bank. . Bank of Turtle Lake____ T w o Rivers __ Two R ivers___ Union Grove__ Bank of Tw o Rivers . . . Two Rivers Savings Bank____ State Bank of Union Grove___ V iola____ . . . W atertown. W atertown____ Waterloo _ . Farmers & Merchants State B ank. . . . . __ Bank of Watertown Farmers & Citizens Bank_____ W aumandee. . Waumandee State B ank___ W aupaca The Farmers State B a n k .. . . 99,445 103,411 70,335 $ Farmers& Merchants StateBank $ Farmers State Bank __ State Bank of Stockbridge____ Sturgeon Bay _ _ $ Other Assets Total Footings Name of Bank Banking House, Furniture and Fix tures and Other Real Estate Location Loans, Discounts and Overdrafts CONDITION OF INDIVIDUAL STATE BANKS $ 92 275 443 4,036 W ausau__ __ Citizens State Bank _____ __ 890,344 964,652 2,141,118 328,194 159,640 505,570 7,650 38,264 59,877 15,178 14,258 48,283 W ausau__ __ . W ausaukee. _ W autom a____ First American State B ank. _ Pembine-Wausaukee Bank___ The Union State Bank___ _ 5,732,359 202,666 754,365 1,832,800 20,248 299,896 195,544 18,500 14,655 31,319 392 319 ____ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis REPORT OF THE COMMISSIONER OF BANKING 49 $ 184,915 73,865 95,950 $ 72,331 34,366 57,807 $ 324,651 195,369 190,774 $ 40,133 26,651 27,545 $ Other Liabilities Bills Payable and Rediscounts Incom e Debentures Capital, Surplus and Undivided Profits j Deposits Cash on Hand and Due from Banks U. S. Sscurities, Stock in Federal Reserve Bank, Other Stocks and Securities, Other Bonds IN WISCONSIN ON DECEMBER 31, 1935— Continued 15.000 124,607 377,724 259,665 19,143 85,578 41,196 154,920 440,504 345,295 21,264 86,807 57,870 10,000 60.000 30,000 754,389 130,090 220,688 379,073 41,200 60,166 1,817,907 219,768 354,771 124,103 22,301 43,968 12,000 30,000 116,946 170.789 337,763 144,919 73,132 285,080 383,568 347,635 649,782 101,096 52,902 39,500 131,438 109,813 139,354 61.567 81,000 31,144 347,160 364,130 225,888 73,114 56,304 41,935 10,000 30,000 194,893 255,545 207,511 60,583 325,225 96,772 312,080 869,520 492,807 36,412 92,830 55,905 50,000 58 107 18,692 525,806 291,843 10,328 268,140 191,298 52,786 971,989 606,553 17,794 96,767 55,030 10,000 500 35,000 11 429,883 51,285 40,330 153,464 26,851 49,542 585,673 128,316 214,147 85,164 11,689 16,440 30,000 6,000 20,000 868,495 276,204 313,225 317,351 85,250 99,736 1,544,370 '636,538 548,949 280,233 133,839 78,880 80,000 60,000 18,000 81,311 91,269 2,003 44,589 57,120 14,256 193,753 223,875 57,368 32,214 46,589 26,366 15,000 114,273 85,564 98,820 52,946 36,004 40,825 199,292 161,175 223,752 50,013 47,570 27,101 203,922 430,995 207,098 29,229 77,324 70,024 227,126 519,872 296,021 81,444 70,615 46,469 291,143 1,478,614 489,211 144,056 442,222 102,816 650,065 1,986,798 640,192 65,412 349,358 69,020 40,000 925 79,761 146,165 41,300 27,904 64,859 44,905 169,633 244,314 267,803 22,921 27,951 27,653 15,000 25,000 5' 385,744 627,893 1,329,893 153,578 124,597 197,495 798,215 866,154 1,778,005 42,129 98,498 163,113 200,000 2,813,340 144,911 308,988 859,356 18,615 130,507 5,157,617 153,846 561,136 574,742 48,820 118,229 75,000 4 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 30,000 $ 300 48 48 91 186 1,559 5,000 2 75,000 50,000 50,000 50 REPORT OF THE COMMISSIONER OF BANKING Wauwatosa____ W auzeka......... W a y s id e ___ Wauwatosa State B ank.......... Bank of Wauzeka W ayside State Bank _ - W est A l l i s ___ W est Allis W est Bend . _ Milwaukee County Bank W est Allis State Bank The First State Bank - W estfield-_ West Salem____ W eyauwega___ Westfield State Bank ____ Union State Bank of - Farmers & Merchants B ank__ W hitefishBay . Whitehall___ W hitewater___ Whitefish Bay State Bank___ John O. M elby & Co. Bank The First Citizens State Bank _ Whitewater___ W ilton - . __ Wisconsin Dells Whitewater Commercial and S avings,- __ The Wilton State B a n k __ Farmers and Merchants State Bank- Wisconsin Dells W ithee-. W ittenberg____ Kilbourn State Bank State Bank of W ithee___ Citizens State Bank W onewoc __ W oodford W oodman - . $ 1,040.483 348.809 220,335 $ 217,912 51,250 6 9 |742 $ 16,409 5,205 4 ; 900 Other Assets Total Footings Name of Bank Banking House, Furniture and Fix tures and Other Real Estate Location Loans, Discounts and Overdrafts CONDITION OF INDIVIDUAL STATE BANKS $ 4,045 578 652,845 743,755 1,014,182 126,424 308,840 305,692 4,383 56,629 29,500 544,898 647.040 441,384 217 520 179 770 199'433 22 500 17,773 15,690 381,865 378,411 1,873,823 74,620 174,905 492,932 4 000 4,214 7 ; 000 5 4 ,7 7 9 10,266 492,147 164,831 168,691 46,333 19,500 6,831 117 2,174 332,889 114,274 18,140 559 1,007,911 204.827 682,162 206,420 84;574 217,801 30,000 16,000 24,578 202 State Bank of W onewoc W oodford State Bank . W oodman State Bank 970.698 215,147 189,046 215,317 86,289 48,716 46 075 7,540 16,495 6,129 W oodruff-W oodville. . W rightstown__ W oodruff State Bank- Citizens State Bank The Farmers & Traders Bank 87,204 342,436 272,351 41.638 127,435 51,213 10,309 21,050 8,000 2,452 16 Zachow _ - __ Farmers State B ank - _. 99,441 29,831 4,436 177 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 190 1,202 REPORT OF THE COMMISSIONER OF BANKING 51 IN WISCONSIN ON DECEMBER 31, 1935— Continued 0> CO „ >In i «T a) 6. 0) <D g C3 S i |«J3S in— o „ 123S PQ -3 o TS Q CR cfl 2 a>t>•3a*> ct O Pn g S3 3 •<DJn ^ O a « ¿.Sow 667,780 258,695 116,704 134,337 33,081 28,989 896,773 288,193 186,875 142,563 30,537 23,458 30.000 10 .0 0 0 436,517 199,732 334,857 85,521 178,554 344,133 586,740 472,999 920,455 66,105 120,756 93,727 150,000 268,013 313,198 154,424 36,670 136.182 71,837 429,045 527,964 344,713 62,917 69,076 46,671 50.000 50.000 50.000 239.445 108,635 1,111,537 59,586 87,871 204,309 332,800 304,036 1,622,498 38,768 74,375 196,303 ~50"000 154,605 31,516 147,177 80,151 396,932 136,591 60,215 28,240 35,000 ____________ 152,663 47,253 268,021 34,868 30,000 137,734 69,910 145,782 844,621 164,514 583,777 163,290 32,813 69,385 7,500 25,000 493,919 93,618 98,204 209,258 27,700 24,429 842,736 180,983 148,101 107,750 21,464 20,945 2 0 ,0 0 0 12,500 20,000 21,565 123,133 135,988 11,240 70,802 77,150 54,728 300,706 242,619 22,476 26,672 29,732 15,000 42,363 22,634 87,637 11,804 633,555 34,343 293,811 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1,147 79 2 2,936 297 10.000 ~5~022~ 4,000 212 200 $ 10,000 58 52 REPORT OF THE COMMISSIONER OF BANKING B eloit__ C udahy. . . . Milwaukee____ Milwaukee____ Superior . . C udahy Mut. Savings B ank__ The Commonwealth Mut. Sav. Bank _ _ Other Assets T otal Footings Name of Bank Banking House, Furniture and Fix tures and Other Real Estate Location Loans. Discounts and Overdrafts CONDITION OF INDIVIDUAL $ 2,675,570 352,830 $ 1,209,867 206,347 537,749 848,358 16,955 14,041 23,578 117,566 9,873 60,310 1,998 8,250 41 278 Guardian Mut. Savings Bank The W orkers’ Mut. Sav. Bank $ 92,308 25,065 $ 7,199 661 Appleton Green B a y ____ Kenosha____ First Trust Co. of Appleton Northern Trust Co. of W is...... The N orthwestern Loan & Trust Co. .. . Madison ___ M anitow oc____ The Central Wis. Trust Co. East Wisconsin Trustee C o___ M anitow oc____ Milwaukee____ Oshkosh Manitowoc Trust Company .. _ First Wisconsin Trust Co. . Sheboygan Wausau __ Sheboygan Trust Com pany. _ Wisconsin Valley Trust C o . __ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 238,761 71,870 $ 44,544 9,300 $ 946 Other Assets Total Footings Name of Bank Banking House, Furniture and Fix tures and Other Real Estate Location Loans, Discounts and Overdrafts CONDITION OF INDIVIDUAL $ 36 512,915 157,521 89,450 941 250 021 2,609!588 224,216 679!158 20,935 297,735 8,047 5 304 37,596 65,705 8,611,805 334 686 11,510 425,116 1,828 233,732 188,105 974,642 110,580 344,058 22,876 27,430 211 858 762 69 REPORT OF THE COMMISSIONER OF BANKING 53 Wo ^V Ih-*O W -> <D > wcß-G •ar> •C 3 i J O Usi • *3 Ö3 . * —^ QJ $ 958,731 29,550 $ $ 100,693 35,480 Incom e Debentures S --3 33 G a) ^CQ Deposits O Cash on Hand and Due from Banks xzj Capital, Surplus and Undivided Profits MUTUAL SAVINGS BANKS 407,465 91,207 $ 2,324,830 317,350 $ 497,682 160,713 1,435,075 52,674 50,000 6,833 34,834 4,833 13.894 21,280 83,291 2,298 13,589 20,000 T3 ri G 0) os >> 3 c* O Ph ü i2 3 0) -G O rG 250,000 47 686 100,262 46,670 $ 93,919 14,954 $ 80,054 11,049 $ 157,985 60,321 $ Other Liabilities 1 Bills Payable and Rediscounts Income Debentures Capital, Surplus and Undivided Profits Deposits Cash on Hand and Due from Banks U. S. Securities, Stock in Federal Reserve Bank, Other Stocks and Securities, Other Bonds TRUST COMPANIES 722 500 51,875 213,128 379,268 133,615 32 74,393 573,798 84,665 104,704 1 ,053,593 72,973 164,149 2.166,969 129,685 82.841 441,208 81,237 3,031 1,411 13,294 19,920 1,033,927 32,835 32,447 6,707,172 199,320 15,090 6,910,548 190,989 50,615 1,701,257 143,605 92 37,834 302,701 16,815 300,384 120,241 837,585 67,864 137,057 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 54 REPORT OF THE COMMISSIONER OF BANKING LIST OF BANKS IN HANDS OF THE BANKING COMMISSION FOR REORGANIZATION OR LIQUIDATION IN 1935 Almena, ALMENA STATE BANK Aniwa, FARMERS TRI-COUNTY STATE BANK Argonne, FARMERS & MERCHANTS STATE BANK Argyle, COMMERCIAL STATE BANK Arlington, ARLINGTON STATE BANK Arnott, ARNOTT STATE BANK **Astico, STATE BANK OF ASTICO Augusta, AUGUSTA STATE BANK Avoca, AVOCA STATE BANK Barronett, BARRONETT STATE BANK Bayfield, FARMERS & MERCHANTS STATE BANK Belmont, FARMERS STATE BANK Big Bend, BIG BEND STATE BANK Black Hawk, BLACK HAWK STATE BANK Blanchardville, UNION STATE BANK Blue Mounds, BLUE MOUNDS STATE BANK Bowler, FARMERS STATE BANK Boyd, CITIZENS STATE BANK Brandon, FARMERS STATE BANK Bristol, HOME STATE BANK Brule, BRULE STATE BANK Butler, STATE BANK OF BUTLER Cable, CABLE STATE BANK Calumet Harbor, FARMERS STATE BANK Calvary, FARMERS STATE BANK Cassville, THE CASSVILLE BANK *Cato, FARMERS STATE BANK Chetek, FARMERS & MERCHANTS STATE BANK Chili, CHILI STATE BANK Clear Lake, THE PEOPLES BANK *Coloma, COLOMA STATE BANK Cornell, THE STATE BANK OF CORNELL Crivitz, STATE BANK OF CRIVITZ Cumberland, ISLAND CITY STATE BANK Cylon, STATE BANK OF CYLON Dane, STATE BANK OF DANE De Forest, DE FOREST STATE BANK Dodgeville, CITY & FARMERS BANK Downing, BANK OF DOWNING Downsville, FARMERS & MERCHANTS STATE BANK Doylestown, DOYLESTOWN STATE BANK Eagle River, FARMERS & MERCHANTS STATE BANK Eau Claire, EAU CLAIRE SAVINGS BANK Eau Claire, EAU CLAIRE STATE BANK Eau Claire, UNION SAVINGS BANK Eland, ELAND STATE BANK Elderon, ELDERON STATE BANK Eleva, BANK OF ELEVA Elk Mound, BANK OF ELK MOUND Emerald, STATE BANK OF EMERALD Endeavor, FIRST STATE BANK Fall Creek, MERCHANTS & FARMERS STATE BANK Fennimore, STATE BANK OF FENNIMORE https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis REPORT OF THE COMMISSIONER OF BANKING Fond du Lac, THE BANK OF FOND DU LAC Foster, STATE BANK OF FOSTER Friendship, FRIENDSHIP STATE BANK Galesburg, GALESBURG STATE BANK Galesville, FARMERS & MERCHANTS STATE BANK Germantown, CITIZENS BANK Glen Flora, STATE BANK OF GLEN FLORA Granton, FARMERS STATE BANK Green Bay, SOUTH SIDE STATE BANK Greenville, GREENVILLE STATE BANK Hammond, BANK OF HAMMOND Hatley, HATLEY STATE BANK Hawkins, HAWKINS STATE BANK Hayward, SAWYER COUNTY BANK Hazel Green, HAZEL GREEN STATE BANK Hillsdale, STATE BANK OF HILLSDALE Holcombe, STATE BANK OF HOLCOMBE Hollandale, HOLLANDALE STATE BANK Hortonville, BANK OF HORTONVILLE Hubbleton, HUBBLETON STATE BANK Hudson, STATE BANK OF HUDSON Humbird, FIRST STATE BANK Independence, FARMERS & MERCHANTS BANK Iron River, IRON RIVER BANK Janesville, BOWER CITY BANK Jim Falls, JIM FALLS STATE BANK Kennan, KENNAN STATE BANK La Crosse, GATEWAY CITY BANK La Crosse, SECURITY SAVINGS BANK Ladysmith, RUSK COUNTY BANK La Valle, STATE BANK OF LA VALLE Lena, FARMERS & MERCHANTS BANK Lewis, LEWIS STATE BANK Linden, BANK OF LINDEN Lomira, LOMIRA STATE BANK Loyal, CLARK COUNTY BANK Lublin, STATE BANK OF LUBLIN Luck, BANK OF LUCK Madison, CAPITAL CITY BANK Manitowoc, AMERICAN EXCHANGE BANK Manitowoc, STATE BANK OF MANITOWOC Marshall, BANK OF MARSHALL Marshfield, CLOVERLAND STATE BANK Menomonee Falls, CITIZENS STATE BANK Merrimack, STATE BANK OF MERRIMACK Milwaukee, COLUMBIA SAVINGS BANK Milwaukee, FRANKLIN STATE BANK Milwaukee, HOPKINS STREET STATE BANK Milwaukee, LIBERTY STATE BANK Milwaukee, MILWAUKEE COMMERCIAL BANK Milwaukee, ST. FRANCIS STATE BANK Milwaukee, SECURITY BANK OF MILWAUKEE Milwaukee, SOUTHERN STATE BANK Mindoro, BANK OF MINDORO Mineral Point, THE CONSOLIDATED BANK Minong, FARMERS STATE BANK Modena, FARMERS STATE BANK Mt. Hope, MT. HOPE STATE BANK Mt. Horeb, MT. HOREB BANK Muscoda, FARMERS & MERCHANTS BANK Muscoda, MUSCODA STATE BANK https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 55 56 REPORT OF THE COMMISSIONER OF BANKING Neenah, NEENAH STATE BANK Nelsonville, STATE BANK OF NELSONVILLE Neva, NEVA FARMERS BANK New Diggings, FARMERS & MINERS BANK New Lisbon, FARMERS & MERCHANTS STATE BANK North Bend, STATE BANK OF NORTH BEND Oconto Falls, STATE BANK OF OCONTO FALLS Omro, PEOPLES BANK OF OMRO Onalaska, ONALASKA STATE BANK Oshkosh, PAINE THRIFT BANK Owen, STATE BANK OF OWEN Oxford, OXFORD STATE BANK Pardeeville, PARDEEVILLE STATE BANK Pittsville, PITTSVILLE STATE BANK Plain, PLAIN STATE BANK Porterfield, FARMERS & TRADERS BANK Prentice, BANK OF PRENTICE Pulaski, LIBERTY STATE BANK Readstown, THE READSTOWN BANK Reeseville, PEOPLES STATE BANK Rewey, REWEY STATE BANK Rice Lake, BARRON COUNTY BANK Rice Lake, CITIZENS STATE BANK Ridgeway, RIDGEWAY STATE BANK River Falls, FARMERS & MERCHANTS STATE BANK Rockland, ROCKLAND STATE BANK St. Croix Falls, BANK OF ST. CROIX FALLS Sauk City, THE STATE BANK Saukville, SAUKVILLE STATE BANK Scandinavia, BANK OF SCANDINAVIA Sheboygan, PEOPLES SAVINGS BANK Sheboygan Falls, STATE BANK OF SHEBOYGAN FALLS Shell Lake, BANK OF SHELL LAKE Shell Lake, LUMBERMEN’S BANK Shorewood, BANK OF SHOREWOOD Soldiers Grove, BANK OF SOLDIERS GROVE Spooner, SPOONER STATE BANK Springbrook, SPRINGBROOK STATE BANK Stanley, CITIZENS STATE BANK Stevens Point, WISCONSIN STATE BANK Stitzer, STITZER STATE BANK Stockholm, STOCKHOLM STATE BANK Strum, FIRST STATE BANK Sturgeon Bay, DOOR COUNTY STATE BANK Sturgeon Bay, MERCHANTS EXCHANGE BANK Sturtevant, STURTEVANT STATE BANK Suamico, STATE BANK OF SUAMICO Sun Prairie, FARMERS & MERCHANTS BANK Taylor, TREMPEALEAU VALLEY STATE BANK Tomah, W ARREN’S BANK Tomahawk, BANK OF TOMAHAWK Turtle Lake, SECURITY STATE BANK Van Dyne, VAN DYNE STATE BANK Viroqua, BANK OF VIROQUA Viroqua, FARMERS BANK Waukesha, FIRST STATE BANK Wauwatosa, BLUE MOUND STATE BANK West Allis, BURNHAM STREET STATE BANK Westboro, WESTBORO STATE BANK Westby, BANK OF WESTBY Westby, WESTBY STATE BANK https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis REPORT OF THE COMMISSIONER OF BANKING West Milwaukee, ANCHOR STATE BANK West Wrightstown, THE PEOPLES BANK Weyerhaeuser, WEYERHAEUSER STATE BANK Whitehall, PEOPLES STATE BANK White Lake, WHITE LAKE STATE BANK Wilson, BANK OF WILSON Wilton, FARMERS SECURITY BANK Winneconne, UNION BANK OF WINNECONNE Woodland, WOODLAND STATE BANK Wyocena, WYOCENA STATE BANK Yuba, YUBA STATE BANK Reopened during- the year 1935. Liquidation completed. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 57 58 REPORT OF THE COMMISSIONER OF BANKING ALMENA STATE BANK Almena E. C. A jer, S p e c ia l D e p u t y C o m m i s s i o n e r C o n d ition as o f O ctob er 31, 1932 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 73,392.26 Other ------------ 181,990.59 C a p i t a l ----------------------------- $ 20,000.00 Surplus and Undivided Profits 18,068.89 Deposits : T i m e ------------- $141,005.36 Total Loans and Discounts $255,382.85 D e m a n d _____ 41,436.07 I n v e s t m e n t s _____________ 1 ,0 00 .0 0 All other r e s o u r c e s _______ 18,913.45 Total Deposits ________ $182,441.43 Borrowing's from other Banks 54,785.98 Total ----------------------------$275,296.30 Total ----------------------------$275,296.30 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $148,232.55 Legal -------------------------------$ 898.05 Assessments on s t o c k _____ 6,571.55 Administration __________ 4,015.41 9,420.20 Taxes, I n s u r a n c e ________ Cash 10/31/32 ------------------297.79 Other C o l l e c ti o n s ________ 6,136.77 Other Expenses ___ _____ 3,846.13 DLB loan R P C __________ 7,138.57 Bills Payable ____________ 61,924.55 Preferred C l a i m s _________ 1,901.23 Dividends ______________ 44,110.71 Offsets _________________ 8,472.94 Cash on hand Dec. 31, 1935__ 4,680.47 Compromise L o s s ________ 47,352.36 Total Total $177,499.64 $177,499.64 CONDENSED STATEM EN T O F C O N D IT IO N D E C E M B E R R e so u rc e s 31, 1935 L ia b ilitie s Loans and D is c o u n t s ______ $108.340.84 Capital ----------------------------$ 20,000.00 Banking House and F. and F. 8,256.07 Deposits and C l a i m s ______ 131,889 65 Undivided P r o f i t s ________ 29,963.18 Cash on hand and due from hanks ---------------------------4,680.47 All other resources _______ 649.09 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $151,889.65 Total ,$151,889.65 59 REPORT OF THE COMMISSIONER OF BANKING FARMERS TRI-COUNTY STATE BANK Aniwa C h as . C. V ogl, S p e c ia l D e p u t y C o m m i s s i o n e r C on dition ns o f F e b r u a r y 21, 1934 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $ 10,000.00 Surplus and Undivided Profits 774.71 Deposits: T i m e ________$ 36,483.56 D e m a n d _____ 16,871.22 Total Loans and Discounts $ 49,554.91 5,756.85 Other Real E s t a t e ________ Total D e p o s i t s ---------------- $ 53,354.78 8,630.00 I n v e s t m e n t s _____________ 187.73 All other resources _______ 64,129.49 .? 64,129.49 Total Total Loans and Discounts: On real estate— $ 11,858.14 Other _______ 37,696.77 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s _____ $ 12,919.09 Assessments on s t o c k _____ 550.00 Reco very on b o n d ________ 1,030.00 1,151.23 Other C o l l e c ti o n s ________ T o t a l _________________ $ 15,650.32 CO NDENSED STATEM EN T Administration __________ $ Taxes, Insurance _________ Other E x p e n s e s __________ Dividends # 1 _____________ Cash on hand Dec. 31, 1935_ 1,144.56 276.52 1,336.18 7,981.96 4,911.10 T o t a l _________________ $ 15,650.32 O F C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s R e so u rc e s Loans and D is c o u n t s ______ : 36,635.82 C a p i t a l _________________ $ 10,000.00 2,382.07 4.900.00 Surplus and Undivided Profits Banking House and F. and F. 5,756.85 Deposits and C l a i m s ______ 45,372.82 Other Real E s t a t e ________ 2.700.00 Bonds and Other Securities_ Cash on hand and due from 4,911.10 banks ________________ 93.86 All other r e s o u r c e s _______ 2,757.26 E x p e n s e ________________ Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 57,754.89 Total .? 57,754.89 REPORT OF THE COMMISSIONER OF BANKING 60 FARMERS & MERCHANTS STATE BANK Argonne R obert A. E lder , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f June 24, 1028 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 46,338.50 Other ------------ 69,930.38 C a p i t a l _________________ $ 25 000.0 > Surplus and Undivided Profits 4,936.67 Deposits: T i m e ________$ 28,272.70 D e m a n d _____ 70,48*.43 Total Loans and Discounts $116,268.88 Other Real E s t a t e ________ 7,750.00 Investments _____________ 14,983.2J Total Deposits ________ $108,760 13 All other r e s o u r c e s _______ 5 000.00 4,694.71 Borrowing's from other Banks Total ________________ $143,696.80 Total ________________ $143,696.80 R e c e ip ts and D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r S I, 1935 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s _____ $ 55,182.89 Legal __________________$ 3,149.18 7,114 17 Assessments on s t o c k _____ 20,724.20 Administration __________ Other C o l l e c ti o n s ________ 6,960.40 Taxes, Insurance ________ 3,08 7.15 Other E x p e n s e s __________ 3.737.51 Bills P a y a b l e ____________ 5,000.00 Preferred C l a i m s ________ 2,85 >.00 Dividends __________ 48,963.16 Offsets _________________ 8,645.52 Cash on hand Dec. 31, 1935__ 320.80 T o t a l _________________ $ 82,867.49 CONDENSED STATEM ENT T o t a l _________________ $ 82,867.49 O F C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s R e so u rc e s Loans and D i s c o u n t s _____ $ 34.653.67 C a p i t a l _________________ $ 25,000.00 2 500.00 Banking House and F. and F. 14,108.00 Surplus and Undivided Profits Other Real E s t a t e ________ 2,125.00 Deposits and C l a i m s ______ 49,775.75 Cash on hand and due from 320 80 banks ________________ All other r e s o u r c e s ----------136.78 Undivided P r o f i t s _________ 25,931.50 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 77,275.75 Total $ 77,275.75 REPORT OF THE COMMISSIONER OF BANKING 61 COMMERCIAL STATE BANK Argyle W ilfred L. H eindel , S p e c ia l D e p u t y C o m m i s s i o n e r C ondition ns o f A u g u s t 4, 1030 L ia b ilitie s R e so u rc e s C a p i t a l ----------------------------- 32 000.00 20,358.77 Surplus and Undivided Profits Deposits: T i m e _______ $168,028.45 D e m a n d _____ 141,836.42 Total Loans and Discounts $402,430.65 Other Real E s t a t e ------------23,800.00 Total Deposits --------------- $309,864.87 Ail other r e s o u r c e s ------------ 37,061.66 Borrowing's from other Banks 93,145.00 Other L i a b i l i t i e s ---------------7,923.67 $463,292.31 Total $463,292.31 Total Loans and Discounts: On real estate_$ 31,860.84 Other _______ 370,569.81 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to N o v e m b e r 30, 1033 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s --------- $150,592.20 Legal ------------------------------ ? Assessments on s t o c k _____ 15,115.53 Administration __________ Other C o l l e c ti o n s --------------- 28,978.46 Taxes, Insurance --------------Other Expenses __________ Bills Payable ------------------Preferred C l a i m s --------------Dividends ------------------------Offsets ----------------------------Cash on hand Dec. 30, 1935 — Interest on Bills Pa y able ----Other Real E s t a t e ------------$194,686.19 Total CONDENSED $194,686.19 Total S T A T E M E N T OF C O N D IT IO N D E C E M B E R 30, 1935 R e so u rc e s Loans and Discounts ------- $1 73,189.94 Banking House and F. and F. 12.651.50 47,145.22 Other Real E s t a t e ------------Losses ----------------------------- 68,354.54 Cash on hand and due from banks ---------------------------- 17.466.50 All other resources ------------ 47,129.19 4,053.10 Claims for Int. and E x p . ----$369,989.99 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3,922.69 9,222.18 7,740.01 9,092.34 93,145.00 3,957.40 29,256.94 16,052.27 17,466.50 2,939.90 1,890.96 L ia b ilitie s C a p i t a l ----------------------------- 1 32,000.00 Surplus and Undivided Profits 20,358.77 Deposits and C l a i m s ----------- 264,881.34 Other L i a b i l i t i e s ---------------- 52,749.88 Total $369,989.99 62 REPORT OF THE COMMISSIONER OF BANKING ARLINGTON STATE BANK Arlington F. W. P f i s t e r , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f O ctob er 3, 1933 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 54,169.00 Other --------- 115,769.62 Capital ----------------------------$ 15,000.00 Surplus and Undivided Profits 21,766.90 Deposits: Time ________$136,858.08 Total Loans and Discounts $169,929.62 D e m a n d _____ 10,312.50 I n v e s t m e n t s _____________ 33,058.75 All other r e s o u r c e s _______ 27,755.06 Total Deposits ________ $147,170.58 Borrowing’s from other Banks 46,805.95 Total ----------------------------$230,743.43 Total _____---------------------$230,743.43 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $118,521.03 Other C o l l e c ti o n s ________ 8,967.80 Rec. from R.F.C. & Cred. to “Bills Payable” --------------- 27,279.45 Cash on hand as of date of c l o s i n g -------------------------16,236.69 T o t a l -------------------- --------- $171,004.97 CONDENSED STATEM EN T R e so u rc e s Loans and D i s c o u n t s _____ $ Bonds and Other Securities_ Cash on hand and due from banks ---------------------------All other r e s o u r c e s _______ Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OF D is b u r s e m e n ts Legal -------------------------------$ 954.88 Administration __________ 2,307.98 Taxes, Insurance _________ 76.06 Other Expenses _________ 1,718.63 Bills P a y a b l e --------------------- 76,491.96 Preferred C l a i m s _________ 10,495.85 Dividends (35%) --------------- 45,666.61 Offsets ----------------------------3,171.56 Cash on hand Dec. 31, 1935_16,179.48 Adj. and L o s s e s ------------------ 13,941.96 T o t a l ----------------------------- $171,004.97 C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s 79,701.89 C a p i t a l ----------------------------- $ 11,363.75 Surplus and Undivided Profits Deposits and C l a i m s ______ 16,179.48 Other Liabilities _________ 16,166.18 Dividends Paid ( 3 5 % ) ____ 45,666.61 $169,077.91 Total 15,000.00 16,730.39 91,676.46 4.45 45,666.61 $169,077.91 63 REPORT OF THE COMMISSIONER OF BANKING ARNOTT STATE BANK Arnott N. W. Hahn , S p e c ia l D e p u t y C o m m i s s i o n e r C on dition ns o f O ctob er 28, 1031 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $ 10,000.00 Surplus and Undivided Profits 5,999.81 Deposits: T i m e ________$ 74,810.97 D e m a n d _____ 26,801.51 Total Loans and Discounts $ 40,755.78 Other Real E s t a t e -------------4,458.63 Total Deposits _________ $101,612.48 I n v e s t m e n t s _____________ 92,293.75 All other r e s o u r c e s -----------5,128.13 Borrowing's from other Banks 25,000.0u Other Liabilities _________ 24.00 Loans and Discounts: On real estate_$ 9,035.00 Other _______ 31,720.78 Total ________________ $142,636.29 Total ________________ $142,636,29 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 D is b u r s e m e n ts C o lle c tio n s 533.05 Liquidation of A s s e t s _____ $ 36,681.36 Legal __________________$ 2,993.31 Assessments on s t o c k -------6,267.00 Administration __________ 750.78 Other C o l l e c ti o n s _________ 11,843.85 Taxes, Insurance ________ 903.89 Cash on hand 10/28/31--------2,502.67 Other E x p e n s e s __________ Bills Payable ------------------- 25,589.57 Preferred C l a i m s _________ 212.46 Dividends ______________ 22,852.98 Offsets _________________ 2,778.58 Cash on hand Dec. 31, 1935— 680.26 $ 57,294.88 Total CO NDENSED STATEM EN T OE C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s R e so u rc e s Loans and D i s c o u n t s _____ $ 11,581.54 Banking House and F. and F. 2,300.00 5,240.80 Other Real E s t a t e Bonds and Other Securities-- 63,153.75 Cash on hand and due from banks ________________ 680.26 Surplus A c c o u n t __ 9,948.79 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 57,294.8S Total $ 92,905.14 C a p i t a l _________________ $ 10,000.00 Deposits and C l a i m s ______ 76,614.14 Other L ia b i l i t i e s ---------------24.00 Stock Assessment P a i d -------6,267.00 Total $ 92,905.14 64 REPORT OF THE COMMISSIONER OF BANKING AUGUSTA STATE BANK Augusta M. J. W agner, S p e c ia l D e p u t y C o m m i s s i o n e r C o n d ition as o f A p r il 25, 1031 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 95,963.41 Other ------------ 198,643.47 C a p i t a l ----------------------------- $ 40,000.00 Surplus and Undivided Profits 5,387.21 Deposits: T i m e ------------- $162,371.61 Total Loans and Discounts $294 606.88 D e m a n d --------- 78,838.00 Other Real E s t a t e ________ 27,330.50 9,750.00 Banking- House _________ Total Deposits _________ $241,209.61 In v e s t m e n t s ---------------------- 10,625.55 Borrowings from other Banks 57,400.50 8,184.39 Other Liabilities _________ Ail other r e s o u r c e s _______ 6,500.00 Total ----------------------------$350,497.32 Total ----------------------------$350,497.32 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1035 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $129,036.14 Legal ------------------------------ $ 3,704.47 Assessments on s t o c k _____ 755.53 Administration __________ 8,879.05 Other C o l l e c ti o n s ________ 19,931.21 Taxes, Insurance ________ 8,570.22 Other Expenses __________ 7,133.67 Bills P a y a b l e ____________ 58,155.65 Preferred C l a i m s ________ 1,409.85 Losses _________________ 22,6 86. OS Dividends ______________ 23,746.02 Offsets _________________ 12,630.62 Cash on hand Dec. 31, 1935_ 2,807.25 Total Total $149,722.88 $149,722.88 CONDENSED S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s L ia b ilitie s Loans and D i s c o u n t s ______$158,913 61 C a p i t a l ----------------------------- $ 40,000.00 Banking House and F. andF. 13,398.95 Deposits and C l a i m s ______ 212,803.17 Other Real E s t a t e ________ 37,255.34 Other L ia b i l i t i e s _________ 850.68 Ronds and Other Securities_ 9,785.00 Cash on hand and due from banks ---------------------------2,807 25 All other r e s o u r c e s _______ 4,391 27 Losses ----------27,102.43 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $253,653.85 T o t a l __ __ $253,653.85 65 REPORT OF THE COMMISSIONER OF BANKING AVOCA STATE BANK Avoca T. M. W e b s t e r , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f S e p tem b er 23, 1932 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $ 15,000.00 3,213.82 Surplus and Undivided Profits Deposits: T i m e ________$ 90,712.73 D e m a n d _____ 44,798.64 Total Loans and Discounts $ 83,916.83 Other Real E s t a t e ________ 10,813.00 Total Deposits ________ $135 511.37 I n v e s t m e n t s _________ 62,264.75 All other r e s o u r c e s _______ 14,613.54 P>orrowing's from other Banks 12,700.00 5,182.93 Other L i a b i l i t i e s --------------Loans and Discounts: On real estate_$ 29,773.28 Other _______ 54,143.55 Total ________________ $171,608.12 Total ________________ $171,608.12 H e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1933 C o lle c tio n s Liquidation of A s s e t s _____ $ 67,605.27 Assessments on s t o c k ______ 7,811.40 Other C o lle c tio n s _________ 11,862.92 Cash on hand 9/23/32 _____ 2,678.29 Total $ 89,957.88 CO NDENSED STATEM EN T D is b u r s e m e n ts Legal __________________$ 1,017.36 6,741.88 Administration __________ Taxes, Insurance ________ 1,17 6.43 Other Expenses _________ 826.77 Bills P a y a b l e --------------------- 13,084.90 Preferred C l a i m s _________ 637.52 Dividends ______________ 54,072 82 Offsets _________________ 2,143.86 Cash on hand Dec.31, 1935— 9,831.34 Other Disbursements _____ 425.00 $ 89,957.88 Total OF C O N D IT IO N D E C E M B E R 31, 1933 L ia b ilitie s R e so u rc e s Loans and D i s c o u n t s _____ ! 22,409.26 C a p i t a l _________________ $ 15,000.00 1,966.00 Deposits and C l a i m s ______ 81,908.48 Ba nking House and F. and F. 7,811.40 9,736.60 Stock Assessments _______ Other Real E s t a t e ________ Bonds and Other Securities-- 12,520.00 Cash on hand and due from 9,831.34 banks ________________ 1,499.39 All other resources _______ 46,757.29 Deficit in S u r p l u s ________ Total 5 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $104,719.88 Total .$104,719.88 66 REPORT OF THE COMMISSIONER OF BANKING BARRONETT STATE BANK Barronett John R. H ayes , D is tr ic t S p ecia l D e p u ty C om m ission er C o n d ition a s o f A p r il S, 1931 R e so u r c e s L ia b ilitie s Loans and Discounts: On real estate_$ 39,057.85 Other ------------ 17,014.65 C a p i t a l ----------------------------- $ 10,000.00 Surplus and Undivided Profits 3,131.27 Deposits: T i m e ________$ 19,730.91 Total Loans and Discounts $ 56,072.50 D e m a n d _____ 18,924.53 I n v e s t m e n t s _____________ 7,555.98 4,401.23 All other resources ______ Total Deposits ________ $ 38,655.44 Borrowing’s from other Banks 15,500.00 Other L i a b i l i t i e s _________ 743.00 Total ----------------------------$ 68,029.71 Total ________________ $ 68,029.71 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $ 12,035.13 Assessments on s t o c k ____ 1,195.00 Other C o l l e c ti o n s _________ 884.11 Due N. W. S t a t e _________ .52 T o t a l ----------------------- ----- $ 14,114.76 CONDENSED STATEM EN T Loans and D i s c o u n t s _____ $ 50,691.40 Banking House and P. and P. 2,400.00 Bonds and Other Securities 975.05 All other r e s o u r c e s _______ 6,708.67 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 247.90 1,695.69 195.60 77.59 6,236.07 5,661.91 .52 T o t a l -----------------------------$ 14,114.76 OF C O N D IT IO N D E C E M B E R 31. 1935 R e so u rc e s Total D is b u r s e m e n ts Legal ------------------------------ $ Administration __________ Taxes, I n s u r a n c e _________ Other Expenses _________ Bills P a y a b l e ____ Preferred C l a i m s _________ Cash on hand Dec. 31, 1935 ( o v e r d r a f t ) ____________ $ 60,775.12 L ia b ilitie s C a p i t a l _________________ $ 10,000.00 Surplus and Undivided Profits 2,000.00 Deposits and C l a i m s ______ 33,086.93 Other Liabilities ________ 15,687.67 Overdraft N. W. S t a t e ____ .52 Total $ 60,775.12 67 REPORT OP1 THE COMMISSIONER OF BANKING FARMERS & MERCHANTS STATE BANK Bayfield John R. H ayes , D i s t r i c t S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f O ctob er 0, 1925 L ia b ilitie s R e so u rc e s Capital ___ $ 25,000.00 Loans and Discounts: Total Loans and Discounts $ 41,650.54 Deposits: All other resources 4,522.12 Time $ 14,849.41 Paid out in excess of e a r n Demand 8,705.53 ings _ 3,407.28 Total Deposits $ 23,554.94 Borrowings from other Banks 1,025.00 Total $ 49,579.94 Total _ ? 49,579.94 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e ce m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of Assets $ 14,679.35 Legal $ 3,382.60 Assessments on stock 5,586.04 Administrât on _ 132.25 Recovery on Bond Judgments 750.00 Bills Payable 700.00 Other Collections 2,069.27 Re-Discounts 325.00 Preferred Claims Int. Paid__ 12.7 2 Dividends 16,790.04 Adjustment in Offsets 84.50 Offsets 33.94 Cash on hand Dec. 31, 1935— 1,623.61 Total $ 23,084.66 CONDENSED STATEM ENT Total $ 23,084.66 O F C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s R e so u rc e s Due to claims filed $ 7,182.23 Cash on hand and due from banks $ 1,623.61 To be refunded to stockhold All other resources 12,110.00 ers when collected f r o m judgments less expense a c count 6,551.38 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 13,733.61 Total $ 13,733.61 68 REPORT OF THE COMMISSIONER OF BANKING FARMERS STATE BANK Belmont J. R. V il l e m o n t e , S p e c ia l D e p u t y C o m v i is s io n e r C o n d ition ns o f J u ly 12, 1932 R e so u rc e s L ia b ilitie s C a p i t a l _________________ $ 20,000.00 Surplus and Undivided Profits 9,000.00 Deposits: T i m e ________$160,335.91 Total Loans and Discounts $260,377.40 D e m a n d ___ ._ 65,357.00 Other Real E s t a t e ________ 15,500.00 Investments _____________ 31,000.00 Total Deposits ________ $225,692.91 All other r e s o u r c e s _______ 16,300.16 Borrowings from other Banks 62,800.00 Other L ia b i l i t i e s _________ 5,684.65 Loans and Discounts: On real estate_$ 60,107.66 Other _______ 200,269.74 Total ________________ $323,177.56 Total ________________ $323,177.56 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1933 C o lle c tio n s Liquidation of A s s e t s _____ $106,700.30 Assessments on s t o c k _____ 16,542.00 Recovery on b o n d ________ 13,213.28 Other C o lle c tio n s _________ 14,762.13 RFC L o a n ______________ 21,856.34 Cash 7/12/32_____________ 4,154.95 Total $177,229.00 CONDENSED STATEM EN T D is b u r s e m e n ts Belmont Cry ____________ $ Legal ------------------------------Administration __________ Taxes, Insurance ________ Other Expenses _________ Bills P a y a b l e ____________ Preferred C l a i m s _________ Dividends ______________ Loss— C o m p ro m ise ________ Offsets _________________ Cash on hand Dec. 31, 1935_ Federal Tax P a i d ________ Total 3,992 67 2,232.60 6.673.62 2,706.80 2,236.51 87,738.70 1,775.81 21,837.34 30,683.19 14,947.36 2,396.30 8.10 $177,229.00 O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s L ia b ilitie s Loans and D i s c o u n t s _____ $144,401.61 C a p i t a l _________________ $ 20,000.00 Banking House and F. and F. 2,930.15 Deposits and C l a . m s ______ 197,495.56 Other Real E s t a t e ________ 15,500.00 Bonds and Other Securities_ 14,025.00 $217,495.56 Cash on hand and due from Less D e f i c i t ___________ 36,862.77 b a n k s ________________ 2,396.30 All other r e s o u r c e s _______ 749.97 Other Claims F i l e d _______ 629.76 T o t a l _________________ $180,632.79 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T o t a l _________________ $180,632.79 REPORT OF THE COMMISSIONER OF BANKING 68 BIG BEND STATE BANK Big Bend A lfred N b w l a n d e r , S p e c ia l D e p u t y C o m m i s s i o n e r C on dition ns o f A u g u s t 10, 1932 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 32,053.98 Other ------------ 77,591.34 C a p i t a l _________________ $ 15,000.00 Surplus and Undivided Profits 11,410.21 Deposits: T i m e ________$ 93,645.64 Total Loans and Discounts $109,645.32 30,798.91 D e m a n d _____ Other Real E s t a t e ________ 2.633.66 I n v e s t m e n t s ---------------------- 43,405.75 Total Deposits ________ $124 237.55 All other r e s o u r c e s _______ 19,617.21 Borrowings from other Banks 18,000.00 Other L i a b i l i t i e s _________ 6,654.18 Total ----------------------------$175,301.94 Total ----------------------------$175,301.94 R e c e ip t» and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $104,330.91 Legal __________________$ 1,043.30 Assessments on s t o c k _____ 14,120.00 Administration __________ 4,858.95 Other C o lle c ti o n s _________ 9,452.88 Taxes, Insurance ________ 365.06 Other Expenses __________ 4,164.78 Bills P a y a b l e ____________ 18,078.28 Preferred C l a i m s _________ 2.026.48 Dividends ______________ 60,609.79 Offsets _________________ 3.234.48 Cash on hand Dec. 31, 1935_ 7,598.08 Loss on In v e s t m e n t s ______ 25,924.59 Total Total $127,903.79 $127,903.79 CO NDENSED STATEM ENT OF C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s L ia b ilitie s Loans and D i s c o u n t s _____ $ 41,128.55 C a p i t a l _________________ $ 15,000.00 Banking House and F. and F. 5,393.42 Surplus and Undivided Profits 19,706.30 Other Real E s t a t e ________ 2,633.66 Deposits and C l a i m s ______ 60,845.01 Bonds and Other Securities.- 13,505.00 Other L ia b i l i t i e s _________ 14,152.72 Cash on hand and due from banks ________________ 7,598.08 All other resources _______ 32.72 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 70,291.43 Total .$ 70,291.43 70 REPORT OF THE COMMISSIONER OF BANKING BLACK HAWK STATE BANK Black Hawk J. M. Meier, S p e c ia l D e p u t y C o m m i s s i o n e r C o n d ition ns o f M arch 2, 1033 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 16,730.60 Other _______ 44,905.17 Capital ________________ $ 15,000.00 Surplus and Undivided Profits 2,533.80 Deposits: T i m e ________$ 54,354.29 Total Loans and Discounts $ 61,635.77 D e m a n d _____ 34,207.91 Other Real E s t a t e ________ 2,800.00 I n v e s t m e n t s ______________ 35,179.89 Total Deposits ________ $ 88,562.20 All other r e s o u r c e s ________ 11,480.34 Borrowings from other Banks 5,000.00 Total ----------------------------$111,096.00 Total ________________ $111,096.00 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $ 74,343.87 Assessments on s t o c k _____ 8,350.04 Other C o l l e c t i o n s _________ 4,508.60 Cash on hand on daté of c l o s i n g _______________ 9,778.86 R.F.C. Loan ( P a i d ) _______ 4,675.11 Total $101,656.48 co n d en sed sta t e m e n t of D is b u r s e m e n ts 268.70 Legal ------------------------------ $ Administration __________ 2,078.47 Taxes, Insurance ________ 245.09 Other E x p e n s e s __________ 1,291.37 Bills P a y a b l e ____________ 9,714.48 Preferred C l a i m s ________ 6,100.87 Dividends (55%) ________ 45,799.39 Offsets _________________ 6,304.71 Cash on hand Dec. 31,1935_ 6,097.51 Loss in Conversion of Assets 23,755.89 Total $101,656.48 C O N D IT IO N D E C E M B E R 31, 1933 R e so u rc e s L ia b ilitie s Loans and D i s c o u n t s _____ $ 24,233.63 C a p i t a l _________________ $ 15,000.00 Banking House and F. and F. 4,384.50 Surplus and Undivided Profits 1,589.23 2,420.10 Deposits and C l a i m s ______ 37,531.65 Bonds and Other Securities_ Cash on hand and due from Stock Assessment Collected 8,350.04 banks ________________ 6,097.51 All other r e s o u r c e s ________ 25,335.18 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 62,470.92 Total $ 62,470.92 71 REPORT OF THE COMMISSIONER OF BANKING UNION STATE BANK Blanchardville W ilfred L. H eindel, C ondition s in S p e c ia l D e p u t y C o m m is s i o n e r of F e b r u a r y 4, 1929 L ia b ilitie s R e so u rc e * Loans and Discounts: On real estate_$ 98,557.93 Other _______ 237,153.48 Total Loans and Discounts $335,711.41 Other Real E s t a t e ________ 65,611.04 All other r e s o u r c e s _______ 25,685.86 Total ________________ $427,008.31 C a p i t a l _________________ $ 55,000.00 Surplus and Undivided Profits 18,181.05 Deposits: T i m e _______ $156,613.86 D e m a n d _____ 117,213.40 Total Deposits ________ $273,827.26 Borrowing's from other Banks 80,000.00 Total ________________ $427,008.31 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 110, 1935 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s _____ $178,117.67 Legal __________________$ 3,866.44 14,203.01 Assessments on s t o c k _____ 50,658.64 Administration __________ 8,916.11 Other C o lle c tio n s _________ 36,658.81 Taxes, Insurance ________ Other Expenses _________ 13,762.78 Bills P a y a b l e ____________ 80,000.00 Dividends ______________ 123,038.56 Offsets _________________ 18,467.96 Cash on hand Dec. 30, 1935__ 3,180.26 Total $265,435.12 CONDENSED S T A T E M E N T O F C O N D IT IO N D E C E M B E R 30, 1935 R e so u rc e s Loans and D i s c o u n t s _____ $ 61,576.20 Bank ing House and P. and P. 8,080.15 Other Real E s t a t e ________ 450.00 Cash on hand and due from b a n k s ________________ 3,180.26 All other r e s o u r c e s _______ 29,542.97 Losses _________________ 170,459.03 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $265,435.12 Total $273,288.61 L ia b ilitie s C a p i t a l _________________ $ 55,000.00 Surplus and Undivided Profits 19,981.99 Deposits and C l a i m s ______ 126,901.50 Other L ia b i l i t i e s __________ 20,746.48 Stock Assessment _________ 50,658.64 Total $273,288.61 72 REPORT OF THE COMMISSIONER OF BANKING BLUE MOUNDS STATE BANK Blue Mounds J ohn H uggins, S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f F e b r u a r y 27, 19.13 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate__$ 3,359.50 Other _______ 42,546.11 Capital ________________ $ 15,000.CO Surplus and Undivided Profits 10,386.35 Deposits: T i m e ________$ 28.335.95 Total Loans and Discounts $ 45,905 61 D e m a n d _____ 18,080.94 Other Real Estate _______ 2 50 '.00 I n v e s t m e n t s _____________ 24,490.' 0 Total Deposits ________ $ 46,416.89 5,843 92 Borrowings from other Banks All other r e s o u r c e s _______ 6 500.00 Other Liabilities ________ 436.29 Total ? 78,739.53 Total $ 78,739.53 R e c e ip ts and D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $ 11,584 09 Assessments on s t o c k _____ 8,236.93 Recovery on bond ________ 1,055.00 Other C o l l e c ti o n s ________ 20,662.13 Total $ 41,538.15 CO NDENSED STATEM ENT D is b u r s e m e n ts Legal ------------------------------ $ 604.35 Administration __________ 2,612.02 Taxes, Insurance ________ 131.28 Other Expenses _________ 969.04 Bills Payable ___________ 6,531.60 Preferred C l a i m s ________ 933.02 Dividends ______________ 22,432.14 Offsets _________________ 1,975.83 Cash on hand Dec. 31, 1935_ 5,050.86 Interest P a i d ____________ 298.01 $ 41,538.15 T otal O F C O N D IT IO N D E C E M B E R R e so u rc e s 31, 1935 L ia b ilitie s Loans and D i s c o u n t s _____ : 24,913.98 C a p i t a l _________________ $ 15,000.00 3.875.00 Deposits and C l a i m s ______ 22,527.44 Banking House and F. and F. Bonds and Other Securities_ 8.895.00 Stock A s s e s s m e n ts ________ 8,236.93 Cash on hand and due from banks ________________ 5,050.86 17.46 All other resources _______ Surplus ________________ 3,012.07 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 45,764.37 Total $ 45,764.37 73 REPORT OF THE COMMISSIONER OF BANKING FARMERS STATE BANK Bowler Chas . C. V ogl, S p e c ia l D e p u t y C o m m is s i o n e r C on dition ns o f F e b r u a r y 21, 11)114 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 12,971.00 Other 29,808.92 Total Loans and Discounts $42,779.92 Other Real Estate _ 3,300.00 Investments _ 57,134.31 All other resources 270.96 Total __ $103,485.19 Capital $ 15,000.00 Surplus and Undivided Profits 7,314.26 Deposits: Total Deposits 81,170.93 Total _ _ $103,485.19 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 21, 1935 C o lle c tio n s Liquidation of Assets Assessments on stock Recovery on bond Other Collections Total $ 10,315.17 5,456.30 9,918.28 1,963.28 $ 27,653.03 CONDENSED Loans and Discounts $ Banking House and F. and F. Other Real Estate Bonds and Other Securities_ Cash on hand and due from banks _ A ll other resources Expense _ __ ___ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Total 1,154.54 150.90 1,615.67 43.93 15,674.64 748.16 8,265.19 $ 27,653.03 S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1933 R e so u rc e s Total D is b u r s e m e n ts Administration $ Taxes, Insurance Other Expenses Preferred Claims Dividends Offsets _ Cash on hand Dec. 3Ï, 1935_ 33,264.75 2,900.00 2,500.00 44,331.74 8,265.19 314.89 2,921.11 $ 94,497.68 L ia b ilitie s Capital $ Surplus and'Undivided Profits Deposits and Claims Other Liabilities Assessments Coll. Total _ - - 15,000.00 7,314.26 64,748.13 1,978.99 5,456.30 $ 94,497.68 74 REPORT OF THE COMMISSIONER OF BANKING CITIZENS STATE BANK Boyd L loyd E. H ull , S p e c ia l D e p u t y C o m m i s s i o n e r C o n d ition a s o f F e b r u a r y 23, 1933 L ia b ilitie s R e so u rc e s Capital ----------------------------$ 12,500.00 Loans and Discounts: 6,494.88 Total Loans and Discounts $230,396.36 Surplus and Undivided Profits Other Real E s t a t e ________ 7,122.00 Total D e p o s i t s ---------------- 165,936.34 Borrowing's from other Banks 77,182.98 Investments _____________ 15,997.50 All other r e s o u r c e s _______ 8,598.34 Total ________________ $262,114.20 Total ________________ $262,114.20 R e c e ip ts and D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s __ Assessments on s t o c k __ Recovery on bond _____ Other C o l l e c t i o n s _____ Cash on hand 2/23/33 __ $181,691.63 9,171.25 13,067.50 13,378.75 1,249.04 T o t a l _________________ $218,558.17 CONDENSED STATEM EN T D is b u r s e m e n ts Legal ________________ __$ Administration __________ Taxes, Insurance ________ Other Expenses _________ Bills P a y a b l e ____________ Preferred C l a i m s _________ Dividends ______________ Offsets _________________ Cash on hand Dec. 31, 1935_ Loss __________________ 2,086.42 4,570.24 1,567.45 6,680.65 77,182.98 350.30 47,744.23 10,544.71 3,711.11 64,120.08 T o t a l _________________ $218,558.17 OF C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s R e so u rc e s Loans and D i s c o u n t s --------- $ 59,445.19 C a p i t a l ________:________ $ 12,500.00 61.75 Deposits and C l a i m s ______ 107,943.71 Banking House and F. and F. 2,600.00 Other Real E s t a t e ________ 2,930.00 Bonds and Other Securities_ Cash on hand and due from 3,711.11 banks ________________ 74.49 All other resources _______ Surplus and Undivided Profits 51,621.17 Deficit _______________ Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $120,443.71 Total $120,443.71 75 REPORT OF THE COMMISSIONER OF BANKING FARMERS STATE BANK Brandon J. C. S t a d l e r , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f F'e b ru a r y 25, 1933 L ia b ilitie s R e so u rc e s Capital ________________ $ 20,000 00 Surplus and Undivided Profits 15,244.93 Deposits: T i m e _______ $147,618.84 D e m a n d _____ 53,056.06 Total Loans and Discounts $104,788.95 Other Real E s t a t e ________ 12,000.00 Total Deposits ________ $200,674.90 Investments _____________ 118,662.50 All other r e s o u r c e s _______ 20,808.38 Borrowings from other Banks 20,340.00 Loans and Discounts: On real estate_$ 27,295.00 Other _______ 77,493.95 Total ________________ $256,259.83 Total ________________ $256,259.83 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s _____ $135,021.75 Legal __________________$ 749.90 5,489.74 16,929.77 Administration __________ Assessments on s t o c k _____ 1,147.65 Recovery on b o n d ________ 19,678.29 Taxes, Insurance ________ Other Expenses _________ 2,343.13 Bills P a y a b l e ____________ 20,340.00 Preferred C l a i m s ________ 14,463.66 Dividends ______________ 100,968.64 4,795.27 Offsets _________________ Cash on hand Dec. 31, 1935_ 21,331.82 $171,629.81 Total CONDENSED STATEM EN T Total $171,629.81 O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s L ia b ilitie s Loans and D i s c o u n t s _____ $ 32,808.45 C a p i t a l _________________ $ 20,000.00 1,793.85 Banking House and F. and F. 7,655.50 Surplus and Undivided Profits Other Real E s t a t e ________ 9,000.00 Deposits and C l a i m s ______ 82,732.45 Bonds and Other Securities_ 32,746.50 Cash on hand and due from banks ________________ 21,331.82 All other r e s o u r c e s _______ 984.03 T o t a l _________________ $104,526.30 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T o t a l _________________ $104,526.30 76 REPORT OF THE COMMISSIONER OF BANKING HOME STATE BANK Bristol Ch as . H, S palding, S p e c ia l D e p u t y C o m m is s i o n e r C on dition as of D e c e m b e r 1. 1932 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 17,690.00 Other _______ 132,892.26 C a p i t a l _______ 1 ________ $ 10,000.00 Surplus and Undivided Profits 8,170.82 Deposits: T i m e _______ $ 92,072.36 Total Loans and Discounts $150,582.26 D e m a n d _____ 42,717.29 Other Real E s t a t e ________ 305.20 I n v e s t m e n t s _____________ 7,695.00 Total Deposits ________ $134,789.65 All other r e s o u r c e s _______ 22,758.88 Borrowings from other Banks 20 000.00 Other L i a b i l i t i e s _________ 8,380.87 Total ---------------------------- $181,341.34 Total ----------------------------$181,341.34 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $ 57,017.91 Legal ------------------------------ $ Assessments on s t o c k _____ 9,557.00 Administration __________ Recovery on bond ________ 1,564.70 Taxes, insurance ________ Other C o lle c tio n s ________ 1,428.49 Other Expenses _________ Loan (R.F.C.) ____________ 15,161.18 Bills P a y a b l e ____________ Cash and due from banks__ 2,957.82 Preferred C l a i m s ________ Dividends ______________ Offsets _________________ Cash on hand Dec. 31, 1935_ Total Total $ 87,687.10 $ CONDENSED STATEM ENT L ia b ilitie s Loans and D i s c o u n t s _____ $ 91,739.52 C a p i t a l _________________ $ Banking House and P. and P. 8,322.50 Surplus and Undivided Profits Bonds and Other Securities_ 5,225.00 Deposits and C l a i m s ______ Cash on hand and due from Other L ia b i l i t i e s _________ banks ---------------------------3,937.44 Dividend A c c o u n t _________ All other r e s o u r c e s _______ 32,452.64 Dividend Account _________ 38,370.18 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 87,687.10 O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Total 483.73 4,349.25 587.15 2,107.99 30,059.30 213.75 38,370.18 7,578.31 3,937.44 $180,047.28 Total 10,000.00 8,080.35 89,875.56 33,721.19 38,370.18 $180,047.28 77 REPORT OF THE COMMISSIONER OF BANKING BRULE STATE BANK Brule J ohn R. Hayes, D i s t r i c t S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f M a y 2, 1033 L ia b ilitie s R e so u rc e s Capital ________________ $ 10,000.00 Surplus and Undivided Profits 3,000.00 Deposits: T i m e ________$ 9,834.47 D e m a n d _____ 12,292.06 Total Loans and Discounts $ 47,768.29 Other Real Estate _______ 1,837.75 Total Deposits ________ $ 22,126.53 I n v e s t m e n t s _____________ 2,667.73 A ll other resources ______ 8,036.81 Borrowing's from other Banks 24,796.10 Other L ia b i l i t i e s _________ 387.95 Loans and Discounts: On real estate_$ 7,994.10 Other _______ 39,774.19 60,310.58 Total Total 60,310.58 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $ Assessments on s t o c k --------Other C o lle c ti o n s ________ Cash date of c l o s i n g ----------- 7,864.65 45.00 2,289.67 2,078.53 T o t a l _________________ $ 12,277.85 CONDENSED STATEM ENT D is b u r s e m e n ts Legal __________________$ Administration __________ Taxes, Insurance _________ Other E x p e n s e s __________ Bills P a y a b l e __________ __ Interest on Bills Payable___ R.F.C. Coll. E x . __________ A d ju s tm e n ts _____________ Offsets _________________ Cash on hand Dec. 31,1935— Special Trust A c c o u n t s ____ Compromise L o s s _________ 5.00 1,271.93 63.12 156.16 6,654.32 1,413.76 759.14 77.53 71.67 72.43 982.84 749.95 T o t a l _________________ $ 12,277.85 O F C O N D IT IO N D E C E M B E R 31, 1933 L ia b ilitie s R e so u rc e s Loans and D i s c o u n t s --------- ! 40,950.50 C a p i t a l _________________ ! 10, 000.00 2,862.80 1,539.50 Surplus and Undivided Profits Banking House and F. and F. 1,837.75 Deposits and C l a i m s ______ 21,426.16 Other Real E s t a t e ------------2,555.06 2,617.73 Other L ia b i l i t i e s _________ Bonds and Other Securities— Bills P a y a b l e ____________ 18,141.78 Cash on hand and due from 72.43 banks ---------------------------7,967.89 All other resources -----------Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 54,985.80 Total 54,985.80 78 REPORT OF THE COMMISSIONER OF BANKING STATE BANK OF BUTLER Butler T. P. M c D e r m o t t , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f J a n u a ry 18, 1933 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_? 53,483.66 Other _______ 19,905.64 Capital ---------------------------- $ 10,000.00 Surplus and Undivided Profits 3,619.79 Deposits: T i m e ________$ 34,260.65 Total Loans and Discounts $ 73,389.30 D e m a n d _____ 17,637.01 I n v e s t m e n t s _____________ 18,412.94 All other r e s o u r c e s _______ 7,800.33 Total Deposits ________ $ 51,897 66 Borrowings from other Banks 34 069.78 Other Liabilities ________ 15.34 Total $ 99,602.57 Total .$ 99,602.5 ( R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $ 66,017.25 Losses _________________ $ 4,390.82 Assessments on s t o c k _____ 2,459.39 Legal __________________ 200.00 Other C o l l e c t i o n s ________ 4,545.64 Administration _________ ■ 2,500 00 Cash January 18, 1933_____ 265.42 Taxes, Insurance ________ 73.37 Other Expenses _________ 1,814.86 Bills P a y a b l e ____________ 34,069.78 Preferred C l a i m s ________ 152.20 Dividends ______________ 24,170.95 Offsets _________________ 3,533.51 Cash on hand ____________ 184.15 Interest Paid ____________ 2,148.06 Total Total $ 73,287.70 $ 73,287.70 CONDENSED STATEM EN T OF C O N D IT IO N D E C E M B E R 31, 1985 R e so u rc e s L ia b ilitie s Loans and D i s c o u n t s ______ $ 21,847.55 C a p i t a l ----------------------------- $ 10,000.00 Banking House and F. and F. 7,500.00 Surplus and Undivided Profits 1,175.03 Bonds and Other Securities_ 4,092.36 Deposits and C l a i m s ______ 24,834.00 Cash on hand and due from banks ________________ 184.15 All other resources _______ 34.91 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 33,658.97 Total 33,658,97 79 REPORT OF THE COMMISSIONER OF BANKING CABLE STATE BANK Cable John R. H ayes , D i s t r i c t S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f N o v e m b e r 28, 1934 L ia b ilitie s R e so u rc e s C a p i t a l ___ ,_____________$ 20,000.00 Surplus and Undivided Profits 1,801.64 Deposits: T i m e ________$ 22,704.12 Total Loans and Discounts $ 65,842.60 D e m a n d --------- 45,313.49 I n v e s t m e n t s _____________ 8,769.29 All other r e s o u r c e s _______ 15,346.37 Total Deposits ________ $ 68,017.61 139.01 Other L ia b i l i t i e s ---------------- Loans and Discounts: On real estate_$ 16,291.32 Other _______ 49,551.28 Total $ 89,958.26 Total $ 89,958.26 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s __ Assessments on s t o c k __ Other C o l l e c ti o n s _____ Cash date of closing-___ D is b u r s e m e n ts $ 35,368.68 7.400.00 1.367.01 4,114.24 Legal ------------------------------ $ 84.00 Administration _______ .___ 1,592.66 Taxes, Insurance _________ 189.62 Other Expenses _________ 183.88 Preferred C l a i m s ________ 1,894.23 25,023.16 Dividends ______________ Offsets ----------------------------4,015.69 Cash on hand Dec. 31, 1935— 3,394.12 170 19 Adjustments ____________ Compromise L o s s _________ 11,702.38 T o t a l _________________ $ 48,249.93 T o t a l _________________ $ 48,249.93 CONDENSED STATEM ENT O F C O N D IT IO N D E C E M B E R 31, 1935 R c so u rc L ia b ilitie s Loans and D is c o u n t s ______ $ 38,026.18 C a p i t a l _________________ ! 20, 000.00 Banking House and F. and F. 6,942.50 Surplus and Undivided Profits 2,286.87 Bonds and Other Securities_ 2,951.77 Deposits and C l a i m s ______ 49,832 31 Cash on hand and due from b a n k s ________________ 3,394.12 All other r e s o u r c e s _______ 8,384.34 2nd D i v . _________________ 12,420.27 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 72,119.18 Total $ 72,119.18 80 REPORT OF THE COMMISSIONER OF BANKING FARMERS STATE BANK Calumet Harbor J. C. S t a d l e r , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns of J a n u a ry 12, 1931 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 51,195.00 Other _______ 73,515.51 C a p i t a l _________________ $ 20,000.00 Surplus and Undivided Profits 13,610.45 Deposits: T i m e ------------- $115,620.01 Total Loans and Discounts $124,710.51 D e m a n d _____ 51,987.03 Other Real E s t a t e ________ 10,514.00 I n v e s t m e n t s _____________ 92,753.00 Total Deposits ________ $167,607.04 All other r e s o u r c e s _______ 15,539.98 Borrowing's from other Banks 42,300.00 Total ----------------------------$243,517.49 Total ----------------------------$243,517.49 R e c e ip ts and D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $192,509.90 L egal -------------------------------$ 1,038.84 16,281.96 Administration ___ •______ Assessments on s t o c k _____ 7,970.37 Other C o lle c ti o n s ________ 18,231.16 Taxes, Insurance _________ 594.03 Drafts O u t s ta n d in g _______ 5.01 Other Expenses __________ 907.80 Bills P a y a b l e ____________ 42,300.00 Preferred C l a i m s ________ 13,015.54 Dividends ______________ 156,057.97 Offsets _________________ 4,824.08 Cash on hand Dec. 31, 1935_ 319.40 Total Total $227,028.03 $227,028.03 CONDENSED S T A T E M E N T OE C O N D IT IO N D E C E M B E R 31. 1935 R e so u rc e s L ia b ilitie s Loans and D is c o u n t s ______ $ 3,059.87 C a p i t a l ----------------------------- $ 20,000.00 Banking House and F. and F. 4,079.00 Deposits and C l a i m s ______ 8,368.65 Other Real E s t a t e _ 1,500.00 Bonds and Other Securities-- 13,357.50 Cash on hand and due from banks ________________ 319.40 Undivided P r o f i t s __ 6,052.88 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .$ 28,368.65 Total $ 28,368.65 REPORT OF THE COMMISSIONER OF BANKING 81 FARMERS STATE BANK Calvary M. H. H aberman , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition a s o f J u n e 4, 1932 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 29,700.00 Other _______ 138,883.50 C a p i t a l _________________ $ 15,000.00 Surplus and Undivided Profits 31,836.49 Deposits: T i m e ________$127,176.49 Total Loans and Discounts $168 583.50 D e m a n d _____ 26,317.83 Other Real E s t a t e _______ _ 8,739.49 In v e s t m e n t s _____________ 42,180.58 Total Deposits _________ $153,494.32 All other r e s o u r c e s _______ 16,347.12 Borrowings from other Banks 30,000.00 Other Liabilities _________ 5,519.88 Total ________________ $235,850.69 Total ----------------------------$235,850.69 R e c e ip ts and D isb u r se m e n ts D a te o f Closing: to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $153,687.60 4,019.02 Assessments on S t o c k ____ Other C o l l e c ti o n s ________ 10,350.59 9,217.33 Cash 6/4/32 _____________ Total $177,274.54 CO NDENSED D is b u r s e m e n ts Legal ------------------------------ $ Administration __________ Taxes, Insurance _________ Other Expenses _________ Bills P a y a b l e ____________ Dividends ______________ Offsets ----------------------------Cash on hand Dec. 31, 1935_ Losses E s t a b l i s h e d _______ Total 1,002.85 2,010.14 411.67 2,921.59 30,000.00 11,487.67 95,993.88 5,969.41 27,477.33 $177,274.54 S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1933 R e so u rc e s L ia b ilitie s Loans and D is c o u n t s ______ $ 52,576.48 C a p i t a l _____________ ___ $ 15,000.00 Other Real E s t a t e ________ 10,739.49 Surplus and Undivided Profits 6,753.59 Bonds and Other Securities-2,500.00 Deposits and C l a i m s ______ 46,012.77 Cash on hand and due from Other L i a b i l i t i e s _________ 4,019.02 banks _________________ 5,969.41 Total 6 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .$ 71,785.38 Total .$ 71,785.38 82 REPORT OF THE COMMISSIONER OF BANKING THE CASSVILLE BANK Cassville T. M. W ebster, S p e c ia l D e p u t y C o m m i s s i o n e r C o n d itio n ns o f J u n e 15, 1934 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 63,475.00 Other _______ 46,215.51 C a p i t a l ----------------------------- $ 30,000.00 Surplus and Undivided Profits 1,019.69 Deposits: T i m e ________$ 79,015.81 Total Loans and Discounts $109,690.51 D e m a n d _____ 35,849.43 Other Real E s t a t e ------------4,422.45 I n v e s t m e n t s _____________ 10,757.55 Total Deposits ________ $114,865.24 All other r e s o u r c e s _______ 21,231.84 Other L ia b i l i t i e s _________ 217.42 T o t a l _________________ $146,102.35 T o t a l ----------------------------- $146,102.35 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 3 1 , 1935 C o lle c tio n s Liquidation of A s s e t s _____ $ 30,122.59 Assessments on s t o c k _____ 2,050.15 Other C o lle c ti o n s _________ 3,311.77 Cash on hand 6/15/34______ 17,536.85 Total ________________ $ 53,021.36 CONDENSED STATEM EN T D is b u r s e m e n ts 578.75 Legal ___------------------- ,------ $ 2,690.07 Administration __________ Taxes, Insurance _________ 397.48 Other Expenses _________ 1,109.79 Preferred C l a i m s _________ 201.92 Dividends ______________ 32,109.21 Offsets ----------------------------4,994.04 Cash on hand Dec. 31, 1935_ 10,940.10 T o t a l ----------------------------- $ 53,021.36 OE C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s L ia b ilitie s Loans and D i s c o u n t s ______ $ 87,955.12 C a p i t a l _________________ $ 30,000.00 Banking House and F. and F. 3,252.00 Deposits and C l a i m s ______ 77,819.49 Other Real E s t a t e ________ 4,422.45 Stock A s s e s s m e n ts ________ 2,050.15 Bonds and Other Securities_ 706.90 Cash on hand and due from banks ________________ 10,940.10 Deficit in S u r p l u s ________ 2,593.07 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $109,869.64 Total $109,869.64 REPORT OF THE COMMISSIONER OF BANKING 83 FARMERS & MERCHANTS STATE BANK Chetek W . E. L uell, S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition un o f A u g u s t 4, 1931 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$139,897.88 Other _______ 112,802.98 Capital ----------------------------$ 35,000.00 Surplus and Undivided Profits 4,178.15 Deposits: Time _______ $ 86,933.29 Total Loans and Discounts $252,700.86 Demand --------- 125,314.75 I n v e s t m e n t s ________ ____ 1,040.05 All other r e s o u r c e s _______ 41,481.91 Total D e p o s i t s __________$212,248.04 Borrowings from other Banks 34,796.63 Other L i a b i l i t i e s _________ 9,000.00 Total ________________ $295,222.82 Total ----------------------------$295,222.82 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1 9 3 5 C o lle c tio n s Liquidation of A s s e t s _____ $172,859.29 Assessments on s t o c k _____ 9,683.13 Cash 8/4/31 _____________ 9,762 95 Other C o lle c tio n s _________ 22,223.99 Total $214,529.36 CO NDENSED Total 96,260.18 499.98 8,484.96 6,187.70 10,040.12 34,796.63 3,344.87 29,624.39 13,963.87 6,826.66 4,500.00 $214,529.36 S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Loans and D is c o u n t s ______ $ Banking House and F. and F. Other Real E s t a t e ________ Undivided P r o f i t s ________ Cash on hand and due from banks ________________ All other r e s o u r c e s _______ L ia b ilitie s 57,302 04 C a p i t a l ----------------------------- $ 35,000.00 30,575.00 Deposits and C l a i m s ______ 175,083.86 17,256.29 Other L i a b i l i t i e s _________ 94.27 97,186.67 6,826.66 1,031.47 T o t a l _________________ $210,178.13 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis D is b u r s e m e n ts Compromise L o s s ________ $ Legal ------------------------------Administration __________ Taxes, Insurance ________ Other Expenses _________ Bills P a y a b l e --------------------Preferred C l a i m s _________ Dividends ______________ Offsets ----------------------------Cash on hand Dec. 31, 1935_ Payment on B u i l d i n g _____ T o t a l ------ ---------------------- $210,178.13 84 REPORT OF THE COMMISSIONER OF BANKING CHILI STATE BANK Chili H. M. B e r g e m a n n , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f O ctob er 15, 1031! R e so u rc e s L ia b ilitie s C a p i t a l _________________ $ 13,000.00 Loans and Discounts: 7,668.42 Total Loans and Discounts $102,685.37 Surplus and Undivided Profits Other Real E s t a t e ------------8,400.00 Deposits: T i m e ________$ 51,759.77 Investments _____________ 30,883.45 4,875.66 All other r e s o u r c e s -----------D e m a n d ___'__ 34,051.16 Total Deposits ________ $ 85,810.93 Borrowing's from other Banks 35,975.00 Other Liabilities _________ 4,390.13 Total ________________ $146,844.48 Total ________________ $146,844.48 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts 330.50 Liquidation of A s s e t s _____ $ 71,808.73 Legal __________________$ Assessments on s t o c k _____ 7,809.43 Administration __________ 4,258.79 7,080.21 Taxes, Insurance ________ Other C o l l e c ti o n s ________ 266.23 Other Expenses _________ 1,627 00 Bills P a y a b l e ____________ 35,975.00 2.045.42 Preferred C l a i m s ________ Dividends ______________ 16,114.14 Offsets _________________ 5,272.00 6.596.42 Cash on hand Dec. 31, 1935_ Loss __________________ 14,212.87 Total 86,698.37 CONDENSED STATEM EN T Loans and D is c o u n t s ---------- $ 57,651.46 Banking House and F. and F. 4,414.50 Other Real E s t a t e ________ 8,275.00 Cash on hand and due from b a n k s ________________ 6,596.42 All other r e s o u r c e s _______ 37,204.95 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 86,698.37 O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Total Total $114,142.33 L ia b ilitie s C a p i t a l _________________ $ 13,000.00 Surplus and Undivided Profits 8,864.68 Deposits and C l a i m s ______ 80,908.65 Other L ia b i l i t i e s _________ 11,369.00 Total $114,142.33 REPORT OF THE COMMISSIONER OF BANKING 85 THE PEOPLES BANK Clear Lake M erton F. B aker , S p e c ia l D e p u t y C o m m i s s i o n e r C on dition ns o f D e c e m b e r 13, 1932 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 35,640.26 Other _______ 72,081.86 C a p i t a l ----------------------------- $ 25,000.00 Surplus and Undivided Profits 7,089.40 Deposits: Time ------------- $ 74,870.47 Total Loans and Discounts $107,722.12 D e m a n d _____ 29,962.82 9,237.85 Other Real Estate _______ I n v e s t m e n t s _____________ 44,930.94 Total Deposits _________ $104,833.29 All other r e s o u r c e s _______ 15,310.61 Borrowings from other Banks 32,084.00 Other Liabilities _________ 8,194.83 Total ----------------------------$177,201.52 Total ----------------------------$177,201.52 R e c e ip ts and D isb u r se m e n ts D a te o f Closing- to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $129,024 45 Assessments on s t o c k _____ 8,389.31 Other C o l l e c t i o n s ________ 10,742.94 Adjustment _____________ 1,404.72 59 . 6 O Legal ------------------------------ $ Administration __________ 3,550.00 Taxes, Insurance _________ 1,343.83 Other Expenses _________ 3.840.84 Bills P a y a b l e --------------------- 32,084.00 Preferred C l a i m s _________ 2,513.68 Dividends ------------------------- 41,425.08 Offsets ----------------------------4,593.12 6,707.70 Cash on hand Dec. 31, 1935_ Cash O.D. Dec. 31, 1932____ 886.97 Losses Charged O f f _______ 52,556.60 Total $149,561.42 $149,561.42 Total CONDENSED STATEM EN T OP C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s L ia b ilitie s Loans and D is c o u n t s ______ : 27,247.98 C a p i t a l ----------------------------- $ 25,000.00 Banking House and F. and F. 1,172.50 Deposits and C l a i m s ______ 63,505.74 Other Real E s t a t e ________ 2,792.20 Other L i a b i l i t i e s _________ 12,658.69 Bonds and Other Securities-7,564.94 Cash on hand and due from banks ________________ 6,707.70 All other resources _______ 64.14 Losses and Undiv. Prof. Def. 55,614 97 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $101,164.43 Total $101,164.43 REPORT OF THE COMMISSIONER OF BANKING 86 STATE BANK OF CORNELL Cornell John R. H ayes , D is tr ic t S p ecia l D e p u ty C om m ission er C o n d ition as o f O ctob er 7, 1932 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $ 25,000.00 Surplus and Undivided Profits 3,027.36 Deposits: T i m e ________$ 31,563.11 D e m a n d --------- 53,702.88 Total Loans and Discounts $109,310.50 Other Real Estate _______ 10,373.06 Total Deposits ________ $ 85,265.99 Investments ---------------------- 14,092.50 All other resources ----------- 14,138.38 Borrowing's from other Banks 32,709.36 Other Liabilities _________ 1,911.73 Loans and Discounts. On real estate_$ 51,589.13 Other _______ 57,721.37 Total ________________ $147,914.44 Total ________________ $147,914.44 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1935 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s --------- $ 48,082.02 Legal __________________$ 1,011.36 3,928.20 3,024.60 Administration __________ Assessments on s t o c k --------1,030.49 5,467.28 Taxes, Insurance _________ Other C o l l e c ti o n s --------------2,033.78 1,660.01 Other Expenses _________ Cash 10/7/32 --------------------Bills P a y a b l e ____________ 25,295.78 Unpaid Drafts applied on 3,642.87 Preferred C l a i m s _________ 9,324.62 Bills Payable ---------------Interest on Bills P ayable----803.20 Offsets _________________ 2,768.06 Cash on hand Dec. 31,1935_ 1,637.45 Compromise L o s s _________ 14,043.84 61,876.78 Total CONDENSED STATEM EN T Total $ 61,876.78 O F C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s R esou rces Loans and D i s c o u n t s __:------ $ 69,223.68 C a p i t a l _________________ $ 25,000.00 Banking House and F. and F. 7,988.87 Deposits and C l a i m s ______ 84,861.07 51.00 Other Real E s t a t e -------------- 13,573.06 Other L i a b i l i t i e s ________ Bonds and Other Securities— 3,336.05 Cash on hand and due from banks ---------------------------1,637.45 All other r e s o u r c e s -----------562.93 Undivided P r o f i t s _________ 13,590.03 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $109,912.07 Total $109,912.07 REPORT OF THE COMMISSIONER OF BANKING 87 STATE BANK OF CRIVITZ Crivitz J. K. C l e a r y , S p e c ia l D e p u t y C o m m is s i o n e r C on dition as o f D e c e m b e r 22, 1927 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 41,323.19 Other _______ 64,228.49 .C a p ita l----------------------------- $ 25,000.00 Surplus and Undivided Profits 2,000.00 Deposits: T i m e ------------- $ 79,376.77 Total Loans and Discounts $ 95,551.68 D e m a n d _____ 33,093.04 Other Real E s t a t e ________ 25,560.65 I n v e s t m e n t s _____________ 12,955.53 Total Deposits --------------- $113,069.81 All other r e s o u r c e s _______ 13,924.54 Borrowing's from other Banks 5,455.33 Other L i a b i l i t i e s _________ 2,467.26 Total ----------------------------$147,992.40 Total ----------------------------$147,992.40 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31. 1935 C o lle c tio n s Liquidation of A s s e t s _____ $ 81,675.52 18,241.56 Assessments on s t o c k _____ Other C o lle c tio n s _________ 364.89 O-D. Farmers & Merchants Bank, M a r i n e t t e ________ 21.59 Short __________________ 1.45 T o t a l ----------------------------- $100,305.01 CONDENSED STATEM EN T D is b u r s e m e n ts 803.16 Legal ------------------------------ .$ Administration __________ 8,725.93 Taxes, Insurance _________ 2,376.39 Other Expenses ___________ 5.439.72 Dividends ------------------------- 79,185.75 Offsets -------------------------------3,774.06 . T o t a l ----------------------------- $100,305.01 OF C O N D IT IO N D E C E M B E R 31. 1935 R e so u r c e s Loans and D i s c o u n t s ______ $ 21,752.12 Banking House and F. and F. 4,379.22 Other Real E s t a t e ______ „ 16,777.70 Bonds and Other Securities 1,057.32 All other r e s o u r c e s _______ 46,122.32 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 90,088.68 L ia b ilitie s C a p i t a l ----------------------------- $ 25,000.00 Surplus and Undivided Profits 4,473.01 Deposits and C l a i m s ______ 32,675 09 Other L ia b i l i t i e s _________ 27,918.99 O-D. Farmers & Merchants Bank, M a r i n e t t e ________ 21.59 Total $ 90,088.68 88 REPORT OF THE COMMISSIONER OF BANKING ISLAND CITY STATE BANK Cumberland J ohn R. H ayes, D i s t r i c t S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f J a n u a r y 10, 1920 R e so u r c e s L ia b ilitie s Loans and Discounts: C a p i t a l _________________ $ 25,000.00 Total Loans and Discounts $226,281.42 Surplus and Undivided Profits 5,268.50 Other Real E s t a t e ________ 16,900.00 Deposits: All other r e s o u r c e s _______ 14,353.82 T i m e _______ $140,435.03 D e m a n d _____ 52,831.71 Total Deposits ________ $202,266.74 Borrowings from other Banks 25.000.00 Total ________________ $257,535.24 Total ----------------------------$257,535.24 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $108,341.41 Legal __________________$ Charge O f f _____________ 7,275.00 Administration __________ R e c o v e r y o n b o n d _____________ 5.705.00 Taxes, Insurance ________ Other C o lle c tio n s _________ 13,613.18 Other Expenses _________ Bills P a y a b l e ____________ Compromise L o s s ________ Dividends ____________ ;__ Offsets _________________ Cash on hand Dec. 31, 1935_ Total $134,934.59 CONDENSED STATEM EN T Loans and D i s c o u n t s ______ $ 68,003.04 Other Real E s t a t e ________ 10,472.25 Cash on hand and due from banks ________________ 9,431.90 All other r e s o u r c e s _______ 102,740.01 3rd Dividend ____________ 9,817.29 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $134,934.59 O F C O N D IT IO N D E C E M B E R 31, 1935 R esou rces Total Total 2,033.84 9,206 45 10,461.17 3,192.08 25,391.44 32,916.27 37,253.79 5,047.65 9,431.90 $200,464.49 L ia b ilitie s C a p i t a l ----------------------------- $ 25,000.00 Surplus and Undivided Profits 5,000.00 Deposits and C l a i m s ______ 170,015.76 Other L ia b i l i t i e s _________ 448.73 Total $200,464.49 89 REPORT OF THE COMMISSIONER OF BANKING STATE BANK OF CYLON Cylon John R. H ayes , D i s t r i c t S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition a s o f J u ly 1, 1027 L ia b ilitie s R e so u rc e s C a p i t a l _________________ % 10.000.0o Loans and Discounts: Total Loans and Discounts $ 34,052.91 Deposits: T i m e ________$ 10,715.76 2 , 000.00 Other Real E s t a t e ________ 4,221.On D e m a n d _____ 24,496.05 i n v e s t m e n t s _____________ 4,937.90 All other resources _______ Total Deposits ________ $ 35,211.81 $ 45,211.81 Total $ 45,211.81 Total R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 30, 1935 D is b u r s e m e n ts C o lle c tio n s 201.05 Liquidation of A s s e t s _____ $ 17,993.54 Legal __________________$ 5,126.29 Assessments on s t o c k --------887.45 Administration __________ 391.26 Other C o l l e c ti o n s ________ 1,807.02 Taxes, I n s u r a n c e ____ Other Expenses ---------------42.13 Preferred C l a i m s ____ 1,298.81 9,346.38 Dividends ______________ Offsets ________________ _ 2,910.59 Cash on hand Dec. 31, 1935— 1,371.50 Total $ CONDENSED 20, 688.01 STATEM EN T R e so u rc e s Total 20 , 688.01 O F C O N D IT IO N D E C E M B E R liia b ilitie s 31, 1935 Loans and D i s c o u n t s _____ $ 16,580.51 C a p i t a l _________________ $ 10,000.00 Banking House and F. and F. 3,936.75 Deposits and C l a i m s ----------- 21,640.60 Cash on hand and due from banks ________________ 1,371.50 All other r e s o u r c e s _______ 9,751.84 $ 31,640.60 $ 31,640.60 Total Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 90 REPORT OF THE COMMISSIONER OF BANKING STATE BANK OF DANE Dane E dward S c h m i t z , J r ., S p e c ia l D e p u t y C o m m i s s i o n e r C o n d ition as o f D e c e m b e r 1, 1933 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 15,151.90 Other ------------ 142,625.87 Capital ----------------------------$ 12,000.00 Surplus and Undivided Profits 190.46 Deposits: T i m e ------------- $135,164.82 Total Loans and Discounts $157,777.77 D e m a n d --------9,909.69 I n v e s t m e n t s _____________ 4,392 50 All other r e s o u r c e s _______ 17,695 88 Total Deposits ________ $145,074.51 Borrowing’s from other Banks 15,538.51 Other Liabilities _________ 7,062 67 Total ----------------------------$179,866.15 Total ----------------------------$179,866.15 R e c e ip ts and D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1 9 3 5 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $ 72,701.04 Legal -------------------------------$ Assessments on stock 7,153.41 Administration __________ Recovery on bond ________ 82.50 Taxes, Insurance ________ Other C o lle c tio n s ________ 6,548.54 Other Expenses _________ Bills P a y a b l e ____________ Preferred C l a i m s ________ Dividends ______________ Offsets _________________ Cash on hand Dec. 31, 1935_ Total $ 86,485.49 Total $ CO NDENSED STATEM ENT 86,485.49 OF C O N D IT IO N D E C E M B E R 31, 1935 R e s o u rc e s Loans and D is c o u n t s ______ $ 56,810 38 Bank ing House and F. and F. 4,500.00 Bonds and Other Securities_ 3,092.50 Cash on hand and due from banks ---------------------------7,554.84 All other r e s o u r c e s _______ 50,073 70 Dividends P a i d __________ 52,088 09 Total $174,119.51 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 864.53 3,985.94 58.87 1,007.23 11,265.51 19.94 52,088.09 9,640.54 7,554.84 L ia b ilitie s C a p i t a l ----------------------------- $ 12,000.00 Surplus and Undivided Profits 190.46 Deposits and C l a i m s ______ 140,873.83 Other L i a b i l i t i e s _________ 13,901.81 Collected on S t o c k ________ 7,153.41 Total $174,119.51 91 REPORT OF THE COMMISSIONER OF BANKING DE FOREST STATE BANK De Forest F. W. Pfister, S p e c ia l D e p u t y C o m m i s s i o n e r C o n d ition as o f J u n e 12, 1034 L ia b ilitie s R e so u rc e s C a p i t a l -----------------------------$ 50,000.00 Surplus and Undivided Profits 3,502.31 Deposits: T i m e _______ $201,621.06 D e m a n d --------- 82,518.54 Total Loans and Discounts $252,476.10 Other Real E s t a t e ________ 32,390.00 Total D e p o s i t s --- -------------$284,139.60 I n v e s t m e n t s _____________ 74,162.08 All other r e s o u r c e s ------------ 21,112.68 Borrowings from other banks 29,089.35 Other L i a b i l i t i e s ---------------- 13,409.60 Loans and Discounts: On real estate_$ 73,014.35 Other _______ 179,461.75 T o t a l _________________ $380,140.86 T o t a l _______________ _— $380,140.86 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1035 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s _____ $272,097.90 Assessments on s t o c k _____ 35,966 07 Other C o l l e c t i o n s ________ 2,750.26 Cash on hand 6/12/34_____ 10,804.51 $321,618.74 Total CO NDENSED STATEM EN T Loans and D is c o u n t s ______ $114,705.17 Banking House and F. and F. 5,000.00 Other Real E s t a t e ________ 12,833.00 Bonds and Other Securities_ 23,492.70 Cash on hand and due from b a n k s ________________ 181.49 All other r e s o u r c e s _______ 91,207.34 Dividends Paid ( 4 0 % ) -------- 96,001.52 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 76,438.56 2.451.76 3,322.21 3,468.65 1.387.76 29,089.35 40,625.03 96.001.52 14,218.79 457.11 54,158.00 $321,618.74 Total OF C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Total Loss and A d j u s t m e n t —: $ Legal __________________ Administration -----------------Taxes, Insurance, Int. Dep. L i a b . ----------------------------Other Expenses ____ ____ Bills Payable — ----- ---------Preferred C l a i m s --------------Dividends (40%) --------------Offsets _________________ Cash on hand Dec. 31, 1935— U. S. Bond and R. E. Liq------ $343,421.22 L ia b ilitie s C a p i t a l _________________ $ 50,000.00 Surplus and Undivided Profits 16,398.89 Deposits and C l a i m s ______ 144,068.63 Other L ia b i l i t i e s _________ 36,952.18 Dividends Paid ( 4 0 % ) ____ 96,001.52 Total $343,421.22 92 REPORT OF THE COMMISSIONER OF BANKING CITY AND FARMERS BANK Dodgeville J. P. H ammarlund , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f N o v em b e r 10, 11)27 R e so u rc e s L ia b ilitie s Loans and Discounts: C a p i t a l ----------------------------- $ 25,000.00 Total Loans and Discounts $112,409.09 Surplus and Undivided Profits 5,696.97 Other Real E s t a t e _______ 7,’250.00 Deposits: All other r e s o u r c e s _______ 22,042.27 T i m e ------------- $ 46,690.77 D e m a n d _____ 52,343.88 Total Deposits ________ $ 99,034.65 Borrowing's from other Banks 5,000.00 Other L ia b i l i t i e s _________ 6,969.74 Total $141,701.36 Total $141,701.§6 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1035 C o lle c tio n s Liquidation of A s s e t s _____ $ 92,433.01 Assessments on s t o c k _____ 14,118.07 Other C o l l e c ti o n s ____ 14,429.91 W. J. Parry J u d g m e n t ____ 9,620.49 Cash on H a n d ___________ 5,411.22 T o t a l ----------------------------- $136,012.70 CONDENSED STATEM EN T D is b u r s e m e n ts Total E x p e n s e s __________ $ Other Expenses _________ Bills Payable ------------------Losses ----------------------------Dividends ------------------------Offsets ----------------------------Cash on H a n d ___________ T o t a l ----------------------------- $136,012.70 O F C O N D IT IO N D E C E M B E R 31, 1035 R e so u rc e s Loans and D i s c o u n t s ______ $ 28,378.41 Banking House and F. and F. 3,050.00 Cash on hand and due from banks ---------------------------- 10,899.66 All other r e s o u r c e s _______ 39,311.08 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 15,874.65 5,138.96 5,000.00 11,138.28 80,408.13 7,553.02 10,899.66 $ 81,639.15 L ia b ilitie s C a p i t a l ----------------------------- $ Surplus and Undivided Profits Deposits and C l a i m s ______ Other L ia b i l i t i e s _________ Stock A s s e s s m e n t ________ W. J. Pa rry J u d g m e n t ____ Total 25,000.00 1,961.06 20,095.49 10,844.04 14,118.07 9,620.49 $ 81,639.15 93 REPORT OF THE COMMISSIONER OF BANKING BANK OF DOWNING Downing W. E. Luell, S p e c ia l D e p u t y C o m m is s i o n e r C on dition as o f June 30, 1032 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $ 15.000.00 Loans and Discounts: 987.49 Total Loans and Discounts $132,752.36 Surplus and Undivided Profits Other Real E s t a t e ________ 14,182.85 Deposits: T i m e ________$109,444.43 I n v e s t m e n t s _____________ 13,475.00 D e m a n d _____ 25,253.18 All other r e s o u r c e s _______ 20,017.89 Total Deposits ________ $134 697.61 Borrowings from other Banks 29,743.00 Total ________________ $180,428.10 Total ________________ $180,428.10 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1035 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s _____ $ 64,573.30 Compromise L o s s ________ $ 3,265.61 Legal ------------- -----------------Assessments on s t o c k _____ 6,526.79 Administration __________ Cash 6/30/32 _____________ 4,180.16 Taxes, Insurance ________ Other C o lle c ti o n s ________ Other Expenses ---------------Bills Payable ------------------Preferred C l a i m s --------------Dividends ------------------------Offsets _________________ Cash on hand Dec. 31, 1935 — Cash I t e m s ----------------------$ Total Total $ 78,545 86 CONDENSED STATEM ENT 13,595.94 439.87 4,711.21 1,941.69 4,474.01 29,743.00 208.47 12,980.20 4,729.62 5,445.93 275.92 78,545 86 O F C O N D IT IO N D E C E M B E R 31, 1035 L ia b ilitie s R e so u rc e s Loans and D is c o u n t s ______ $ 77,495.71 C a p i t a l _________________ $ 15,000.00 8.632.00 Deposits and C l a i m s -----------119,441.47 Banking House and P. and F. Other Real Estate ________ 14,914.75 Bonds and Other SecuriUes_ 4.385.00 Cash on hand and due from 5,445.93 hanks ________________ 4,702 00 All other resources _______ 18,866.08 Undivided P r o f i t s ________ Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $134,441.47 Total $134,441.47 94 REPORT OF THE COMMISSIONER OF BANKING FARMERS & MERCHANTS STATE BANK Downsville Geo. J. Schafer , S p ecia l D e p u ty C om m ission er C o n d ition ns o f M arch 1, 1934 R e so u rc e s L ia b ilitie s Loans and Discounts: C a p i t a l ----------------------------- $ 10,000.00 Total Loans and Discounts_$133,737.22 Surplus and Undivided Profits 2,481.99 Other Real E s t a t e ________ 11,964.39 Deposits: I n v e s t m e n t s ---------------------- 35,685.16 T i m e ________$ 95,169.38 All other r e s o u r c e s _______ 16,324.02 56,959.93 D e m a n d _____ Total D e p o s i t s __________$152,129.31 Borrowing's from other Banks 27,615.49 Other Liabilities _________ 5,484.00 T o t a l ----------------------------- $197,710.79 T o t a l ----------------------------- $197,710.79 R e ce ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $ 88,336.66 Interest P a i d ____________ $ 1,102.15 Assessments on s t o c k _____ 6,250.00 Legal __________________ 191.17 Recovery on b o n d ________ 14,033.36 Administration __________ 2,866.51 Other C o l l e c t i o n s _________ 4,088.85 Taxes, Insurance ________ 87 3 53 Cash on hand and due from Other Expenses _________ 1,400.13 banks, 3/1/34-----------------9,210.38 Bills P a y a b l e ____________ 27,700.49 Preferred C l a i m s ________ 22,955.67 Dividends ______________ 30,674.11 Offsets _________________ 6,456.41 Cash on hand Dec. 31, 1935_ 2,583.85 Scrip L i a b i l i t y ___________ 981.00 Loss Account ____________ 24,134.23 Total $121,919.25 Total $121,919.25 CONDENSED S T A T E M E N T O F C O N D IT IO N D E C E M H E R 31, 1935 R e so u rc e s Loans and D is c o u n t s ______ $ Banking House and F. and F. Other Real E s t a t e ________ Bonds and Other Securities__ Cash on hand and due from banks ---------------------------All other r e s o u r c e s _______ Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L ia b ilitie s 57,295.44 5,531.50 12,3 4 39 14,555.00 C a p i t a l ----------------------------- $ 10,000.00 Surplus and Undivided Profits 2,319.16 Deposits and C l a i m s ______ 92,230.18 Other L i a b i l i t i e s ___ ______ 6,250.00 Scrip L i a b i l i t y ___________ 4,503.00 2,583.85 Income from L iq u id a tio n ___ 7,620.86 30,653.02 $122,923.20 Total $122,923.20 REPORT OF THE COMMISSIONER OF BANKING 95 DOYLESTOWN STATE BANK, Delinquent Doylestown A. J. Sperley, S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition a s o f O ctob er 18, 1933 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 23,810.00 Other ------------ 34,524.61 Capital ________________ $ 10,000.00 Surplus and Undivided Profits 3,444.64 Deposits: T i m e ________$ 85,111.31 Total Loans and Discounts $ 58,334.61 D e m a n d _____ 6,423.16 Other Real E s t a t e _______ 19,250.00 I n v e s t m e n t s ____________ _ 29,463.75 Total Deposits ______ ___$ 91,534.47 All other r e s o u r c e s _______ 14,789 91 Borrowings from other Banks 10,837.10 6,022.06 Other Liabilities ________ Total ----------------------------$121,838.27 Total ----------------------------$121,838.27 R e c e ip ts and D isb u r se m e n ts D ate o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $ 39,920.37 Assessments on s t o c k _____ 8,018.07 Recovery on b o n d _________ 24,719.25 Other C o l l e c ti o n s ________._ 7,538.52 Reconstruction Finance Cor poration L o a n __________ 27,633.92 T o t a l ----------------------------- $107,830.13 CONDENSED STATEM EN T OF R e so u rc e s D is b u r s e m e n ts 564.26 Legal ------------------------------ $ Administration __________ 3,618.33 Taxes, Insurance ________ 1,708.48 Other Expenses __________ 1,936.99 Bills Payable and Int. Paid_39,181.51 Preferred C l a i m s ________ 18,098.94 Dividends ______________ 20,823.78 Offsets _________________ 2 812 79 Cash on hand Dec. 31, 1935_ 8,525.30 Scrip L i a b i l i t y ___________ 6,000.00 U. S. Check T a x _________ 32.76 Adj. Loans and D i s c . __:___ 4,525 99 Itef’d Box R e n t __________ 1.00 T o t a l _________________ $107,830.13 C O N D IT IO N DECEM BER 91, 1935 L ia b ilitie s Loans and D i s c o u n t s ______ $ 34,969.33 C a p i t a l _________________ $ 10,000.00 Banking House and F. and F. 4,848.28 Surplus and Undivided Profits 20,8(55 85 Other Real E s t a t e ________ 21,350.00 Deposits and C l a i m s ______ 83,401.40 Bonds and Other Securities_ 8,039.10 Statutory Stock Assess. Col Cash on hand and due from 8,018.07 lections ______________ banks -----------------------------8,525.30 All other r e s o u r c e s ________ 2,821.61 T o t a l _______ __________$ 80,553.62 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T o t a l _________________$ 80,553.62 96 REPORT OF THE COMMISSIONER OF BANKING FARMERS & MERCHANTS STATE BANK Eagle River J. F. H abrich, S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f O ctob e r 29, 1932 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 33,156.11 Other _______ 65,460.53 C a p i t a l _________________ $ 25,000.00 Surplus and Undivided Profits 13,067.14 Deposits: T i m e --------- -----$ 42,158.17 Total Loans and Discounts $ 98,516.64 D e m a n d _____ 56,059.67 Other Real E s t a t e ________ 10,000.00 I n v e s t m e n t s _____________ 21,113.00 Total Deposits ________ $ 98,217.84 All other r e s o u r c e s _______ 16,655.34 Borrowing’s from other Banks 10,000.00 Total ----------------------------$146,284.98 Total ________________ $146,284.98 R e c e ip ts and D isb u r se m e n ts D a te o f Closing- to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $ Assessments on s t o c k _____ Recovery on b o n d ________ Other C o l l e c ti o n s ________ Total 50,871.52 12,533.40 17,116.39 10,810.85 $ 91,332.16 CO NDENSED STATEM EN T D is b u r s e m e n ts Legal __________________$ 1,119.66 Administration __________ 3,150.00 2,169.03 Taxes, Insurance ________ Other Expenses _________ 2,168.11 10,511.42 Preferred Claims P a i d ____ Dividends 80% P a i d ______ 66,113 66 6,045.54 Offsets _________________ Cash on hand Dec. 31, 1935__ 54.74 Total $ 91,332.16 O F C O N D IT IO N D E C E M B E R R e so u rc e s 31, 1935 L ia b ilitie s Loans and D is c o u n t s ______$ 38,383.63 C a p i t a l _________________ $ 25,000.00 Banking House and P. and F. 4,015.17 Surplus and Undivided Profits 32,611.12 Other Real E s t a t e ________ 12,099.69 Deposits and C l a i m s ______ 17,356.98 Cash on hand and due from 54.74 banks ________________ All other r e s o u r c e s _______ 20,414.87 T o t a l ---------------------------- $ 74,968.10 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Total .$ 74,968.10 97 REPORT OF THE COMMISSIONER OF BANKING EAU CLAIRE SAVINGS BANK Eau Claire N. E. H a n sh u s , S p e c ia l D e p u t y C o m m i s s i o n e r C o n d ition as o f J u ly 11, 1031 L ia b ilitie s R e so u rc e s Loans and Discounts: Total Loans and Discounts $681,437.51 Other Real E s t a t e ________ 28,985.82 I n v e s t m e n t s _____________ 81,057.44 All other r e s o u r c e s _______ 1,589.45 Cash __________________ 24,022.47 $817,092.69 Total C a p i t a l _________________ $ 50,000.00 Surplus and Undivided Profits 45,457.16 Deposits: Total D e p o s i t s _____ $673,613.11 Borrowing's from other Banks 47,240.00 Other Liabilities --------------782.42 $817,092.69 Total R e c e ip ts an d D isb u r se m e n ts D a te o f Closing- to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $333,044.09 Assessments on s t o c k _____ 23,521.10 Other C o l l e c ti o n s _________ 26,192.85 Cash 7/11/31 ____________ 15,724.78 Legal __________________$ 4,975.06 Administration ------------------ 11,103.04 Taxes, Insurance ________ 10,17 4.80 Other Expenses _________ 5,139.75 Bills P a y a b l e --------------------- 47,202.00 8,221.46 Preferred C l a i m s --------------Dividends _______________ 132,121.03 Offsets, e t c . ______________ 171,355.99 Cash on hand Dec. 31, 1935__ 8,189.69 T o t a l _________________ $398,482.82 T o t a l _________________ $398,482 82 C O N D E N S E D S T A T E M E N T O F C O N D IT IO N D E C E M B E R R e so u rc e s L ia b ilitie s 31, 1935 Loans and D is c o u n t s ______ $366,648.14 C a p i t a l _________________ $ 50,000.00 Banking House and P. and F. 28,543.53 Deposits and C l a i m s ______ 531,562.31 Other Real Estate ________ 86,263.44 Bonds and Other Securities— 47,346.95 Cash on hand and due from b a n k s ----------8,189.69 All other r e s o u r c e s _______ 5,942.17 Deficit _______ :________ 38,628.39 $581,562.31 Total $581,562.31 Total 7 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 98 REPORT OF THE COMMISSIONER OF BANKING EAU CLAIRE STATE BANK Eau Claire A. C. K o n e a z n y , S p e c ia l D e p u t y C o m m is s i o n e r C o n d itio n as o f S e p tem b er 19, 1931 R e so u rc e s L ia b ilitie s Loans and Discounts: On real es tate --------$ 183,421.63 Other -------- 1,950,571.34 Capital _______________ $200,000.00 S u r p l u s and Undivided P r o f i t s ______________ 32,593.86 Deposits: T i m e _____ $1,684,294.21 D e m a n d ___ 951,107.41 Total Loans and Disc o u n t s _____________ $2,133,992.97 Other Real E s t a t e ______ 14,508.37 Total D e p o s i t s ________$2,635,401.62 Investments ___________ 1,139,680.72 Borrowings from o t h e r 114,564.42 All other r e s o u r c e s _____ Banks ______________ 534,751.00 Total -------------------------- $3,402,746.48 Total _______________ $3,402,746.48 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of Assets_____$1,722,945.97 Assessments on stock____ 74,384.98 Other C o lle ctio n s ________ 218,574.66 Adjustments ___________ 20,911.29 Cash Sept. 19, 1 9 3 1 ______ 114,564.42 Total $2,151,381.32 CONDENSED Loans and D i s c o u n t s ____ $ Other Real E s t a t e _______ Bonds and Other Securities Cash on hand and due from banks ------ i __________ All other r e s o u r c e s ______ L o s s ------------------------------- https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Total 9,576.91 24,583.08 8,119.48 27,363.74 741,429.69 135,423.35 792,599.21 274,126.14 126,588.16 11,571.56 $2,151,381.32 S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Total D is b u r s e m e n ts L e g a l __,______________ $ A d m in is t ra t io n _________ Taxes, In s u r a n c e ________ Other E x p e n s e s _________ Bills P a y a b l e __________ Preferred C l a i m s ________ D iv i d e n d s _____________ O f f s e t s ________________ Cash on hand Dec. 31, 1935 Interest Paid __________ L ia b ilitie s 864,419.36 Capital _______________ $ 200,000.00 50,005.68 Deposits and C l a i m s ____ 1,501,567.99 513,335.76 126,588.16 1,535.13 145,683.90 $1,701,567.99 Total $1,701,567.99 REPORT OF THE COMMISSIONER OF BANKING 99 UNION SAVINGS BANK Eau Claire N. E. H a n sh u s , S p e c ia l D e p u t y C o m m is s i o n e r C on dition as o f S e p te m b e r 19, 1931 L ia b ilitie s R e so u rc e s Loans and Discounts: Total Loans and Discounts $427,340.23 Other Real E s t a t e ________ 4,388.00 I n v e s t m e n t s _____________ 56,885.50 All other r e s o u r c e s _______ 31,419.65 Cash ___________________ 29,177.54 Total ________________ $549,210.92 C a p i t a l ----------------------------- $ 50,000.00 Surplus and Undivided Profits 9,055.68 Deposits: Total Deposits _________ $439,255.24 Borrowing's from other Banks 50,900.00 Total ________________ $549,210.92 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts $284,574.96 39,841.25 29,858.84 29,177.54 Legal __________________$ 2,733.25 7,492.97 Administration __________ Taxes, Insurance --------------8,633.07 Other Expenses _________ 2,972.44 Bills Payable ------------------- 50,900.00 Preferred C l a i m s --------------- 17,826.29 Dividends ______________ 184,805.12 Offsets, e t c . _____________ 95,556.01 Cash on hand Dec. 31, 1935— 12,533.44 T o t a l _________________ $383,452.59 T o t a l _________________$383,452.59 Liquidation of A s s e t s __ Assessments on s t o c k ---Other C o l l e c ti o n s _____ Cash 9/19/31 _________ CONDENSED STATEM ENT R e so u rc e s O F C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s Loans and D is c o u n t s ______ $151,614.35 C a p i t a l ----------------------------- $ 50,000.00 Banking House and F. and F. 29,272.00 Surplus and Undivided Profits 16,242.10 Other Real E s t a t e ________ 14,006.77 Deposits and C l a i m s ----------- 185,555.08 Bonds and Other Securities— 43,580.22 Cash on hand and due from b a n k s ________________ 12,533 44 A ll other r e s o u r c e s _______ 790.40 $251,797.18 Total Total $251,797.18 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 100 REPORT OF THE COMMISSIONER OF BANKING THE ELAND STATE BANK Eland C has . C. V ogl, S p e c ia l D e p u t y C o m m i s s i o n e r C on dition a s o f F e b r u a r y 21, 1934 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 11,874.92 Other ------------ 29,937.20 C a p i t a l _________________ $ 15,000.00 Surplus and Undivided Profits 203.39 Deposits: T i m e ________$ 47,398.40 Total Loans and Discounts $ 41,812.12 D e m a n d _____ 11,896.66 Other Real E s t a t e ________ 8,510.70 I n v e s t m e n t s _____________ 24,118.34 Total D e p o s i t s _________ $ 59,295.06 All other r e s o u r c e s _______ 57.29 T o t a l ----- ------------------------ $ 74,498.45 T o t a l _________________ $ 74,498.45 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $ Assessments on s t o c k _____ Recovery on b o n d ______ Other C o l l e c ti o n s ______ 3,747.33 1,507.04 3,584.83 1,138.51 Administration __________ $ Taxes, Insurance ________ Other Expenses _________ Dividend f l _____________ Cash on hand Dec. 31, 1935_ 1,128.82 354.07 1,489.86 5,742.55 1,262.41 T o t a l ---------------- ------------ $ 9,977.71 T o t a l _________________ $ 9,977.71 CONDENSED STATEM EN T O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s L ia b ilitie s Loans and D i s c o u n t s ______ : 38,064.79 C a p i t a l _________________ $ 15,000.00 Banking House and P. and F. 5,932.30 Surplus and Undivided Profits 203.39 Other Real E s t a t e ________ 8,510.70 Deposits and C l a i m s ______ 53,552.51 Bonds and Other Securities_ 14,601.21 Other L i a b i l i t i e s _________ 2,645.55 Cash on hand and due from banks ________________ 1,262.41 57.29 All other resources _______ E x p e n s e ________________ 2,972.75 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 71,401.45 Total $ 71,401.45 101 REPORT OF THE COMMISSIONER OF BANKING ELDERON STATE BANK Elderon H. R. Capped, Sp ecial D eputy Commissioner C on dition as o f F e b r u a r y 21, 19!W R e so u rc e s Loans and Discounts: On real estate— $ 8,392.57 Other _______ 20,920.33 Total Loans and Discounts Other Real E s t a t e ________ I n v e s t m e n t s _____________ All other r e s o u r c e s ------------ L ia b ilitie s C a p i t a l ________________ ! Surplus and Undivided Profits Deposits: Total D e p o s i t s _________ ! $29,312.90 Other L i a b i l i t i e s _________ 5,285.84 2,145.00 3,601.89 40,345.63 Total 1 0 , 000.00 4,745.56 25,294.16 305.91 40,345.63 Total R e ce ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1035 D is b u r s e m e n ts C o lle c tio n s 119.00 Liquidation of A s s e t s _____ $ 14,058.61 Legal _____ 1:— ---------------- $ 2,009.90 2,127.93 Administration __________ Assessments on s t o c k _____ 142.31 Cash on hand 2/21/33--------5.58 Taxes, Insurance _________ Other Expenses _________ 347.i2 Preferred C l a i m s _________ 76.43 10,088.71 Dividends ______________ Offsets ----------------------------305.91 Cash on hand Nov. 30, 1935— 3,094.17 Loss on Sale of B o n d s -------8.57 $ 16,192 12 Total CONDENSED STATEM ENT $ 16,192 12 Total O F C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s R e so u rc e s C a p i t a l ----------------------------- ! 10, 000.00 4,745.56 Surplus and Undivided Profits Deposits and C l a i m s ----------- 15,129.02 2,131.99 Other L i a b i l i t i e s _________ _ Loans and D is c o u n t s -----------$ 15,776.61 Banking House and F. and F. 3,500.00 Other Real E s t a t e _ 3,408.84 Bonds and Other Securities— 2,145.00 Cash on hand and due from banks ________________ 3,094.17 All other r e s o u r c e s 4,081.95 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 32,006.57 Total $ 32,006.57 102 REPORT OF THE COMMISSIONER OF BANKING BANK OF ELEVA Eleva W. G. R a t h k e , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f J u n e 11, 1930 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$114,969.13 Other ------------ 187,474.18 Total Loans and Discounts $302,443.31 Other Real E s t a t e ________ 5,300.00 I n v e s t m e n t s _____________ 100.00 All other r e s o u r c e s _______ 20,370.67 Total $328,213.98 C a p i t a l ----------------------------- $ 25,000.00 Surplus and Undivided Profits 7,147.29 Deposits: Total D e p o s i t s ---------------- $253,066.69 Borrowings from other Banks 43,000.00 Total $328,213.98 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 Collections D is b u r s e m e n ts Liquidation of A s s e t s _____ $204,462.79 Legal --------- --------------------- $ 5,294.73 Assessments on s t o c k _____ 6,927.28 Administration __________ 6,937.22 Other C o l l e c ti o n s ________ 16,943 47 Taxes, Insurance Other Expenses -------------------------------7,762.21 Bills P a y a b l e --------------------- 43,000.00 Preferred C l a i m s _________ 33.27 Dividends ------------------------- 79,064.28 Offsets and L o s s e s ________ 78,757.50 Cash on hand Dec. 31, 1935_ 7,484.33 T o t a l ----------------------------- $228,333.54 T o t a l ----------------------------- $228,333.54 C O H D E JiSE D S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Loans and D is c o u n t s ______ $123,292.26 Cash on hand and due from banks ______ 7,484.33 All other r e s o u r c e s _______ 68,803 42 Dividends ------------------------- 79,064.28 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $278,644.2-9 L ia b ilitie s C a p i t a l ----------------------------- $ 25,000.00 Surplus and Undivided Profits 8,796.76 Deposits and C l a i m s ______ 225,894.36 Other L i a b i l i t i e s _________ 18,953.17 Total $278,644 29 103 REPORT OF THE COMMISSIONER OF BANKING BANK OF ELK MOUND Elk Mound N. E. H a n s h u s , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f A p r il 17, 1931 R e so u rc e s L ia b ilitie s C a p i t a l ___________________________ $ 25,000.0 Loans and Discounts: Total Loans and Discounts $166,607.18 Surplus and Undivided Profits 754.76 I n v e s t m e n t s _____________ 600.00 Deposits: All other resources ______ 13,906.14 Total D e p o s i t s __________$132,960.76 5,827.20 Borrowings from other Banks 28,225.00 Cash ____ Total ________________ $186,940.52 Total _____ ___________$186,940.52 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1935 D is b u r s e m e n ts Collections Liquidation of A s s e t s _____ $ 89,153.25 Legal ------------------------------ $ 2,172.27 5,285.55 Assessments on s t o c k _____ 6,878.53 Administration __________ 2,070.41 9,222.08 Taxes, Insurance ________ Other C o lle c tio n s ________ 2,748.20 Other Expenses _________ Bills P a y a b l e ____________ 28,225.00 1,467.45 Preferred C l a i m s ________ Dividends ______________ 31,523.84 Offsets _________________ 26,009.82 5,751.32 Cash on hand Dec. 31, 1935_._ Total $105,253.86 CONDENSED STATEM ENT $105,253.86 Total OE C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s R e so u rc e s Loans and D is c o u n t s ______ $ 75,244.03 C a p i t a l _________________ $ 25,000.00 Banking House and P. and P. 13,129.90 Deposits and C l a i m s ___ __ 95,458.88 Other Real E s t a t e ____ 4,862.51 Cash on hand and due from b a n k s ________________ 5,751.32 All other r e s o u r c e s _______ 384.71 Deficit _________________ 21,086.41 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $120,458.88 Total $120,458.88 REPORT OF THE COMMISSIONER OF BANKING 104 STATE BANK OF EMERALD Emerald W. E. L uell , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f S e p tem b er 20, 1933 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 8,110.75 26,013.45 Other _______ Capital ________________ $ 10,000.00 Surplus and Undivided Profits 1,500.00 Deposits: T i m e ________$ 11,425.65 D e m a n d _____ 16,915.80 Total Loans and Discounts $ 34,124.20 Other Real E s t a t e ________ 4,349 69 P/L at C losing-__________ 1,168.76 Total Deposits ________ $ 28,341.45 All other r e s o u r c e s _______ 9,337.12 Borrowings from other Banks 9,138.32 Total ----------------------------$ 48,979.77 Total ----------------------------$ 48,979.77 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s __ Assessments on s t o c k __ R.F.C. Loan D L B _____ Other C o l l e c ti o n s _____ Cash at c l o s i n g _______ Total 10,343.94 286.35 4,856 05 562.41 4,323.12 $ 20,371.87 CONDENSED D is b u r s e m e n ts Legal __________________$ 53.40 Administration __________ 1,013.96 Taxes, Insurance _________ 275.30 Other Expenses _________ 907.97 Bills P a y a b l e ____________ 10,121.86 Compromise L o s s ________ 507.56 Dividends ______________ 4,031.52 Offsets _________________ 2,647.29 813.01 Cash on hand Dec. 31, 1935_ Total 20,371.87 S T A T E M E N T O F C O N D IT IO N D E C E M H E R 31, 1935 R e so u rc e s L ia b ilitie s Loans and D is c o u n t s ______ $ 23,780.26 C a p i t a l __________________ $10,000.00 Banking House and F. and F. 5,000.00 Deposits and C l a i m s ______ 21,904.19 Other Real E s t a t e ________ 4,349.69 Other L i a b i l i t i e s _________ 3,872.51 Cash on hand and due from banks ________________ 813.01 All other resources _______ 14.00 Undivided P r o f i t s ________ 1,819.74 Total Total $ 35,776.70 __ $ 35,776.71 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis REPORT OF THE COMMISSIONER OF BANKING 105 FIRST STATE BANK Endeavor F. W. M o e c k e r , S p e c ia l D e p u t y C o m m is s i o n e r C on dition ns o f O ctob er 7, 1031 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 30,163.72 Other _______ 35,041.77 C a p i t a l ----------------------------- $ 10,000.00 Surplus £,nd Undivided Profits 1,510.72 Deposits; T i m e ________$ 64,407.87 Total Loans and Discounts $ 65,205.49 D e m a n d --------- 19,754.76 Other Real E s t a t e ________ 1 7 ,9 0 0 . 0 ' 8,015.85 I n v e s t m e n t s _____________ Total Deposits ________ $ 81,162 63 All other r e s o u r c e s _______ 4,552.01 Borrowings from other Banks 3,000.00 Total ________________ $ 95,673.35 Total ----------------------------$ 95,673.35 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1035 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $ 51,004.53 Legal ----------------------------- _$ 535.84 Assessments on s t o c k _____ 4,049.88 A d m i n i s t r a t i o n ___ :______ 3,961.74 Other C o lle c tio n s ________ 10,513.87 Taxes, Insurance _________ 1,288.37 Other Expenses _________ 1,690.28 Bills P a y a b l e ____________ 3.000.00 Preferred C l a i m s _________ 1,389.16 Dividends ______________ 47,225.92 Offsets _________________ 3,227.09 Cash on hand Dec. 31, 1935— 3,243.21 Cash s h o r t ______________ 6.67 Total 65,568.28 CONDENSED STATEM EN T Loans and D is c o u n t s ---------- $ 15,355.74 Banking House and F. and F. 4,227.10 Other Ileal E s t a t e ________ 6,500.00 Bonds and Other Securities— 1,000.00 Cash on hand and due from b a n k s ________________ 3,243.21 Undivided Profits (Deficit)--- 17,687.27 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 65,568.28 OF C O N D IT IO N D E C E M B E R ill, 1»35 R e so u rc e s Total Total $ 48,013.32 L ia b ilitie s C a p i t a l _________________ $ 10,000.00 Surplus ________________ 2,332.42 Deposits and C l a i m s ______ 31,612.82 Other L ia b i l i t i e s _____ ,____ 18.20 Stock A ss e s sm e n ts ________ 4,049.88 Total $ 48,013.32 106 REPORT OF THE COMMISSIONER OF BANKING MERCHANTS & FARMERS STATE BANK Fall Creek A lden L osby, S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f June 16, 1930 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $ 15,000.00 Surplus and Undivided Profits 2,401.08 Deposits: T i m e _______ $100,809.15 Total Doans and Discounts $107,271.20 D e m a n d _____ 16,363.31 I n v e s t m e n t s _____________ 14,468.19 All other r e s o u r c e s _______ 16,602.64 Total D e p o s i t s _________ $117,172.46 Other D ia b ilitie s _________ 3,768.49 Loans and Discounts: Other _______ $107,271.20 T o t a l _________________ $138,342.03 T o t a l _________________ $138,342.03 R e c e ip ts and D isb u r se m e n ts D ate o f C lo sin g to D e c e m b e r 31, 1035 D is b u r s e m e n ts C o lle c tio n s 747.85 Diquidation of A s s e t s _____ $ 86,888.91 Legal ------------------------------ $ 3,971.08 Assessments on s t o c k _____ 13,941.49 Administration __________ 123.88 5,999 92 Taxes, Insurance _________ Other C o l l e c ti o n s ________ Other Expenses _________ 328.40 Dividends ______________ 84,357.47 Offsets and D o s s e s ________ 12,813.88 Cash on hand Dec. 31, 1935_ 4,487.76 T o t a l _________________ $106,830.32 CONDENSED STATEM ENT OF C O N D IT IO N D E C E M B E R 31, 1035 R e so u rc e s Doans and D is c o u n t s ______ $ 28,844.99 Bonds and Other Securities_ 11,818.74 Cash on hand and due from banks ________________ 4,487.76 All other r e s o u r c e s _______ 18,942.76 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T o t a l _________________ $106,830.32 $ 64.094.25 L ia b ilitie s C a p i t a l _________________ $ 15,000.00 Surplus and Undivided Profits 3,062.74 Deposits and C l a i m s ______ 28,108.36 Other L i a b i l i t i e s _________ 17,923.15 Total $ 64,094.25 REPORT OF THE COMMISSIONER OF BANKING 107 STATE BANK OF FENNIMORE Fennimore A. W. Bergh, S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f J une 30, 1932 R e so u rc e s Loans and Discounts: Total Loans and Discounts $338,948.15 Other Real E s t a t e ________ 29,300.00 I n v e s t m e n t s _____________ 3,967.50 Cash -------------------------------4,622.01 Total ----------------------------$376,837.66 L ia b ilitie s C a p i t a l ----------------------------- $ 50,000.00 Surplus and Undivided Profits 21,480.3s Deposits: Total D e p o s i t s __________$290,356.52 Borrowings from other Banks 15,000.on Other L i a b i l i t i e s _________ .76 Total ----------------------------$376,837.66 R e c e ip ts and D isb u r se m e n ts D a te o f Closing- to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $119,337.12 Assessments on s t o c k _____ 41,098.16 1,574.51 Recovery on b o n d ________ Other C o lle c ti o n s ________ 18,281.34 Cash __________________ 4,622.01 Interest R e c e i v e d _________ 5,525.04 Drafts _________________ 16,092.35 Total $206,530.53 CONDENSED ST A TE M E N T D is b u r s e m e n ts Legal ------------------------------ $ Administration __________ Taxes, Insurance ________ Other Expenses _________ Bills P a y a b l e ____________ Preferred C l a i m s ________ Dividends ______________ Offsets ______ __________ Cash on hand Dec. 31, 1935_ Due from B a n k s _________ Cash I t e m s _____________ Other Disbursements _____ Total 4,138.03 5,970.86 3,480.00 2,480.24 15,000.00 16,076.68 57,050.23 10,513.17 1,150.95 13,335.98 11.79 77,322.60 $206,530.53 OE C O N D IT IO N D E C E M B E R a t , 1935 Ü 6 S o u rc6 S L ia b ilitie s Loans and D is c o u n t s ______ $128,298.21 Banking House and F. and F. 16,781.10 Other Real E s t a t e ________ 90,405.40 Bonds and Other Securities_ 2,392.99 Cash on hand and due from b a n k s ________________ 14,486.93 All other r e s o u r c e s _______ 58,083.38 Surplus and Undivided Profits 68,037.52 C a p i t a l _________________ $ 50,000.00 Deposits and C l a i m s ______ 230,321.47 Other L i a b i l i t i e s _________ 57,065.90 Assessments P a i d ________ 41,098.16 T o t a l _________________ $378,485.53 T o t a l ----------------------------- $378,485.53 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 108 REPORT OF THE COMMISSIONER OF BANKING THE BANK OF FOND DU LAC Fond du Lac J. C. Stadler, S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f M a y 20, 1932 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $100,000.00 Surplus and Undivided Profits 30,353.33 Deposits: T i m e ________$283,079.05 D e m a n d _____ 92,436.07 Total Loans and Discounts $314,536.09 Other Real E s t a t e ________ 10,960.61 I n v e s t m e n t s _____________ 143,332.46 Total Deposits ________ $375,515.12 All other r e s o u r c e s _______ 78,689.29 Borrowings from other Banks 41,650.00 Loans and Discounts: On real estate_$ 65,395.37 Other _______ 249,140.72 T o t a l _________________ $547,518.45 T o t a l ________ ________ $547,518.45 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s ---Assessments on s t o c k ---Other C o l l e c ti o n s _____ D is b u r s e m e n ts $246,408.66 Legal __________________$ 3,029.73 13,291.31 47,293.85 Administration _____ i____ 1,632.45 37,654.92 Taxes, Insurance _________ Other Expenses _________ 18,089.24 Bills P a y a b l e ____________ 41,650.00 Preferred C l a i m s ________ 11,675.19 Dividends ______________ 1.91,246.95 Offsets _________________ 19,316.33 Cash on hand Dec. 31, 1935_ 31,426.23 T o t a l _________________ $331,357.43 CONDENSED STATEM EN T T o t a l _________________ $331,357.43 O F C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s R e so u rc e s Loans and D is c o u n t s ______ $100,946.29 C a p i t a l _________________ $100,000.00 Ba nking House and F. and F. 12,343.10 Deposits and C l a i m s ______ 162,462.36 Other Real E s t a t e ------------34,956.04 Bonds and Other Securities— 54,862.48 Cash on hand and due from b a n k s ________________ 31,426.23 All other r e s o u r c e s _______ 36.92 Undivided P r o f i t s --------------- 27,891.30 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $262,462.36 Total $262,462.36 REPORT OF THE COMMISSIONER OF BANKING 109 STATE BANK OF FOSTER Foster M. I. G i l b e r t , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f S ep te m b e r R e so u rc e s 1031 L ia b ilitie s Loans and Discounts: On real estate_$ 73,185.18 Other _______ 175,751.62 C a p i t a l ----------------------------- $ 15,000.00 Surplus and Undivided Profits 13,747.76 Deposits: T i m e ------------- $240,195.36 Total Loans and Discounts $248,936.80 D e m a n d _____ 36,372.34 I n v e s t m e n t s _____________ 31,620.70 All other r e s o u r c e s _______ 34,313.46 Total Deposits _________ $276,567.70 Borrowings from other Banks 9,000.00 Other Liabilities _________ 555.50 Total $314,870.96 Total $314,870.96 R e c e ip ts and D isb u r se m e n ts D a te o f Closing' to D e c e m b e r, 1033 C o lle c tio n s Liquidation of A s s e t s ____ _$114,738.36 Assessments on s t o c k _____ 12,539.47 Recovery on b o n d ________ 23,810.00 Other C o l l e c ti o n s ________ 21,180.71 Eau Claire State Bank offset against B. P . __________ 8,240.30 Total $180,508.84 D is b u r s e m e n ts Loss by Court O r d e r ---------- $ 55,387.52 Legal ------------------------------1,386.65 5,826.48 Administration __________ Taxes, Insurance _________ 992!04 Other Expenses _________ 1,112A8 Bills P a y a b l e ____________ 9,’08L34 Preferred C l a i m s _________ 2,794.57 Dividends ------------------------- 64,502 60 Offsets ----------------------------- 24,148.08 Cash on hand December, 1935 8,777.08 O.R.E. A d j u s tm e n ts _______ 6,500.00 Total $180,508.84 C O N D E N S E D S T A T E M E N T O F C O N D IT IO N D E C E M B E R , 1035 R e so u rc e s Loans and D is c o u n t s ______ $138,320.34 Banking House and F. and F. 3,579.50 9,938.04 Other Real E s t a t e _______ Bonds and Other Securities_ 7,810.70 Cash on hand and due from b a n k s ---------------------------8,777.08 All other r e s o u r c e s _______ 132,603.35 T o t a l _________________ $301,029.01 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L ia b ilitie s C a p i t a l ----------------------------- $ 15.000.00 Surplus and Undivided Profits 10,768.57 Deposits and C l a i m s ______ 252,961.15 Other L ia b i l i t i e s _________ 22,299 29 Total -$301,029.01 110 REPORT OF THE COMMISSIONER OF BANKING FRIENDSHIP STATE BANK Friendship F. A. M arks , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f D e c e m b e r 7, 1935 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $ 10,000.00 Capital D e b e n t u r e s _______ 10,000.00 Surplus and Undivided Profits 979.44 Deposits: T i m e ________$ 70,105.51 Total Loans and Discounts $ 73,492.74 D e m a n d _____ 55,863.56 1,035.00 Other Real E s t a t e ________ I n v e s t m e n t s _____________ 41,567.71 Total D e p o s i t s _________ $125,969.07 All other r e s o u r c e s _______ 30,853.06 T o t a l _________________ $146,948.51 T o t a l _________________ $146,948.51 Loans and Discounts: On real estate_$ 44,616.68 Other _______ 28,876.06 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to J a n u a r y 1, 193« D is b u r s e m e n ts C o lle c tio n s 298.68 Liquidation of A s s e t s _____ $ 58,557.19 Administration __________ $ 3,256.37 Assessments on s t o c k _____ 200.00 Offsets _________________ Other C o lle c ti o n s ________ 767.67 Cash on hand Dec. 31, 1935_ 55,969.81 T o t a l _________________ $ 59,524.86 CONDENSED S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1933 L ia b ilitie s R e so u rc e s Loans and D is c o u n t s -----------$ 68,726.96 Ranking House and F. and F. 1,000.00 Other Real E s t a t e ________ 1,035.00 Ronds and Other Securities.- 17,080.21 Cash on hand and due from banks ________________ 55,969 81 551.61 All other resources _______ Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T o t a l _________________ $ 59,524.86 $144,363.59 D e b e n t u r e s _____________ $ 10,000.00 C a p i t a l _________________ 10,000.00 Surplus and Undivided Profits 1,450.89 Deposits and C l a i m s _______ 122,712.70 Assessments C o l l e c t e d ____ 200.00 Total $144,363.59 REPORT OF THE COMMISSIONER OF BANKING 111 GALESBURG STATE BANK Navarino H. R. C A p p e l , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as of O ctob er 12, 1932 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 21,450.00 Other ------------ 50,014.37 C a p i t a l ----------------------------- $ 15,000.00 Surplus and Undivided Profits 2,500.00 Deposits: T i m e ------------- $ 69,856.63 Total Loans and Discounts $ 71,464.37 D e m a n d _____ 14,161.48 Other Real E s t a t e ________ 11,605.15 I n v e s t m e n t s _____________ 19,617.50 Total D e p o s i t s _________$ 84,018.11 All other r e s o u r c e s _______ 13,187.28 Borrowings from other Banks 11,538.07 Other Liabilities ________ 2,818.12 Total ----------------------------$115,874.30 Total ----------------------------$115,874.30 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 30, 193.% C o lle c tio n s D is b u r s e m e n ts Liquidation of Assets _____ $ 42,363.00 Cash I t e m s ----------------------- $ Assessments on s t o c k _____ 10,768.45 Legal ------------------------------Recovery on b o n d ________ .90 Administration __________ Other C o l l e c ti o n s _________ 5,576.11 Taxes, Insurance _________ Cash on hand 10/12/32____ 700.64 Other Expenses _________ Bills P a y a b l e --------------------Preferred C l a i m s _________ Dividends ------------------------Offsets ----------------------------Cash on hand Dec. 30, 1935_ Loss on B o n d s ___________ A d ju s tm e n ts ---------------------Total Total $ 59,409.10 $ CO NDENSED STATEM EN T 112.20 394.70 5,986.32 674.43 474 16 11,538!07 1,586.54 32,991 51 1,522.96 3,508.36 69 86 549.99 59,409.10 OE C O N D IT IO N D E C E M B E R 30, 1935 R e so u rc e s L ia b ilitie s Loans and D is c o u n t s ______ $ 31,201.92 C a p i t a l ----------------------------- $ 15,000.00 Banking House and F. and F. 5,907.26 Surplus and Undivided Profits 2,500.00 Other Real E s t a t e _________ 12,533.90 Deposits and C l a i m s ______ 49,624.65 Bonds and Other Securities_ 8,836.60 Other L i a b i l i t i e s _________ 16,312.24 Cash on hand and due from b a n k s ---------------------------3,508.36 All other r e s o u r c e s ________ 21,448.85 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 83,436.89 Total $ 83,436.89 112 REPORT OF THE COMMISSIONER OF BANKING FARMERS & MERCHANTS STATE BANK Galesville S. P, I b a c h , S p e c ia l D e p u t y C o m m i s s i o n e r C o n d ition a» ot D e c e m b e r 29, 1032 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $ 30,000.00 Surplus and Undivided Profits 18,983.71 Deposits: T i m e _______ $230,680.60 D e m a n d _____ 37,628.46 Total Loans and Discounts $310,005.17 Other Real E s t a t e ________ 18,100.00 Total Deposits ________ $268',309.06 I n v e s t m e n t s _____________ 33-,023.00 All other r e s o u r c e s ------------ 16,307.47 Borrowing's from other Banks 59,028.73 Other L i a b i l i t i e s _________ 114.14 Loans and Discounts: On real estate_$131,387.00 Other _______ 178,618.17 Total ________________ $376,435.64 Total ________________ $376,435.64 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s __ Assessments on s t o c k __ Other C o l l e c ti o n s _____ Cash 12/29/32 ________ $149,909.30 16,420.48 10,157.91 12,756.68 T o t a l _________________ $189,244.37 CONDENSED STATEM EN T D is b u r s e m e n ts Legal __________________$ Administration __________ Taxes, I n s u r a n c e __ ,_______ Other Expenses ___________ Bills P a y a b l e ____________ Losses _________________ Dividends ______________ Offsets __________________ Cash on hand Dec. 31, 1935__ 288.00 10,233.11 1,735.50 3,086.58 59,028.73 26,171.15 78,527.55 5,721.74 4,452.01 T o t a l _________________ $189,244.37 O F C O N D IT IO N D E C E M B E R 31, 1933 L ia b ilitie s R e so u rc e s Loans and D is c o u n t s ----------- $188,102.58 C a p i t a l _________________ $ 30,000.00 3,000.00 Deposits and C l a i m s ______ 262,832.47 Banking House and F. and F. 18,100.00 Other L ia b i l i t i e s _________ 16,447.04 Other Real E s t a t e ------------4.050.00 Bonds and Other Securities— Cash on hand and due from 4.452.01 banks ----------------------------461.73 All other resources -----------Dividends P a i d ------------------ 78,527.55 Surplus and Undivided Profits 12,585.64 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .$309,279.51 Total ,$309,279.51 REPORT OF THE COMMISSIONER OF BANKING 113 CITIZENS BANK Germantown A lfred N e w l a n d e r , S p e c ia l D e p u t y C o m m is s i o n e r C on dition ns o f D e c e m b e r 20, 1932 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $ 20,000.00 Surplus and Undivided Profits 11,655.36 Deposits: T i m e ________$129,420.12 D e m a n d _____ . 25,942.01 Total Loans and Discounts $ 71,452.79 I n v e s t m e n t s _____________ 124,285.05 Total Deposits --------------- $155,362.13 All other r e s o u r c e s ------------ 24,086.65 Borrowings from other Banks 32,807.00 Loans and Discounts: On real estate_$ 19,768.98 Other _______ 51,683.81 Total ________________ $219,824.49 Total ________________ $219,824.49 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts $136,581.65 14,675.00 41,262.39 13,166.50 Legal _r------- ------------------ $ 1,305.61 Administration __________ 4,607.43 Taxes, Insurance _________ 376.63 Other Expenses ---------------1,064.01 Bills P a y a b l e ____________ 58,991.50 Preferred C l a i m s _________ 168.82 91,062.27 Dividends ______________ Offsets ---------3,344.40 Cash on hand Dec. 31, 1935— 8,677.71 Losses on In v e s t m e n t s -------- 36,087.16 T o t a l _________________ $205,685.54 T o t a l ________- ________ $205,685.54 Liquidation of A s s e t s --Assessments on s t o c k --Other C o l l e c ti o n s --------Cash on hand 12/29/32 — CONDENSED STATEM EN T R e so u rc e s Loans and D is c o u n t s ---------- ! Banking House and F. and F. Bonds and Other Se curities.Cash on hand and due from banks ---------------------------All other resources -----------$ Total 8 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis OF C O N D IT IO N D E C E M B E R 3 l , 1935 L ia b ilitie s 10,405.51 C a p i t a l _________________ $ 20,000.00 10,910.24 Surplus and Undivided Profits 24,182.36 41,011.55 Deposits and C l a i m s ----------- 60,957.27 Other L ia b i l i t i e s ---------------- 14,675.00 8,677.71 445.00 $ 71,450.01 Total 71,450.01 114 REPORT OF THE COMMISSIONER OF BANKING STATE BANK OF GLEN FLORA Glen Flora J o h n R. H a y e s , D i s t r i c t S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f A p ril 1, 1930 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_8 17,703.15 Other _______ 43,120.02 C a p i t a l ----------------------------- $ 10,000.00 Surplus and Undivided Profits 469.96 Deposits: T i m e ------------- $ 13,655.72 Total Loans and Discounts $ 60,832.17 D e m a n d _____ 32,476.14 Other Real E s t a t e ________ 13.733.68 All other r e s o u r c e s _______ 6,726.53 Total D e p o s i t s _________$ 46,131.86 Borrowings from other Banks 24,690.56 Total ----------------------------$ 81,292.38 - $ 81,292.38 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1035 1935 C o lle c tio n s Liquidation of A s s e t s _____ 8 27,664.79 Assessments on s t o c k _____ 1,696.63 Recovery by charge o f f ___ 5,022.36 Other C o l l e c ti o n s _________ 2,337.34 T o t a l _________________ 8 36,721.12 CONDENSED STATEM EN T D is b u r s e m e n ts Legal ________________ - $ 480.25 Administration _________ 3,645.92 Taxes, Insurance _______ 510.36 Other Expenses _________ 93.61 Bills P a y a b l e ___________ 15,217.35 Preferred C l a i m s _______ 3,972.76 Charge O f f ____________ 6,568.23 Offsets ________________ 4,811.83 Cash on hand Dec. 31, 1935. 1,420.81 Total 36,721.12 ■ $ O F C O N D IT IO N D E C E M B E R 3 1 , 1935 1935 R e so u rc e s L ia b ilitie s Loans and D i s c o u n t s ______ 8 36,381.76 Banking House and F. and F. 1,315.65 Other Real E s t a t e ________ 1,714.14 Other Liabilities Cash on hand and due from banks ________________ 1,420.81 All other r e s o u r c e s _______ 26,944.05 T o t a l _________ _______ 8 67,776.41 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis . 8 10,000.00 48,303.20 9,473.21 ■ 9 67,776.41 115 REPORT OF THE COMMISSIONER OF BANKING FARMERS STATE BANK Granton H. M. B e r g e m a n n , S p e c ia l D e p u t y C o m m i s s i o n e r C o n d ition a s o f O ctob er 19, 1929 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $ 25,000.00 Loans and Discounts: 4,330.89 Total Loans and Discounts $176,539.51 Surplus and Undivided Profits Other Real E s t a t e ________ 19,136.03 Deposits: ________$ 87,459.72 T im e I n v e s t m e n t s _____________ 6,184.59 50,920.13 D e m a n d _____ All other r e s o u r c e s _______ 14,806.66 Total Deposits ________ $138,379.85 Borrowing's from other Banks 45,368.65 3,587.60 Other L i a b i l i t i e s _________ $216,666.79 Total Total $216,666.79 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $134,301.18 Assessments on s t o c k _____ 18,838.14 Recovery on b o n d ________ 713.65 8,131.26 Other C o l l e c ti o n s ________ Cash at C l o s i n g __,_______ 6,545.84 T o t a l _________________$168,530.07 CO NDENSED STATEM EN T Total _.________________ $168,530.07 L ia b ilitie s Loans and D is c o u n t s -----------$ 68,019.25 Banking House and F. and F. 4,247.75 Cash on hand and due from b a n k s ________________ 8,026.31 All other r e s o u r c e s ------------ 119,792.54 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 3,139.94 6,634.59 960.96 2,710.68 29,691.50 394.89 434.86 65,091.43 16,631.38 8,026.31 34,813.53 OE C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Total D is b u r s e m e n ts Legal __________________$ Administration __________ Taxes, Insurance _________ Other Expenses _________ Bills Payable ___________ Interest on Bills Pa y able ___ Preferred C l a i m s _________ Dividends ______________ Offsets _________________ Cash on hand Dec. 31, 1935— Loss __________________ $200,085.85 C a p i t a l _________________ $ 25,000.00 Surplus and Undivided Profits 5,128.74 Deposits and C l a i m s ______ 131,141.79 Other L ia b i l i t i e s _________ 38,815.32 Total $200,085.85 116 REPORT OF THE COMMISSIONER OF BANKING SOUTH SIDE STATE BANK, Delinquent Green Bay A. W. ICKS, S p e c ia l D e p u t y C o m m i s s i o n e r C o n d itiou as o f N o v e m b e r 23, 1032 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 59,320.00 Other 214,997.41 Capital _ _ $100,000.00 Surplus and Undivided Profits 51,469.35 Deposits: $397.02 of this P r e ferred Claims. Total Loans and Discounts $274,317 4i Time $177,094.29 Other Real Estate 65,900.00 Demand 109,178.13 Investments 159,497.13 All other resources Q S97 33 Total Deposits $286,272.42 Borrowings from other Banks 71,500.00 Total _ $509,241.7, Total $509,241.77 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1 9 3 3 C o lle c tio n s Liquidation of Assets Assessments on stock Recovery on bond Other Collections Total $266,206.58 61,852 79 5,000.00 17,852.84 $350,912.21 CONDENSED STATEM EN T R e so u rc e s Loans and Discounts $ Bank ing House and F. and F. Other Real Estate Bonds and Other Securities-Cash on hand and due from banks A ll other resources— O. D__ Expense Total D is b u r s e m e n ts Legal $ 1,567.72 Administration 8,987 16 Taxes. Insurance 4 ^07 gi Other Expenses 4,335 63 Bills Payable 71,500.00 Preferred Claims _ _ 7,831.63 Dividends . 204,175.97 Offsets 34,144.70 Cash on hand Dec. 31, 1935_ 1,694 18 Purchase Badger Show Case 12,167.41 Total O F C O N D IT IO N D E C E M B E R 31, 1935 59,998.06 53,894.00 10,320.64 26,874.65 L ia b ilitie s Capital $ 34,408.16 Surplus and Undivided Profits 747.04 Deposits and Claims 51.734.74 Other Liabilities 85,4.06.05 1,694.18 116.14 19,398.32 $172,295.99 Total Cash Deposited in Bank Cash on Hand $312,820.78 35.13 Cash Disbursed $312,855.91 311,161.73 Cash on Hand https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $350,912 21 $172,295.99 $ 1,694.18 1,694 18 REPORT OF THE COMMISSIONER OF BANKING 117 GREENVILLE STATE BANK Greenville F. B. S t r a t t o n , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f O ctob er 25, 1933 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 9,838.00 Other _______ 62,598.90 C a p i t a l _________________ $ 15,000.00 9,685.00 Surplus and Undivided Profits Deposits: T i m e ________$ 76,452.02 Total Loans and Discounts $ 72,436.90 D e m a n d _____ 48,562.80 Other Real E s t a t e ________ 13,675.00 Total D e p o s i t s _________ $125,014.82 Investments _____________ 46,795.00 All other r e s o u r c e s _______ 33,533.00 Borrowings from other Banks 16,712 6f Other L i a b i l i t i e s _________ 27.41 Total ________________ $166,439.90 Total ---------------------------- $166,439.90 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1933 C o lle c tio n s Liquidation of A s s e t s _____ $ Assessments on s t o c k _____ Recovery on b o n d ________ Other C o l l e c ti o n s ________ 33,623.03 10,004.70 16,199.19 34,388.35 94,215.27 Total CONDENSED STATEM EN T D is b u r s e m e n ts Legal __________________$ 216.12 2,530.83 Administration __________ Taxes, Insurance ________ 294.75 6,694.16 Other Expenses _________ Bills P a y a b l e ____________ 16,712.67 Preferred C l a i m s _________ 767.46 Dividends ______________ 60,449.78 5,303.69 Offsets _________________ Cash on hand Dec. 31, 1935— 1,245.81 Total 94,215.27 OF C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s Tt p s n i i r o p a Loans and D is c o u n t s ______ $ 37,468.70 C a p i t a l _________________ $ 15,000.00 Bank ing House and F. and F. 5,675.00 Deposits and C l a i m s ______ 59,739.26 Bonds and Other Securities-- 29,438.17 Cash on hand and due from 1,245.81 b a n k s ________________ Ail other r e s o u r c e s _______ 911.58 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 74,739.26 Total $ 74,739.26 118 REPORT OF THE COMMISSIONER OF BANKING BANK OF HAMMOND Hammond J o h n R. H a y e s , D i s t r i c t S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f M arch 27, 1928 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 41,753.00 Other ------------ 103,329.21 C a p i t a l ----------------------------- $ 20,000.00 Surplus and Undivided Profits 80.00 Deposits: T i m e ------------- $ 99,886.88 Total Loans and Discounts $145,082.21 D e m a n d _____ 54,157.91 Other Real E s t a t e ________ 17,117.37 I n v e s t m e n t s _____________ 1,450.00 Total Deposits ________ $154,044.79 All other r e s o u r c e s _______ 27,690.29 Borrowings from other Banks 15,500.00 Other L ia b i l i t i e s _________ 1,715.08 Total ----------------------------$191,339.87 Total ----------------------------$191,339.87 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 3 1 , 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $152,671.56 Assessments on s t o c k _____ 6,779.85 Recovery on b o n d _________ 1,255.00 9,900.08 Other C o l l e c ti o n s ________ Total CONDENSED Legal ------------------------------ $ 2,883.95 Administration __________ 3,872.20 Taxes, Insurance ________ 3,482.63 Other Expenses _________ 3.636.59 Bills P a y a b l e ____________ 15,500.00 Preferred C l a i m s ________ 210.63 Dividends ______________ 90,805.03 Offsets _________________ 46,234.87 Cash on hand Dec. 31, 1935_ 3.980.59 $170,606.49 Total $170,606.49 STATEM ENT OE C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s L ia b ilitie s Loans and D i s c o u n t s _____ $ 27,423.66 C a p i t a l ----------------------------- $ 20,000.00 Other Real E s t a t e ________ 3,413.41 Surplus and Undivided Profits 80.00 Bonds and Other Securities_ 100.00 Deposits and C l a i m s ______ 61,312.26 Cash on hand and due from b a n k s ---------------------------3,980.59 All other r e s o u r c e s _______ 46,474 60 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 81,392.26 Total $ 81,392.26 REPORT OF THE COMMISSIONER OF BANKING 119 HATLEY STATE BANK, Delinquent Hatley I. T. K n u t s o n , S p e c ia l D e p u t y C o m m is s i o n e r C.'onrtition as o f A u g u s t 29, 1032 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $ 10,000.00 Surplus and Undivided Profits 7,960.65 Deposits: T i m e ________$ 41,507.58 D e m a n d _____ 34,660.03 Total Loans and Discounts $ 52,464.40 I n v e s t m e n t s _____________ 50,151.35 Total D e p o s i t s _________ $ 76,167.61 3,652.08 All other r e s o u r c e s _______ Borrowings from other Banks 6,968.67 Other L i a b i l i t i e s _________ 5,170.90 Loans and Discounts: On real estate_$ 26,472.28 Other _______ 25,992.12 Total ________________ $106,267.83 Total ________________ $106,267.83 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts $ 40,608.57 5,627.33 12,500.00 6,954.65 Legal __________________$ 2,310.44 Administration __________ 5,824.13 Taxes, Insurance ________ 855.43 1,269.59 Other Expenses _________ Bills P a y a b l e ____________ 11,967.65 4,308.86 Preferred C l a i m s --------------Dividends ------------------------- 27,731.01 Offsets _________________ 3,620.11 Cash on hand Dec. 31, 1935_ 7,803.33 T o t a l _________________ $ 65,690.55 T o t a l _________________ $ 65,690.55 Liquidation of A s s e t s --Assessments on s t o c k ---Recovery on bond -------Other C o lle c tio n s --------- CONDENSED STATEM EN T OE C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s Ft - Loans and D is c o u n t s -----------$ 21,456.84 C a p i t a l _________________ $ 10,000.00 Banking House and P. and F. 2,717.58 Deposits and C l a i m s ----------- 64,775.98 Other L ia b i l i t i e s _________ 6,627.33 4,991.06 Other Real E s t a t e Bonds and Other Securities— 33,603.85 Cash on hand and due from b a n k s ________ 7,803.33 4,103.97 All other r e s o u r c e s Loss A c c o u n t ------6,726.68 $ 81,403.31 Total .$ 81,403.31 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 120 REPORT OF THE COMMISSIONER OF BANKING HAWKINS STATE BANK Hawkins W. E. L uell, S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f D e c e m b e r 8, 1033 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 10,940.31 Other _______ 19,173.76 Capital ________________ $ 10,000.00 Surplus and Undivided Profits 3,000.00 Deposits: T i m e ________$ 22,061.01 Total Loans and Discounts $ 30,114.07 D e m a n d _____ 23,596.69 Other Real E s t a t e ________ 8,337.61 316.08 I n v e s t m e n t s _____________ Total D e p o s i t s _________ $ 45,657.70 All other resources ------------ 19,897.06 Other Liabilities ________ 7.12 58,664.82 Total Total 58,664.82 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $ 26,567.87 Assessments on s t o c k _____ 7,844.97 Cash 12/8/33 ____________ 12,605.80 Other C o l l e c t i o n s _________ 2,243.95 Total 49,262.59 CONDENSED STATEM EN T R e s o u rc e s Loans and D is c o u n t s ______ $ Banking House and F. and F. Other Real E s t a t e ________ Bonds and Other Securities_ Cash on hand and due from b a n k s ________________ All other r e s o u r c e s _______ T o ta l https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis D is b u r s e m e n ts L egal __________________$ 372.50 Administration __________ 1,923 43 Taxes, Insurance _________ 596.03 Other Expenses _________ 795.24 Sp. Trust P a i d __________ 8,302.76 Preferred C l a i m s ________ 103.00 Dividends ______________ 29,149.53 Offsets ________ v_______ 4,477.14 Cash on hand Dec. 31, 1935_ 1,520.87 Compromise L o s s ________ 2,022.09 Total 49,262.59 OF C O N D IT IO N D E C E M B E R 3 1 , 1935 L ia b ilitie s 4,579.89 C a p i t a l ----------------------------- $ 10,000.00 5,439.30 Surplus and Undivided Profits 6,493.66 8,337.61 Deposits and C l a i m s ______ 3,912.39 316.08 1,520.87 212.30 .? 20,406.05 Total $ 20,406.05 121 REPORT OF THE COMMISSIONER OF BANKING SAWYER COUNTY BANK Hayward H. G re g er s on , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f O ctob er 31, li)32 L ia b ilitie s R e so u rc e s C a p i t a l ----------------------------- • 2 0 , 000.00 6,566.06 Surplus and Undivided Profits Deposits: T i m e ________$ 47,699.53 D e m a n d --------- 52,659.29 Total Loans and Discounts $120,144.87 I n v e s t m e n t s _____________ 37,393.85 Total Deposits --------------- $100,358.82 All other r e s o u r c e s _______ 8,612.33 Borrowings from other Banks 37,317.55 Other L ia b i l i t i e s _________ 1,908.62 Loans and Discounts: On real estate_$ 54,623.55 Other _________ 65,521.32 $166,151.05 Total $166,151.05 Total R e ce ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s _____ $115,344.41 Legal _____________ ____$ 1,472.70 5,295.03 Assessments on s t o c k _____ 3,047.60 Administration __________ 490.30 Other C o l l e c ti o n s ________ 2,192.39 Taxes, Insurance --------------2,906.50 Other Expenses _________ Bills P a y a b l e --------------------- 37,317.55 Preferred C l a i m s --------------- 33,234.00 18,808.50 Dividends ______________ 6,503.88 Offsets _•---------------------------1,467.96 Cash on hand Dec. 31, 1935 — A d j u s tm e n ts ---------------------- 11,777.32 1,310.66 Interest P a i d ____________ $120,584.40 Total $120,584.40 Total CO NDENSED STATEM EN T R e so u rc e s https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L ia b ilitie s 54,619.42 C a p i t a l _________________ $ 20,000.00 3,870.58 679.25 Surplus and Undivided Profits 3,247.27 Deposits and C l a i m s ----------- 63,892.86 Other L ia b i l i t i e s _________ 3,047.60 1,467.96 11,988.64 18,808.50 $ 90,811.04 Total .$ 90,811.04 Loans and D is c o u n t s ----------Ba nking House and P. and F. Bonds and Other Securities— Cash on hand and due from banks - _______________ All other resources _______ Dividends ______________ Total O F C O N D IT IO N D E C E M B E R 31, 1933 122 REPORT OF THE COMMISSIONER OF BANKING HAZEL GREEN STATE BANK Hazel Green J a s . F. C a s s , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f J u ly 27, 11)33 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 71,515.87 Other ------------ 84,741.73 Capital ----------------------------$ 25,000.00 Surplus and Undivided Profits 10,315.64 Deposits: T i m e ------------- $122,727.85 Total Loans and Discounts $156,257.60 D e m a n d _____ 71,072.53 Other Real E s t a t e ________ 7,328.31 I n v e s t m e n t s ---------------------- 69,559.21 Total Deposits _________ $193,800.38 All other r e s o u r c e s _______ 33,318.90 Borrowing's from other Banks 27,800.00 Other Liabilities _________ 9,548.00 Total ----------------------------$266,464.02 Total ----------------------------$266,464.02 R e c e ip ts and D isb u r se m e n ts D a te o f Closing- to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $141,388.12 Legal __________________$ 70.00 Assessments on s t o c k _____ 17,442.51 Administration __________ 4,867.66 Other C o l l e c ti o n s _________ 2,132.03 Taxes, Insurance ________ 724.72 Other Expenses _________ 1,709.1 6 Bills P a y a b l e ____________ 29,075.97 Preferred C l a i m s ________ 16,658.07 Dividends ______________ 84,367.90 Offsets _________________ 5,850.97 Cash on hand Dec. 31, 1935_ 9,237.77 Compromises ____________ 8,400.44 Total Total $160,962.66 $160,962.66 CONDENSED STATEM ENT OF C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s L ia b ilitie s Loans and D is c o u n t s ______ $ 65,293.36 C a p i t a l _________________ $ 25,000.00 Other Real E s t a t e ________ 9,585.29 Deposits and C l a i m s ______ 84,533.27 8,923.95 Other L i a b i l i t i e s _________ Bonds and Other Securities_ 17,442.51 Cash on hand and due from b a n k s ________________ 9,237.77 All other r e s o u r c e s _______ 36.00 Profit and L o s s __________ 33,899.41 T o t a l -------------------------- __$126,975.78 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T o t a l _________________ $126,975.78 123 REPORT OF THE COMMISSIONER OF BANKING STATE BANK OF HILLSDALE Hillsdale J o h n R. H a y e s , D i s t r i c t S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f D e ce m b e r 17, 1932 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $ 10,000.00 Loans and Discounts: 7,944.91 Total Loans and Discounts $103,719.56 Surplus and Undivided Profits Other Real E s t a t e ________ 2,719.51 Deposits: T i m e ________$ 86,920.40 I n v e s t m e n t s _____________ 28,304.22 D e m a n d _____ 29,078.08 4,757.85 All other r e s o u r c e s _______ Cash date of closing-______ 4,442.25 Total D e p o s i t s _________ $115,998.48 Borrowings from other Banks 10,000.00 Total ________________ $143,943.39 Total ________________ $143,943.39 R e c e ip ts and D isb u r se m e n ts D ate o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $ 83,394.42 Assessments on s t o c k _____ 6,220.99 Other C o l l e c t i o n s ________ 5,216.10 Cash date of c l o s i n g _____ 4,442.25 D is b u r s e m e n ts Legal Administration Taxes, Insurance Other Expenses _ Bills Payable Preferred Claims Dividends Cash on hand Dec. 31, 1935— Comp. Loss T o t a l _________________ $ 99,273.76 CO NDENSED STATEM ENT R e so u rc e s Loans and D is c o u n t s ______ Ba nking House and P. and F. Other Real E s t a t e ________ Bonds and Other Securities_ Cash on hand and due from banks ________________ All other resources _______ Profit and L o s s __________ Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 153.71 3,339.32 293.67 1,217.39 10,000.00 473.78 49,635.92 6,009.71 5,318.66 22,831.60 T o t a l _________________ $ 99,273.76 OE C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s 41,435.28 C a p i t a l _________________ $ 10,000.00 4.596.50 Deposits and C l a i m s ______ 61,837.71 2.719.51 7,339.47 5,318.66 15.96 10,412.33 $ 71,837.71 Total .$ 71,837.71 124 REPORT OF THE COMMISSIONER OF BANKING STATE BANK OF HOLCOMBE Holcombe J. R. H a y e s , D i s t r i c t S p e c ia l D e p u t y C o m m is s i o n e r C on dition ns o f D e c e m b e r 2 2 , 1032 R e so u rc e s Loans and Discounts: On real estate__$ 24,280.37 Other ------------ 31,090.97 L ia b ilitie s Capital ________________ Surplus and Undivided Profits Deposits: T i m e ------------- $ 14,626.76 Total Loans and Discounts $ 55,371.34 D e m a n d _____ 37,725.97 Other Real E s t a t e ________ 4,983.82 All other resources _______ 13,941.51 Total Deposits ________ Borrowings from other Banks Other Liabilities _________ Total $ 74,296.67 Total 1 0 , 000.00 2,612.07 52,352.73 6,500.00 2,831.87 74,296.67 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 3 1 , 1935 C o lle c tio n s is b u r s e m e n ts Liquidation of A s s e t s _____ $ 18,900.38 Compromise D L o s s ___:_____ $ Assessments on s t o c k ____ 15.00 Legal __________________ Cash 12/22/32 __________ I 2,753.74 Administration __________ Other C o lle c ti o n s ________ 1,357.05 Taxes, Insurance ________ Other Expenses _________ Bills Payable ___________ Preferred C l a i m s ________ Dividends ______________ Offsets _________________ Items and cash on hand Dec. 31, 1935 ______________ Adjustments ____________ Total Total $ 23,026.17 $ CONDENSED STATEM ENT R e so u rc e s 6,812 60 221.93 2,980.01 854.77 1,048.55 6,500.00 175.17 2,540.24 1,111.29 410.09 371.52 23,026.17 OP C O N D IT IO N D E C E M B E R 3 1 , 1935 L ia b ilitie s Loans and D is c o u n t s ______ : 36,451.12 C a p i t a l _________________ $ 10,000.00 Banking House and F. and F. 5,218.40 Deposits and C l a i m s ______ 49,176.92 Other Real E s t a t e ________ 5,169.72 Bonds and Other Securities_ 125.00 Cash on hand and due from banks ________________ 194.02 All other r e s o u r c e s _______ 1,375.69 Undivided P r o f i t s ________ 10,642.97 Total .? 59,176.92 Total .$ 59,176.92 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 125 REPORT OF THE COMMISSIONER OF BANKING HOLLANDALE STATE BANK Hollandale W ilfred L. H e i n d e l , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f A p r il 2 2 , 1933 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 24,323.20 Other _______ 81,297.85 Capital ________________ $ 15,000.00 Surplus and Undivided Profits 4,898.44 Deposits: Total Deposits ________ $ 93,530.49 Total Loans and Discounts $105,621.05 Other L ia b i l i t i e s ________— 9,365.20 All other r e s o u r c e s _______ 17,173.08 Total $122,794.13 $122,794.13 Total R e ce ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 30, 1935 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s _____ $ 41,704.18 Legal __________________$ 674.53 2,971.42 Assessments on s t o c k _____ 11,169.21 Administration __________ 270.45 4,210.02 Taxes, Insurance _________ Other C o l l e c ti o n s ________ Other Expenses _________ 1,202.59 Bills P a y a b l e ____________ 8,971.00 Preferred C l a i m s _________ 239.86 31,081.62 Dividends ______________ Offsets _________________ 6,003.15 Cash on hand Dec. 30, 1935_ 5,668.79 $ 57,083.41 Total CO NDENSED S T A T E M E N T O F C O N D IT IO N R e so u rc e s Loans and D is c o u n t s ______ $ 59,210.12 Banking House and P. and F. 5,960.50 Cash on hand and due from banks ________________ 5,668.79 All other r e s o u r c e s ________ 6,848.04 Losses _________________ 15,784.26 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 93,471.71 57,083.41 Total D E C E M B E R 3 0 , 1935 L ia b ilitie s C a p i t a l _________________ $ 15,000.00 Surplus and Undivided Profits 4,954.86 Deposits and C l a i m s ______ 57,912.20 15,604.65 Other L i a b i l i t i e s _________ Total $ 93,471.71 126 REPORT OF THE COMMISSIONER OF BANKING BANK OF HORTON VILLE Hortonville F. B. S t r a t t o n , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f M arch 25, 1930 R e so u rc e s L ia b ilitie s Loans and Discounts: Capital ________________ $ 50,000.00 Total Loans and Discounts $401,379.85 Surplus and Undivided Profits 13,951.38 Other Real E s t a t e ________ 28,549.66 Deposits: I n v e s t m e n t s _____________ 36.669.89 T i m e _______ $364,094.20 All other r e s o u r c e s _______ 24,377.05 D e m a n d _____ 58,552.15 Total Deposits ________ $422,646.35 Other Liabilities ________ 4,378.72 T o t a l _________________ $490,976.45 T o t a l ----------------------------- $490,976.45 R e c e ip ts an d D isb u r se m e n ts Dat«1 “ o f Closing: to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $178,806.45 18,813.00 Assessments on s t o c k _____ Recovery on b o n d ________ 33,377.39 60,465.53 Other C o l l e c ti o n s ________ Loan from R F C _________ 19,167.48 Legal ------------------------------ $ 3,800.19 Administration __________ 8,002.82 Taxes, Insurance ________ 10,077.20 Other Expenses _________ 11,934.44 Bills P a y a b l e ________ ____ 11,590.60 Dividends ______________ 243,727.91 Offsets ----------------------------- 17,973.13 Cash on hand Dec. 31, 1935__ 3,182.57 Int. Paid on RFC L o a n ____ 340.99 T o t a l ----------------------------- $310,629.85 T o t a l ----------------------------- $310,629.85 CONDENSED STATEM EN T O F C O N D IT IO N D E C E M B E R 31, 1935 R e s o u rc e s L ia b ilitie s Loans and D is c o u n t s______ $ 56,030.41 C a p i t a l ----------------------------- $ 50,000.00 Other Real E s t a t e _________ 101,172.59 Deposits and C l a i m s ______ 163,227.03 Bonds and Other Securities.3,292.50 Other L i a b i l i t i e s _________ 7,576.88 Cash on hand and due from b a n k s ---------------------------3,182.57 All other r e s o u r c e s _______ 57,125.84 T o t a l ----------------------------- $220,803.91 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T o t a l ---------------------:____ $220,803.91 REPORT OP THE COMMISSIONER OF BANKING 127 IUJBBLETON STATE BANK Ilubbleton B a s i l I. P e t e r s o n , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition us o f M a y X 1!>33 L ia b ilitie s R e so u rc e s Capital ________________ $ 10,000.00 Surplus and Undivided Profits 963.63 Deposits: T i m e ________$ 70,376.73 Total Loans and Discounts $ 72,338.38 D e m a n d _____ 19,616.39 Banking House, Fur. & Fix. 5,100.00 Investments _____________ 14,982.50 Total Deposits --------------- $ 89,993.12 All other r e s o u r c e s _______ 16,712.99 Borrowing's from R. F. C . --3,677.12 Other Liabilities, Bank Scrip 4,500.00 Loans and Discounts: Other _______ $ 72,338.38 Total ________________ $109,133.87 Total ________________ $109,133.87 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 30, 1035 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s _____ $ 67,387.63 Assessments on s t o c k _____ 8,029.36 Other C o lle c tio n s _________ 190.77 Cash on hand 5/3/33______ 16,709.99 Legal __________________$ 493.27 1,109.35 Administration __________ Taxes, Insurance --------------267.66 Other Expenses _________ 2,619.95 Bills P a y a b l e ____________ 8,177.12 Costs Collected and Paid----132.27 Preferred C l a i m s _________ 10,933.16 D i v i d e n d s ______________ 52,808.89 4,651.73 Offsets _________________ 255.16 Cash on hand Dec. 30, 1935_ Other A s s e t s --------------------20.00 Losses on A s s e t s _________ 10,849.19 T o t a l _________________ $ 92,317.75 T o t a l _________________ $ 92,317.75 CONDENSED STATEM EN T R e so u rc e s OF C O N D IT IO N D E C E M B E R 30, 1035 L ia b ilitie s Loans and D is c o u n t s ______ $ 19,512.26 C a p i t a l _________________ $ 10,000.00 5,080.75 Deposits and C l a i m s ______ 21,598.61 Banking House and F. and F. 8,029.36 6,062.50 Stock Assessments CollectedBonds and Other Securities — Cash on hand and due from 255.16 banks ________________ 20.00 All other resources -----------8,697.30 Loss on Liq. of A s s e t s -------.$ 39,627.97 Total Total $ 39,627.97 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 128 REPORT OF THE COMMISSIONER OF BANKING STATE BANK OF HUDSON Hudson G eo . J. S c h a f e r , S p e c ia l D e p u t y C o m m is sio n e r C o n d ition as ot' June 2G, 1932 R e so u r c e s L ia b ilitie s Loans and Discounts: On real estate_$ 1,768.80 Other _______ 17,507.36 Capital ________________ $ 25,000.00 Surplus and Undivided Profits 1,000.00 Deposits: T i m e ________? 43,308.75 Total Loans and Discounts $ 19,276.16 D e m a n d _____ 10,734.65 Other Real E s t a t e ________ 14,406.04 I n v e s t m e n t s _____________ 27,391.56 Total Deposits ________ $ 54,043.40 All other r e s o u r c e s _______ 10,631.61 Borrowing's from other Banks 80,043.40 Cash on hand and due from Other Liabilities Loss A cct_ 143.95 banks 6/26/33 ___________ 8,194.08 Total .$ 79,899.45 $ 79,899.45 Total R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1933 C o lle c tio n s Liquidation of A s s e t s _____ $ 25,232 01 Assessments on s t o c k _____ 110.00 Recovery on b o n d ________ 24,564.06 Other C o l l e c ti o n s ________ 4,675.95 Cash on hand and due from banks ---------------------------8,194.08 Total $ 62,776.10 CONDENSED STATEM ENT R e so u rc e s Loans and D is c o u n t s ______ $ Banking House and F. and F. Other Real E s t a t e ________ Bonds and Other Securities_ Cash on hand and due from b a n k s ________________ All other r e s o u r c e s _______ Net Loss _____________ Total $ 62,776.10 O F C O N D IT IO N D E C E M B E R 1,260.23 9,398.40 7,762.95 2,827.50 31, 1935 L ia b ilitie s C a p i t a l _________________ $ 25,000.00 Surplus and Undivided Profits 1,000.00 Deposits and C l a i m s ______ 174.22 Other In a b i l it i e s ___ ______ 110.00 365.06 572.12 4,097.96 T o t a l ----------------------------- $ 26,284.22 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis D is b u r s e m e n ts 61.45 Legal ------------------------------ $ 2.313.34 Administration __________ Taxes, Insurance ________ 462.25 Other Expenses _________ 1,083.87 Loss Sale O R E __________ 2,643.09 Preferred C l a i m s ________ 20,126.82 Dividends ______________ 31,538.87 Offsets _________________ 2.536.35 Cash on hand Dec. 31, 1935_ 365.06 Interest Paid ____________ 508.62 Loss Bond S a l e s _________ 1,146.38 T o t a l _________________ $ 26,284.22 129 REPORT OF THE COMMISSIONER OF BANKING FIRST STATE BANK Humbird H. M. B e r g e m a n n , S p e c ia l D e p u ty C o m m issio n e r C on dition as o f D e c e m b e r 5, 1029 R e so u rc e s L ia b ilitie s C a p i t a l _________________ $ 25 000 on Loans and Discounts: Total Loans and Discounts $131,468.68 Surplus and Undivided Profits 10,516.49 Other Real E s t a t e ________ 8,000.00 Deposits: All other r e s o u r c e s _______ 25,922.13 T i m e ________$ 71,249.52 D e m a n d _____ 42,709.04 Total Deposits _________ $113,958.56 Borrowings from other Banks 8,000.00 Other Liabilities _________ 7,915.76 Total $165,390.81 Total $165,390.81 R e c e ip ts am i D isb u r se m e n ts D a te o f Closing' to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $ 98,086.58 Legal __________________$ 689.15 Assessments on s t o c k _____ 7,866.62 A d m i n i s t r a t i o n _______ 4,881.82 Other C o l l e c ti o n s _________ 5,139.55 Taxes, I n s u r a n c e _________ 1,397.33 Cash at C l o s i n g _________ 2,952.47 Other Expenses _________ 1,642.90 Bills P a y a b l e ____________ 8,000.00 Preferred C l a i m s _________ 44.61 To Undivided P r o f i t s ______ 2,690.80 Dividends ______________ 27,217.36 Offsets _________________ 7,185.80 Cash on hand Dec. 31, 1935— 4,557.99 55.737.46 Loss __________________ $114,045.22 Total CONDENSED STATEM ENT O F C O N D IT IO N D E C E M B E R 31, 1933 L ia b ilitie s R e so u rc e s Loans and D is c o u n t s ______ $ 41,552.81 Bank ing House and F. and F. 14,934.00 Cash on hand and due from b a n k s ________________ 4,557.99 All other r e s o u r c e s _______ 100,742.86 Total 9 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $114,045.22 Total 4161,787.66 C a p i t a l _________________ $ 25,000.00 Surplus and Undivided Profits 8,133.19 Deposits and C l a i m s ----------- 110,438.11 Other L ia b i l i t i e s _________ 18,216.36 Total $161,787.66 130 REPORT OF THE COMMISSIONER OF BANKING FARMERS & MERCHANTS BANK Independence Carl P. M affet, S p e c ia l D e p u ty C o m m issio n e r C on dition ns o f D e c e m b e r 29, 1932 R e so u rc e s L ia b ilitie s Loans and Discounts: C a p i t a l _________________ $ 30,000.00 Total Loans and Discounts $253,292.11 Surplus and Undivided Profits 17,200.76 Other Real E s t a t e ________ 3,500.00 Deposits: Investments _____________ 86.959.40 T i m e ________$187,688.05 All other r e s o u r c e s _______ 18,939.29 D e m a n d _____ 38,820.31 Total Deposits _________ $226,508.36 Borrowing's from other Banks 73,495.00 Other Liabilities _________ 15,486.68 Total ----------------------------$362,690.80 Total ----------------------------$362,690.80 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $177,754.58 Assessments on s t o c k _____ 18,582.27 Recovery on b o n d ________ 18,137.00 Other C o l l e c ti o n s ________ 1,331.98 Cash Dec. 29, 1932 ________ 2,557.03 T o t a l ----------------------------- $218,362.86 CONDENSED STATEM EN T D is b u r s e m e n ts Legal ------------------- ______ $ A d m i n i s t r a t i o n ___________ Taxes, Insurance ________ Other Expenses _________ Bills P a y a b l e --------------------Dividends ______________ Offsets ----------------------------Cash on hand Dec. 31, 1935_ T o t a l ----------------------------- $218,362.86 O P C O N D IT IO N D E C E M B E R 31. 1935 R e so u rc e s Loans and Discounts ___ $131,732.32 Banking House and F. and F. 2,260.00 Other Real E s t a t e ________ 3,500.00 Fonds and Other Securities_ 16,640.56 Cash on hand and due from banks --------------21,697.29 All other r e s o u r c e s _______ 35,501.73 Exp. of L i q . ---------------------- 11,410.98 Dividends ______________ 77,743.77 T o t a l ----------------------------- $300,486.65 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 1.252.35 6,761.67 600.66 5,698 44 73,495.00 77,743 77 31,113.68 21,697.29 L ia b ilitie s C a p i t a l ------------ ---------------- $ 30,000.00 Surplus and Undivided Profits 11,160.87 Deposits and C l a i m s ______ 223,061.08 Other L ia b i l i t i e s _________ 4.28 Double Lia. Coll. _________ 18,582.27 Income of L i q . _____ ,_____ 17,678.15 Total -------------------------- $300,486.65 131 REPORT OF THE COMMISSIONER OF BANKING IRON RIVER BANK Iron River J o h n R. H a y e s , D istrict Special Deputy Commissioner C o n d ition ns o f D e c e m b e r 1. 1032 L ia b ilitie s R e so u rc e s Capital ________________ $ 15, 000.to Surplus and Undivided Profits 917.31 Deposits: T i m e ________$ 45 433.25 D e m a n d _____ 41,388.41 Total Loans and Discounts $ 92,527.17 Other Real E s t a t e ________ 6,491.23 Total Deposits ________ $ 86,821.60 I n v e s t m e n t s _____________ 4,000.00 All other r e s o u r c e s _______ 15,073.22 Borrowing's from other Banks 13 820.00 1,532.65 Other Liabilities ________ Loans and Discounts: On real estate_$ 41,515.34 Other _______ 51,011.83 Total $118,091.62 $118,091.62 Total R e c e ip ts an d D isb u r se m e n ts D a te o f Closing- to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $ 41,112.13 1,050.00 Assessments on s t o c k _____ Other C o l l e c t i o n s ________ 2.965.84 2,449.55 Cash date of c l o s i n g ______ Total 47,577.52 CONDENSED STATEM ENT R e so u rc e s Loans and D is c o u n t s ______ Banking House and F. and F. Other Real E s t a t e ___ _____ Bonds and Other Securities_ Cash on hand and due from banks ________________ All other resources _______ Dividends ______________ Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis D is b u r s e m e n ts Legal __________________$ 643 34 Administration __________ 3,299.31 Taxes, Insurance ________ 349.74 639.59 Other Expenses _________ Bills P a y a b l e ____________ 13,820.00 Other Expense __________ 1,165.12 Preferred C l a i m s _________ 777.45 Dividends ______________ 8,439.73 Offsets _________________ 2,796.27 Cash on hand Dec. 31, 1935__ 3,832.86 10,948.92 Comp. L o s s _____________ Interest P a i d ____________ 865.18 Total 47,577.52 O F C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s 56,049.75 C a p i t a l _________________ $ 15,000.00 7,938.50 Deposits and C l a i m s ______ 84,346.07 _______ 1,015.05 4,391 23 Other L i a b i l i t i e s 3,237.09 3,832.86 16,471.96 8,439.73 $100,361.12 Total $100,361.12 132 REPORT OF THE COMMISSIONER OF BANKING BOWER CITY BANK Janesville J. P. H am marlund , S p e c ia l D e p u t y C o m m i s s i o n e r C o n d ition ns o f .June 12, 1031 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 67,362.29 Other ------------ 520,908.54 C a p i t a l _________________ $100,000.00 Surplus and Undivided Profits 40,988.90 Deposits: T i m e ________$ 29,763.12 Total Loans and Discounts $588 270.83 D e m a n d _____ 521,379.41 Other Real E s t a t e ________ 15,979.69 I n v e s t m e n t s _____________ 161,986.83 Total D e p o s i t s _________ $551,142.53 All other r e s o u r c e s _______ 55,375.70 Borrowings from other Banks 104,000.00 Other L i a b i l i t i e s _________ 25,481.62 Total ________________ $821,613.05 Total ________________ $821,613.05 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D e ce m b e r 31, 1035 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $257.148.00 Assessments on s t o c k _____ 76,061.48 Recovery on b o n d _________105,016.94 Other C o l l e c ti o n s ________ 50,707.64 Legal -------------------------------$ 8.357.56 Administration ________ _ 14,342 25 Taxes, Insurance ________ 4,285.45 Other Expenses _________ 19,876.51 Bills P a y a b l e ____________ 104,000.00 Preferred C l a i m s ________ 1,043.06 Dividends ______________ 268,351.78 Offsets _________________ 58,506.05 Cash on hand Dec. 31, 1935__ 10,161.40 T o t a l _________________ $488,924.06 T o t a l _________________ $488,924.06 CONDENSED STATEM EN T OF C O N D IT IO N D E C E M B E R 31, 1035 R e so u rc e s Loans and D is c o u n t s ______ $280,383.52 P.anking House and F. and F. 1,851.35 Other Real E s t a t e ________ 56,948.20 Bonds and Other Securities-- 49,946.68 Cash on hand and due from b a n k s ---------------------------- 10.161.40 All other r e s o u r c e s _______ 352,621 46 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $751,912 61 L ia b ilitie s C a p i t a l _____________ $100,000.00 Surplus and Undivided Profits 21.094 56 Deposits and C l a i m s __ 494,383.98 Other L i a b i l i t . e s _____ 136,434.07 Total $751,912 61 133 REPORT OF THE COMMISSIONER OF BANKING JIM FALLS STATE BANK Jim Falls W . R. S tro ng , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f J a n u a r y 17, 1033 R e so u rc e s L ia b ilitie s Capital ________________ $ 10,000.00 Surplus and Undivided Profits 2,000.00 Deposits: T i m e ________$ 14,327.11 D e m a n d _____ 27,930.33 Total Loans and Discounts $ 27,145.50 I n v e s t m e n t s _____________ 16,898.51 Total D e p o s i t s _________ $ 42,257.44 All other r e s o u r c e s _______ 9,749.29 U. D. Profits, d e f i c i t ______ 464.14 Loans and Discounts: On real estate_$ 12,795.78 Other _______ 14,349.72 Total 54,257.44 54,257.44 Total R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g ’ to D e c e m b e r 31, 1035 Collections Liquidation of A s s e t s _____ $ 21,456.63 Assessments on s t o c k _____ 4,093.91 8,834.79 Recovery on b o n d s _______ Other C o l l e c ti o n s ________ 1,585.18 Cash on hand Jan’y 17, 1933_ 3,547.15 T o t a l _________________ $ 39,517.66 CONDENSED ST A TE M E N T D is b u r s e m e n ts Legal ___________ _______ $ 75.84 Administration __________ 2,833.08 Taxes, Insurance ________ 77.75 Other Expenses _________ 797.22 Compromise— Loss _______ 1,482.78 31,569.07 Dividends ______________ Offsets _________________ 495.47 Cash on hand Dec. 31, 1935__ 2,186.45 T o t a l _________________ $ 39,517.66 OE C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s L ia b ilitie s C a p i t a l _________________ ! 10, 000.00 Surplus and Undivided Profits 2, 000.00 Deposits and C l a i m s ----------- 10,559.91 100.00 Other L ia b i l i t i e s _________ Stock Assessment ________ 4,093.91 _ Loans and D is c o u n t s ______ $ 6,713.51 T',.-'nV:ng Hou«e anfl F. pud F. 5,977.50 Bonds and Other Securities— 7,263.72 Cash on hand and due from b a n k s ________ 2,186.45 All other r e s o u r c e s _______ 104.12 Compromise— Loss _______ 1,482.78 U. D. Profits, d e f i c i t 3,025 74 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 26,753.82 Total $ 26,753.82 REPORT OF THE COMMISSIONER OF BANKING 134 KENNAN STATE BANK Kennan John R. H a y e s , D istric t Special D epiity Commissioner C on dition a s of F e b r u a r y 23, 15)27 R e so u rc e s Loans and Discounts: Total Loans and Discounts $ Other Real E s t a t e ________ I n v e s t m e n t s _____________ All other r e s o u r c e s _______ L ia b ilitie s C a p i t a l ----------------------------- $ 10,000.00 1,924.54 40.153.11 Surplus and Undivided Profits 6,059.37 Deposits: T i m e ________$ 16,229.52 2,844.29 D e m a n d _____ 26,317.88 5,415.17 Total D e p o s i t s _________ $ 42,547.40 Total ________________ $ 54,471.94 Total ________________ $ 54,471.94 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $ 43,033.41 Assessments on s t o c k _____ 10,000.00 Other C o lle c tio n s _________ 2,247.21 Cash date of c l o s i n g ______ 2,794.29 Legal _________________~J Administration ---------------- V« 6,618.38 Taxes, I n s u r a n c e ------------ ( Other Expenses ---------------- / Loss A c c o u n t ____________ 21,311.94 Dividends ______________ 25,764.90 3,666.22 Offsets ___________ •_____ Cash on hand Dec. 31, 1935_ 713.47 T o t a l _______ ^_________ .$ 58,074.91 T o t a l _________________ $ 58,074.91 CO NDENSED STATEM EN T OF C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s L ia b ilitie s Loans and D i s c o u n t s ______ $ 12,352.70 C a p i t a l ---------- — ~,— —..------.$ 10,000.00 Deposits and C l a i m s ----------- 16,693.08 Cash on hand and due from banks ________________ 713.47 Profit and L o s s __________ 13,626.91 T o t a l _________________ $ 26,693.08 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T o t a l _________________ $ 26,693.08 135 REPORT OF THE COMMISSIONER OF BANKING THE SECURITY SAYINGS BANK La Crosse W . L. Rossiter, Special D eputy Com m issioner C ondition us of O ctob er 1), 1933 L ia b ilitie s R e so u rc e s Capital ----------------------------$ Loans and Discounts: Total Loans and Discounts $414,071.80 Surplus and Undivided Profits 17,728.69 „ _ I n v e s t m e n t s _____________ 84,587.12 Deposits: Total D e p o s i t s __________$403,928.27 All other r e s o u r c e s _______ 59,230.78 Borrowing's from other Banks 76,189.10 Other Liabilities — ------------42.94 Total ________________ $557,889.70 Total ________________ $557,889.70 R e c e ip ts an d D isb u r se m e n ts D ate o f C lo sin g to D e c e m b e r 31, 1935 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s _____ $223,342.18 Assessments on s t o c k ___ — 22,103.53 Recovery on b o n d ________ 68,626.11 R. P. C. L o a n ____________ 47,671.84 Cash 10/9/33 ____________ 49,733.68 Adj. Bills P a y a b l e ________ 2,361.81 $413,839.15 Total CONDENSED STATEM ENT L ia b ilitie s Loans and D is c o u n t s ______ $206,362.74 P. and P . _______________ 8,000.00 Dividends P a i d __________ 143,453.83 Bonds and Other Securities-- 15,961.01 Cash on hand and due from banks ________________ 24,451.41 All other r e s o u r c e s _______ 61,094.64 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $413,839.15 Total O F C O N D IT IO N D E C E M B E R 51, 1935 R e so u rc e s Total 191.36 Tax. Cert. A c c t . ---------------- $ 2,953.89 Legal -----------------------------4,603.83 Administration -----------------161.84 Ref. K l e e b e r _____________ 4,812.00 Other Expenses and Int. Paid 127,530.86 Bills P a y a b l e --------------------5,288.30 Preferred C l a i m s ________ Dividends ______________ 143,453.83 Offsets _________________ 51,358.29 Cash on hand Dec. 31, 1935— 24,451.41 Loss Bonds _____________ 24,034.73 24,498.81 Loss Court O r d e r ________ 500.00 Bond Transfer ___________ $459,323.63 C a p i t a l _________________ $ 60,000.00 Surplus and Undivided Profits 3,827.04 Deposits and C l a i m s ---------- 361,124.30 Other L i a b i l i t i e s _________ 12,268.76 Stock Assessments Collected- 22,103.53 Total $459,323.63 136 REPORT OF THE COMMISSIONER OF BANKING G A T E W A Y CITY BANK La Crosse W. L. R os si te r , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f O ctob er 9, 1933 R e so u r c e s I Loans and Discounts: Total Loans and Discounts $238,745 0 Other Real E s t a t e ________ 48,500.fO I n v e s t m e n t s ______________113,581.50 All other r e s o u r c e s ________ 38,236.73 Total ________________ $439,063.23 L ia b ilitie s Capital ________________ $100,000.0'-' Surplus and Undivided Profits 12,002.39 Deposits: Total D e p o s i t s _________ $298,265.52 Borrowing's from other Banks 28,747.4s Other Liabilities _________ 47.82 Total ________________ $439,063.21 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 3 1 , 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $129,759.52 Assessments on s t o c k _____ 16,697.31 Reco very on b o n d ________ 93,175.00 Other C o lle c tio n s _________ 11,418.20 Loan R. F. C . ____________ 48,954.75 Cash 10/9/33 ____________ 26,144.11 Adj. Offsets _____________ .78 Legal __________________$ 653.51 Administration __________ 4,637 35 Taxes, Insurance ________ 47.82 4,439.87 Other Expenses _________ Bills P a y a b l e ____________ 77,702.23 6,193.73 Preferred C l a i m s ________ Dividends ______________ 129,551.04 Offsets _________________ 44,134.11 Cash on hand Dec. 31, 1935_ 43,733.89 Loss Bonds _____________ 11,344.20 3,711.92 Loss Court O r d e r ________ T o t a l _______i_________ $326,149.67 T o t a l _________________ $326,149.67 CONDENSED STATEM EN T O F C O N D IT IO N D E C E M B E R R e so u rc e s Loans and D i s c o u n t s ______ $124,848.76 11,500 00 F. and F . _______________ Other Real E s t a t e ________ 48,500.00 Bonds and Other Securities_ 20,406.50 Cash on hand and due from b a n k s ________________ 43,733.89 All other r e s o u r c e s _______ 30,978.01 Dividend A c c t s . __________ 129,551.04 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $409,518.20 31, 1933 L ia b ilitie s C a p i t a l _________________ $100,000.00 Surplus and Undivided Profits 1(8 87 Deposits and C l a i m s ______ 265,929.78 Other L ia b i l i t i e s _________ 26,670.88 Stock Assts. C o l l e c t e d ____ 16,697.31 Adj. Div. Accts. _________ 111.36 Total $409,518.20 REPORT OF THE COMMISSIONER OF BANKING 137 RUSEy COUNTY BANK Ladysmith J o h n R. H a y e s , D istric t Special D eputy Commissioner C o n d ition ns o f J a n u a ry 4, 1927 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $ 37,500.00 Surplus and Undivided Profits 6,545.74 Deposits: T i m e _______ $465,569.82 D e m a n d _____ 193,603.71 Total Loans and Discounts $595,535.94 Other Real E s t a t e ________ 54.798.06 Total D e p o s i t s _________ $659,173.53 I n v e s t m e n t s _____________ 72,676.35 All other r e s o u r c e s ------------ 28,208.92 Borrowings from other Banks 48,000.00 Loans and Discounts: On real estate_$193,617.83 Other _______ 401,918.11 Total ________________ $751,219.27 Total ----------------------------$751,219.27 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s __ Assessments on s t o c k ---Other C o l l e c ti o n s ---------- D is b u r s e m e n ts $439,435.28 Legal ------------------------------ $ 6,598.19 15,700.00 Administration __________ 22,007.69 1,138.65 Taxes, Insurance _________ 15,864.82 Other E x p e n s e s __________ 5,169.35 Bills P a y a b l e --------------------- 48,312.96 Preferred C l a i m s _________ 15,686.55 Dividends ---------------------------281,712.10 Offsets ------------- ._________ 56,043.26 Cash on hand Dec. 31, 1935_ 4,879.01 T o t a l _________________ $456,273.93 CONDENSED STATEM ENT R e so u rc e s T o t a l ----------------------------- $456,273.93 O F C O N D IT IO N D E C E M B E R 31. 1935 L ia b ilitie s Loans and D is c o u n t s ----------- $163,678.12 C a p i t a l ----------------------------- $ 37,500.00 Banking House and F. and F. 12,559.75 Surplus and Undivided Profits 10,000.00 Other Real E s t a t e ________ 52,227.51 Deposits and C l a i m s ______ 336,120.90 Bonds and Other Securities— 17,116.80 Cash on hand and due from b a n k s ________________ 4,879.01 All other r e s o u r c e s _______ 133,159.71 Total $383,620.90 Total $383,620.90 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis REPORT OF THE COMMISSIONER OF BANKING 138 STATE BANK OF LA VALLE La Valle F r a n k C. D e v i n e , S p e c ia l D e p u t y C o m m i s s i o n e r C o n d ition a s o f A u g u s t - , 1933 L ia b ilitie s Resources Loans and Discounts: On real estate— $197,126.82 Other _______ 138,278.12 Capital ----------------------------: 23,000.00 Surplus and Undivided Profits 16,431.58 Deposits: T i m e ________$227,094.56 D e m a n d --------- 51,672.37 Total Loans and Discounts $335,404.94 Other Real E s t a t e -------------- 10,697.46 Total Deposits _________ $278,766.93 I n v e s t m e n t s ---------------------- 22,909.23 All other r e s o u r c e s ------------- 37,180.96 Borrowings from other Banks 15,400.00 72,594.08 Other L i a b i l i t i e s _________ $406,192.59 Total $406,192.59 Total R e c e ip ts an d D isb u r se m e n ts D a te o f Closing- to D e c e m b e r 31, 1935 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s --------- $222,132.88 Assessments on stock —-------- 15,400.00 Recovery on bond .------------- 18,054.73 Other C o l l e c ti o n s --------------- 22,007.44 Cash on hand Aug. 2, 1933— 32,273.43 .$309,868.48 Total CONDENSED STATEM ENT Losses ----------------------------- ; 55,258.3S 1,820.16 Legal -----------------------------5,391.66 Administration __________ 1,858 05 Taxes, Insurance ________ 10,930.99 Other Expenses _________ 15,400.00 Bills P a y a b l e --------------------96.16 Preferred C l a i m s --------------Dividends ______________ 193,108.93 8,721.13 Offsets ----------------------------Cash on hand Dec. 31, 1935— 17,283.02 $309,868.48 Total OF C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s 94,669.82 C a p i t a l _________________ $ 23,000.00 4,466.00 Surplus and Undivided Profits 22,242.62 34,922.46 Deposits and C l a i m s ______ 156,009.44 Other L i a b i l i t i e s _________ 17,019.77 17,283.02 66,930.53 $218,271.83 Total $218,271.83 Loans and Discounts —’------- $ Banking House and P. and F. Other Real E s t a t e ________ Cash on hand and due from b a n k s ________________ All other r e s o u r c e s _______ Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 139 REPORT OF THE COMMISSIONER OF BANKING THE FARMERS & MERCHANTS BANK Lena A. E. B uttrick , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as of O ctob er 21, 1933 L ia b ilitie s R e so u rc e s Capital ________________ $ 25,000.00 Surplus and Undivided Profits 6,668.75 Deposits: T i m e _______ $113,897.94 D e m a n d _____ 46,748.11 Total Loans and Discounts $139,467.69 Other Real E s t a t e -------------- 20,900.00 Total Deposits _________ $160,646.05 I n v e s t m e n t s _____________ 61,948.75 All other r e s o u r c e s -----------6,101.41 Borrowing's from other Banks 35,855.45 Other Liabilities --------------247.60 Loans and Discounts: On real estate_$ 54,564.55 Other _______ 84,903.14 Total ________________ $228,417.85 Total ________________ $228,417.85 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to J a n u a r y 1, 1936 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s ----------$118,694.28 Assessments on s t o c k --------2,000.00 Recovery on b o n d ------------95.35 Other C o lle c tio n s --------------- 13,009.68 $133,799.31 Total 413.82 2,677.88 2,738.26 6,379.06 35,855.45 469.41 31,858.96 5,532.40 30,798.85 17,075.22 Legal __________________ Administration __________ Taxes, Insurance ________ Other Expenses ---------------Bills P a y a b l e --------------------Preferred C l a i m s _________ Dividends ______________ Offsets _________________ Loss Conv. Assets to Cash--Cash on hand Dec. 31, 1935— $133,799.31 Total C O N D E N S E D S T A T E M E N T O F C O N D IT IO N J A N U A R Y 1, 1936 R e so u rc e s Loans and D is c o u n t s ---------- ' Banking House and P. and F. Other Real E s t a t e ------------Bonds and Other Securities— Cash on hand and due from banks ---------------------------Accts. Pay. F i l e d --------------All other resources -----------Deficit Und. Prof. A c c t . -----Dividend A c c t . ------------------Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 64,563.43 11,498.00 19,361.55 10,368.50 L ia b ilitie s C a p i t a l _________________ $ 25,000.00 Deposits and C l a i m s ----------- 159,548.21 Other L i a b i l i t i e s _________ 109.88 Outstanding Drafts _______ 30.56 17,075.22 109.88 284.40 29,568.71 31,858.96 $184,688.65 Total $184,688.65 140 REPORT OF THE COMMISSIONER OF BANKING LEWIS STATE BANK Lewis A r t h u r J. K i n g , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f N o v e m b e r 7, 1931 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $ 12,000.00 Loans and Discounts: 7,057.10 Total Loans and Discounts $ 87,511.00 Surplus and Undivided Profits Other Real E s t a t e -------------625.00 Deposits: T i m e ________$ 30,389.12 I n v e s t m e n t s _____________ 800.00 D e m a n d _____ 25,684.54 All other r e s o u r c e s _______ 9,208.47 Total D e p o s i t s _________ $ 56,073.66 Borrowing's from other Banks 18,432.50 Other L i a b i l i t i e s _________ 4,581.21 Total ________________ ? 98,144.47 Total ________________ $ 98,144.47 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $ 90,091.16 Assessments on s t o c k _____ 4,600.» 0 Recovery on b o n d ________ 3,676.94 Other C o l l e c ti o n s _________ 1,486.00 Total 99,854.10 CONDENSED STATEM EN T D is b u r s e m e n ts 448.44 Legal ______________ ,-----$ Administration ___ ,______ 3,100.84 Taxes, Insurance _________ 181.86 Other Expenses _________ 537.3 7 Bills P a y a b l e ____________ 5,860.06 Preferred C l a i m s ________ 280.46 Dividends ______________ 4,376 40 Offsets _________________ 2,773.44 Cash on hand Dec. 31, 1935__ 63.32 Adjustments and L o s s ____ 82,231.91 Total 99,854.10 OF C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $ 12,000.00 Cash on hand and due from banks ________________ $ 63.32 Deposits and C l a i m s ______ 57,224.08 16,311 01 Loss __________________ 85,471.77 Other L ia b i l i t i e s _________ Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 85,535.09 Total $ 85,535.09 141 REPORT OF THE COMMISSIONER OF BANKING BANK OF LINDEN Linden W a l k e r C. R ose be rr y , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f N o v em b e r 29, 1935 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $ 20,000.00 Surplus and Undivided Profits 4,695.63 Deposits: T i m e _______ $119,921.65 D e m a n d _____ 67,810.23 Total Loans and Discounts $127,441.43 Other Real E s t a t e ------------28,805.74 Total Deposits ________ $187,731.88 I n v e s t m e n t s _____________ 5,348 46 All other r e s o u r c e s _______ 60,831.88 Cther Liabilities— Debentures 10,000.00 Loans and Discounts: On real estate_$ 47,629.00 Other _______ 79,812.43 T o t a l _______:_________ $222,427.51 T o t a l _________________ $222,427.51 R e c e ip ts and D isb u r se m e n ts D a te o f Closing- to D e c e m b e r 31, 1935 D isb u i sem en ts C o lle c tio n s Liquidation of A s s e t s --------- $ 14,329.24 Assessments on s t o c k --------1,950.00 Other C o lle c tio n s --------------279.80 Claims I n c r e a s e d --------------41.60 Cash 11/29/35 ___________ 51,467.12 Legal ------------------------------ $ -50 Administration __________ 370.99 135.65 Other Expenses __________ Cash I t e m s _____________ 66.25 Claims I n c r e a s e d _________ 41.60 Offsets _________________ 8,722.96 58,729.81 Cash on hand 11/29/35 ____ T o t a l _________________ $ 68,067.76 T o t a l _________________ $ 68,067.76 CONDENSED STATEM ENT O F C O N D IT IO N Loans and D is c o u n t s ----------- $113,121.78 Banking- House and F. and F. 7,000.00 Other Real E s t a t e ------------- 28,805.74 Bonds and Other Securities— 7,654.67 Cash on hand and due from banks _____________ 58,796.06 All other r e s o u r c e s _______ 93.41 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis D E C E M B E R 31, 1935 L ia b ilitie s R e so u rc e s $215,471.66 C a p i t a l _________________ $ 20,000.00 Surplus and Undivided Profits 4,468.29 Deposits and C l a i m s ______ 179,053.37 Other L ia b i l i t i e s _________ 10 000.00 Stock A s s e s s m e n t ________ 1,950.00 Total $215,471.66 142 REPORT OF THE COMMISSIONER OF BANKING LOMIRA STATE BANK Lomira F r a n k M. W a s h b u s h , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition a s o f Aio v e m b e r 30, 1932 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 14,200.00 Other _______ 35,981.29 Total Loans and Discounts $ 50,181.2 Other Real E s t a t e ________ 3,500.00 I n v e s t m e n t s _____________ 122,273.70 All other r e s o u r c e s _____ 8,134,58 Total ---------------------------- $184,089.57 Capital ----------------------------$ 25,000.00 Surplus and Undivided Profits 14,698.78 Deposits: T i m e ________$ 83,341.24 D e m a n d _____ 37,509.75 Total Deposits ________ $120,850.99 Borrowings from other Banks 20,650.00 Other L ia b i l i t i e s _________ 2,889.80 Total ----------------------------$184,089.57 R e c e ip ts an d D isb u r se m e n ts D a te o f Closing- to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s __ Assessments on s t o c k __ Other C o lle c ti o n s ____ D is b u r s e m e n ts $ 74.314.11 L egal -------------------------------$ 404.46 14,360.00 Administration __________ 5,Oo9.98 12,218.18 Ta,xes, Insurance ________ 474.98 Other Expenses _________ 487.35 Bills P a y a b l e ______________21,198.77 Preferred C l a i m s _________ 2,718.90 Dividends ------------------------- 63,782.73 5,635.52 Offsets ----------------------------Cash on hand Dec. 31, 1935_ 1,179.60 T o t a l ______ :__________ $100,892.29 CONDENSED STATEM EN T T o t a l ----------------------------- $100,892.29 OF C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s L ia b ilitie s Loans and D is c o u n t s ______ $ 10,636.72 C a p i t a l ----------------------------- $ 25,000.00 Other Real E s t a t e ________ 3,500.00 Deposits and C l a i m s ______ 52,897.84 Bonds and Other Securities_ 60,063.10 Cash on hand and due from b a n k s ---------------------------1,179.60 All other r e s o u r c e s _______ 109.70 Surplus— Deficit _________ 2,408.72 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 77,897.84 Total $ 77,897.84 143 REPORT OF THE COMMISSIONER OF BANKING CLARK COUNTY BANK Loyal H. M. B ergemann , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f J u n e 25, 1932 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $ 25,000.00 Surplus and Undivided Profits 1,958.96 Deposits: T i m e ________$ 95,886.12 D e m a n d _____ 18,169.02 Total Loans and Discounts $ 80,560.38 I n v e s t m e n t s _____________ 75,572.76 Total Deposits _________ $114,055.14 All other r e s o u r c e s _______ 14,754.68 Borrowings from other Banks 28,593.58 Other Liabilities _________ 1,280.14 Loans and Discounts: On real estate_$ 23,738.54 Other _______ 56,821.84 $170,887.82 Total Total $170,887.82 R e c e ip ts an d D isb u r se m e n ts D a te o f Closing- to D e c e m b e r 31, 1935 D is b u r s e m e n ts C o lle c tio n s 270.49 Liquidation of A s s e t s ___ — $105 054.96 L e g a l --- ---------------------------$ ________ 4,670.51 Assessments on s t o c k _____ 11,487.08 Administration 582.40 Other C o l l e c ti o n s ________ 9 894.21 Taxes, I n s u r a n c e _*.____ ._ Other Expenses _________ 5,132.83 Bills P a y a b l e ____________ 28,593.58 L o s s ___________________ 31,431.57 Preferred C l a i m s ________ 1,280.14 Dividends ______________ 32,192.97 Offsets _________________ 5,408.81 Cash on hand Dec. 31, 1935_ 5,610.33 Paid T r u s t e e s ___________ 11 262.62 $126,436.25 Total Total $126,436 25 CONDENSED STATEM ENT O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Loans and D is c o u n t s ______ $ 50,817.64 Banking House and P. and F. 13,358.00 Bonds and Other Securities_ 17,582.66 Cash on hand and due from 5,610.33 b a n k s ________________ All other r e s o u r c e s ________ 74,347.15 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $161,715.78 L ia b ilitie s C a p i t a l ----------------------------- $ 25,000.00 Surplus and Undivided Profits 1,958.57 Deposits and C l a i m s ______ 108.600.92 Other L ia b i l i t i e s _________ 26,156.29 Total $161,715.78 144 REPORT OF THE COMMISSIONER OF BANKING STATE BANK OF LUBLIN Lublin W. E. J ehn , S p e c ia l D e p u t y C o m m is s i o n e r C on dition a s of D e c e m b e r 1, 1932 R e so u rc e s L ia b ilitie s Loans and Discounts: C a p i t a l ----------------------------- $ 10,000.00 Total Loans and Discounts $ 35,937.69 Surplus and Undivided Profits 2,987.48 Other Real E s t a t e ________ 3,868.74 Deposits: I n v e s t m e n t s _____________ 6,768. ¿5 T i m e ------------- $ 17,150.45 All other r e s o u r c e s _______ 4,647.41 D e m a n d _____ 11,084.86 Total D e p o s i t s _________ $ 28,235.11 Borrowings from other Banks 10,000.00 Total ________________ $ 51,222.59 Total ----------------------------$ 51,222.59 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e ce m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $ 32,176.00 Legal -------------------------------$ 1,014.99 1,887.49 Administration __________ Assessments on s t o c k _____ 3,004.08 Other C o l l e c ti o n s ________ 1,631.19 Taxes, Insurance _________ 567.69 Other Expenses _________ 1,213.06 Bills P a y a b l e ____________ 10,000.00 Preferred Claims C. O. Loss__ 6,580.83 Dividends ------------------------- 10,748.66 Offsets ----------------------------1,175.96 Cash on hand Dec. 31, 1935__ 1,389.41 T o t a l ----------------------------- $ 35 694.68 T o t a l ----------------------------- $ 35 694.68 CONDENSED STATEM ENT OE C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s L ia b ilitie s Loans and D isco u n ts______ $ 17,659.90 C a p i t a l ----------------------------- $ 10,000.00 Banking House and F. and F. 2,030.60 Surplus and Undivided Profits 1,607.33 Other Beal E s t a t e ________ 4,570.28 Deposits and C l a i m s ______ 16,134.19 Bonds and Other Securities_ 1,310.00 Cash on hand and due from b a n k s ---------------------------1,389.41 All other r e s o u r c e s _______ 781.33 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 27,741.52 Total 27,741.52 REPORT OF THE COMMISSIONER OF BANKING 145 BANK OF LUCK Luck A r t h u r J. K i n g , S p e c ia l D e p u t y C o m m is s i o n e r C ondition as o f .July 29, 1930 R e so u rc e s L ia b ilitie s .Loans and Discounts: C a p i t a l _________________ $ 45,000.00 Total Loans and Discounts $327,855.68 Surplus and Undivided Profits 10,477.40 Other Real E s t a t e ________ 26,794.57 Deposits: Investments _____________ 27,675.00 T i m e ________$230,013.14 All other r e s o u r c e s _______ 17,024.22 D e m a n d _____ 112,537.21 Total Deposits _________ $342,550.35 Other L ia b i l i t i e s _________ 1,321.72 Total ----------------------------$399,349.47 Total ________________ $399,349.47 R e c e ip ts and D isb u r se m e n ts D a te o f Closing; to D e ce m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $247,406.81 Legal -------------------------------$ 3,946.76 Assessments on s t o c k _____ 23,054.62 Administration __________ 9,334.67 Other C o lle c ti o n s _________ 21,115.73 Taxes, Insurance ________ 8,49.3.63 Other Expenses _______ 6,989.56 Preferred C l a i m s _________ 21.74 Dividends _______________ 106,415.27 Offsets _________________ 20,274.76 5,465.97 Cash on hand Dec. 31, 1935_ O. R. E. and Adjustments___ 130,634.80 Total ----------------------------$291,577.16 CONDENSED STATEM EN T Loans and D is c o u n t s ______ $111,388.70 Banking House and F. and F. 5,740.00 Other Real E s t a t e ________ 90,987.99 Bonds and Other Securities_ 245.00 Cash on hand and due from b a n k s ________________ 5,465.97 Undivided P r o f i t s _________ 82,028.65 10 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ----------------------------$291,577.16 OF C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Total Total $295,856.31 L ia b ilitie s C a p i t a l _________________ $ 45,000.00 Surplus and Undivided Profits 10,000.00 Deposits and C l a i m s ______ 217,801.69 Other L i a b i l i t i e s _________ 23,054.62 Total $295,856.31 REPORT OF THE COMMISSIONER OF BANKING 146 THE CAPITAL CITY BANK Madison J. T. Lewis, S p e c ia l D e p u t y C o m m is s i o n e r C on dition ns o f N o v e m b e r 10, 1931 L ia b ilitie s R e so u rc e s Capital ---------- ---------------- $ 200,000.00 S u r p l u s and Undivided 180,479.47 P r o f i t s ______________ Deposits: Time ______ $526,158.98 Demand ___ 893,978.86 Loans and Discounts: On real e s tate ____ $ 413,348.66 Other ____ 1,164,896.33 Total Loans and Disc o u n t s _____________ $1,578,244.99 Total D e p o s i t s ________ $1,420,137.84 Other Real E s t a t e ----------4,500.00 Investments ___________ 680,982.19 Borrowing's from o t h e r Banks ------------------------579,424.63 All other r e s o u r c e s --------127,038.01 10,723.25 Other L i a b i l i t i e s ________ Total _______________ $2,390,765.19 T o t a l _______________ $2,390,765.19 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s ___ $1,080,236.28 Assessments on s t o c k ___ 116,7'57.38 Other Collections _______ 118,457.02 25,926.37 R. F. C. L o a n __________ $1,341,377.05 Total CONDENSED STATEM EN T D is b u r s e m e n ts L e g a l _________________ $ A d m in is tra tio n _________ Taxes, I n s u r a n c e ________ Other E x p e n s e s _________ Bills P a y a b l e __________ Preferred C l a i m s ________ D iv id e n d s _____________ O f f s e t s ________________ Cash on hand Dec. 31, 1935 A d j u s t m e n t s ___________ Total 28,832.47 21,566.21 23,352.64 32,119.63 579,424.63 161,661.67 238,169.30 193,540.09 6,238.50 56,471.91 $1,341,377.05 O F C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s R e so u rc e s Loans and D i s c o u n t s --------$ 876,388.88 Capital _______________ $ 200,000.00 35,620.50 Surplus and U n d i v i d e d Banking House and F. & F. P r o f i t s _______ 50,843.92 43,738.43 Other Real E s t a t e -----------383,772.97 Deposits and C l a i m s ____ 1,191,253.31 Bonds and Other Securities Other L ia b i l i t i e s ________ 379 58 Cash on hand and due from 116.757.38 4,418.41 Stock A s s e s s m e n t _______ banks ------------------------R. F. C. L o a n __________ 25,926.37 All other resources C. I. & 3,052.07 O. D. _______________ Dividend % {1 of 20%_____ 238,169.30 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $1,585,160.56 Total $1,585,160.56 147 REPORT OF THE COMMISSIONER OF BANKING AMERICAN EXCHANGE BANK Manitowoc A. L. H o u g e n , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f O ctob er 15, 1932 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $100,000.00 Surplus and Undivided Profits 40,445.94 Deposits: T i m e _______ $223,527.51 D e m a n d _____ 107,658.50 Total Loans and Discounts $367,907.72 I n v e s t m e n t s _____________ 108,768.94 Total Deposits ________ $331,186.01 All other r e s o u r c e s _______ 135,014.90 Borrowing's from other Banks 40,000.00 Other L i a b i l i t i e s _________ 100,059.61 Loans and Discounts: On real estate_$135,923.00 Other _______ 231,984.72 Total ________________ $611,691.56 Total ____ !___________ $611,691.56 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s _____ $181,221.39 Assessments on s t o c k _____ 42,000.00 Recovery on b o n d ________ 420.85 21,543.41 Other C o lle c ti o n s ________ Real Estate S o l d --------------- 12,500.00 Total ________________ $257,685.65 CONDENSED STATEM ENT Loans and D isco un ts______ $175,576.31 Banking House and F. and F. 31,587.57 Bonds and Other Securities_ 85,801.15 Cash on hand and due from b a n k s ________________ 1,031.22 All other r e s o u r c e s _______ 57,784.24 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Total ________________ $257,685.65 OF C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Total Legal __________________$ 4,427.17 3,630.00 Administration __________ Taxes, Insurance _________ 5,032.64 Other Expenses _________ 9.270 93 Preferred C l a i m s __________219,671.46 Int. P a i d _______________ 1.244.72 Offsets _________________ 13,377.51 Cash on hand Dec. 31, 1935__ 1,031.22 $351,780.49 L ia b ilitie s C a p i t a l ----------------------------- $100,000.00 Surplus and Undivided Profits 108,151.52 Deposits and C l a i m s ______ 90,628.97 Other L i a b i l i t i e s _________ 53,000.00 Total $351,780.49 REPORT OF THE COMMISSIONER OF BANKING 148 STATE BANK OF MANITOWOC Manitowoc W. J. C l a r k , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f D e c e m b e r SO, 10.13 L ia b ilitie s R e so u rc e s Loans and Discounts: On real estate__$ 86,121.74 Other _______ 743,656.80 Total Doans and Discounts $829,778 54 Other Real E s t a t e ------------12,703 17 Investments _____________ 91,572 25 All other r e s o u r c e s _______ 86,545.91 Total _______________ $1,020,599.87 R e c e ip ts sind D isb u r se m e n ts D at C a p i t a l _________________ $200,000.01 Surplus and Undivided Profits 63,131.49 Borrowing's from other Banks 744,660.58 Other Liabilities— Reserves-- 12,807.80 Total _______________ $1,020,599.87 o f C losin g- to D e ce m b e r 31, 1935 D islu n s c m e n ts C o lle c tio n s Liquidation of A s s e t s _____ $ 76,326.9' Legal __________________$ Recovery on b o n d ________ 38,748.19 Administration __________ Other C o l l e c t i o n s ________ 331,435.49 Taxes, Insurance ________ 9,043 00 Other Expenses to Und. Prof. Recovery on Real E s tate ___ and S u r p l u s ___ 46,602.93 Bills P a y a b l e ____ 386,660.58 Preferred Claims to Reserves Cash on hand Dec. 31, 1935__ Total ________________ $455,553 59 CONDENSED STATEM EN T Total 3,362.33 3,220.49 2,641.75 7,840.89 5,224.62 ________________ $455,553.59 O F C O N D IT IO N DECEM BER 31, 1935 l.iiibilities C a p t a i _________________ $200.000.00 Loans and Discounts and R. ___________ 2,079.37 Mort. ________________ $493,118 43 Surplus 4,966.91 Other Real E s t a t e ________ 3,660.17 lies, for Bond D p r . ________ Bonds and Other Securities-- 52,824.06 Dills P a y a b l e ____________ 358.0C0.00 Cash on hand and due from 5,224.62 banks ________________ All other r e s o u r c e s _______ 10,219.00 R e so u rc e s Total ----------------------------$565,046.28 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Total ________________ $565,046.28 149 REPORT OF THE COMMISSIONER OF BANKING BANK OF MARSHALL, Delinquent Marshall A. J. S p e r l e y , S p e c ia l D e p u t y C o m m is s i o n e r C on dition ns o f J u ly 2 2 , 1932 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $ 15,000.00 Surplus and Undivided Profits 6,991.79 Deposits: T i m e ________$ 92,037.01 D e m a n d _____ 26,694.00 Total Loans and Discounts $ 66.878.39 5,500.00 Other Real E s t a t e ________ Total D e p o s i t s _________ $118,731.01 I n v e s t m e n t s _____________ 63,772.90 3,000.00 All other r e s o u r c e s -----------7,571.51 Borrowings from other Banks Loans and Discounts: On real estate_$ 10,449.88 Other _______ 56,428.51 ________________ $143,722.80 Total Total ________________ $143,722.80 R e c e ip ts und D isb u r se m e n ts D a te o f C lo sin g to D e ce m b e r 31, 1935 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s _____ $ 59,738.26 Assessments on s t o c k _____ 13,300.00 Recovery on b o n d ________ 6,994.04 Other C o l l e c ti o n s ________ 7,032.14 $ 87,064.44 Total CONDENSED STATEM EN T R e so u rc e s Loans and D is co u n ts_____ Banking House and F. and F. Other Real E s t a t e ________ Bonds and Other Securities_ Cash on hand and due from banks ________________ All other r e s o u r c e s _______ Profit and Loss ( L o s s ) ____ Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Legal __________________$ 1,459.15 A d m i n i s t r a t i o n _____ - ____ 6,969.77 Taxes, Insurance ________ 329.1 6 Other Expenses _________ 395.78 Bills P a y a b l e ____________ 3,000.< 0 Preferred C l a i m s ________ 45.00 Dividends ______________ 62,765.39 Offsets _________________ 5,242.15 Cash on hand Dec. 31, 1935__ 6,858.04 Total $ 87,064,44 OF C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s 22,878.54 C a p i t a l _________________ $ 15,000.00 1.814.00 Deposits and C l a i m s ______ 62,864.40 6.475.00 Statutory Stock A s s e s s . ___ 13,300.00 27,652.50 6,858.04 4,136.41 21,349.91 $ 91,164.40 Total $ 91,164.40 REPORT OF THE COMMISSIONER OF BANKING 150 CLOVERLAND STATE BANK Marshfield A lvin F ass , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f D e c e m b e r <>, 1932 L ia b ilitie s R e so u rc e s Loans and Discounts: Total Loans and Discounts $342,678.20 Other Real E s t a t e -------------2,125.00 Investments ---------------------- 45,150.00 All other r e s o u r c e s -----------6,789.91 Total — ______________$396,743.11 C a p i t a l ----------------------------- $ 50,000.00 Surplus and Undivided Profits 20,727.47 Deposits: Total D e p o s i t s __________$265,966.12 Borrowing's from other Banks 58,000.03 Other L i a b i l i t i e s ---------------2,049.49 Total ________________ $396,743.11 R e c e ip ts aiul D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 3 1 , 1935 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s ----------$185,249.43 Legal __________________$ Assessments on s t o c k --------- 28,345.55 Administration -----------------Other C o lle c tio n s --------------- 30,679.08 Taxes, Insurance ________ Other Expenses _________ Bills P a y a b l e ____________ Preferred C l a i m s --------------Dividends ______________ Offsets _________________ Cash on hand Dec. 31, 1935__ Losses by Court O r d e r ------$244,274.06 Total CONDENSED STATEM ENT Loans and D isco un ts----------- $173,418.20 7.487.00 Banking House and P. and F. 8.645.00 Other Real E s t a t e ------------5.940.00 Bonds and Other Securities— Cash on hand and due from 1,039.88 banks ---------------------------All other resources _______ . 59,161.75 Dividends P a i d ------------------ 92,690.92 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $244,274.06 Total O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Total 1,826.23 7,197.72 2,485.71 3,175.96 58,000.03 10,832.82 92,690.92 29,419.26 1,039.88 37,605.53 $348,382.75 L ia b ilitie s C a p i t a l _________________ $ 50,000.00 Surplus and Undivided Profits 20,727.55 Deposits and C l a i m s ______ 139,513.63 Other L i a b i l i t i e s _________ 45,450.65 Dividends P a i d ________i__ 92,690.92 Total $348,382.75 151 REPORT OF THE COMMISSIONER OF BANKING CITIZENS STATE BANK Menomonee Falls B a s i l I. P e t e r s o n , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f M a y 3, 1933 L ia b ilitie s R e so u r c e s Loans and Discounts: On real estate— $ 79,476.53 Other _______ 250,656.27 C a p i t a l ----------------------------- $ 50,000.00 Surplus and Undivided Profits 12,500.00 Deposits: T i m e ________$174,054.47 D e m a n d _____ 84,331.19 Total Loans and Discounts $330,132.80 I n v e s t m e n t s _____________ 80,546.61 All other r e s o u r c e s _______ 34,422.48 Total D e p o s i t s _________ $258,385.66 Borrowing's from other Banks 105,540.14 Other L i a b i l i t i e s _________ 18,676.09 Total $445,101.89 $445,101.89 Total R e c e ip ts and D isb u r se m e n ts D a te o f Closing: to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of Assets - ____ $ Assessments on s t o c k _____ Recovery on( b o n d ________ Other C o lle c ti o n s ________ Interest on B o n d s ________ Interest on Loans and Dis._ Cash on hand 5/3/33______ Lia. on Fid. B o n d _________ Profit on B o n d s __________ Overdrafts _________ ,___ Total 79,170.90 22,424.56 47,657.28 8,994.02 5,780.11 6,711.95 23,226.67 5,000.00 2,147.20 56.06 $201,168.75 CO NDENSED STATEM ENT D is b u r s e m e n ts Legal ------------------------------ $ Administration __________ Taxes, Insurance _________ Other Expenses _________ Bills P a y a b l e ____________ Preferred C l a i m s _________ Dividends ------------------------Judgment Purchased _____ Offsets ----------------------------Cash I t e m s _____________ Cash on hand Dec. 31, 1935_ Funds Temp. A d v . ________ Interest P a i d ____________ Cash Variation __________ Loss on Bonds, e t c . _______ Total Loans and D isco un ts______ $250,961.90 Banking House and F. and F. 9,000.00 Bonds and Other Securities_ 32,839.96 Cash on hand and due from 2,824.19 b a n k s _____________ All other r e s o u r c e s _______ 71,463.69 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .$201,168.75 O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Total 2,970.58 5,212.12 2,766.09 5,676.0 / 87,972,93 5,803.91 33,533.05 182.99 10,047.24 650.97 2,824.19 110.00 10,340.37 ’ 11.82 33,066 42 $367,089.74 L ia b ilitie s C a p i t a l ----------------------------- $ 50,000.00 Surplus and Undivided Profits 12,500.00 Deposits and Claims ^___ 222,430.61 Other L ia b i l i t i e s _________ 29,167.36 Assessments Paid ________ 22,424.56 Bills P a y a b l e --------------------- 30,567.21 Total $367,089.74 REPORT OF THE COMMISSIONER OF BANKING 152 STATE BANK OF MERRIMACK Merrimack O. K . J o h n s o n , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f D e c e m b e r 7, 1932 L ia b ilitie s R e so u rc e s Loans and Discounts: Total Loans and Discounts $ Other Real E s t a t e ________ I n v e s t m e n t s _____________ All other r e s o u r c e s -----------Undivided Profits (Deficit)— C a p i t a l _________________ $ 10,000.00 56,566.69 Deposits: T i m e ________$ 72,132.72 7,000.00 D e m a n d _____ 15,442.14 39,859.02 2,962.04 Total Deposits ---------------$ 87,574.86 1,797.12 Borrowing's from other Banks 10,586.97 Other L ia b i l i t i e s ---------------23.04 Total ________________ $108,184.87 Total ________________ $108,184.87 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 D is b u r s e m e n ts C o lle c tio n s 535.76 Liquidation of A s s e t s _____ $ 58,282.47 Legal ------------------------------ $ 2,264.85 4,664.93 Administration __________ Assessments on s t o c k _____ 470.36 8,216.63 Taxes, Insurance ________ Other C o l l e c ti o n s ________ 2,137.26 Other Expenses _________ Bills P a y a b l e ____________ 10,586.97 25.25 Preferred C l a i m s ________ 26,609.18 Dividends ______________ 2,149.88 Offsets _________________ 2,172.65 Cash on band Dec. 31, 1935__ 24,211.87 Loss by A d j u s t m e n t s _____ 71,164.03 Total CONDENSED STATEM EN T R e so u rc e s Loans and D isco u n ts-----------$ Banking House and F. and F. Other Real E s t a t e ________ Bonds and Other Securities— Cash on hand and due from banks ________________ All other resources Div. Paid Und. Profits (Def.) _______ Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Total 71,164.03 OE C O N D IT IO N D E C E M B E R 31, 1933 22,692.94 3,698.00 8,545.50 10,365.29 L ia b ilitie s C a p i t a l ----------------------------- $ 10, 000.00 Deposits and C l a i m s ______ 62,399.89 Stock Assessments P a i d ___ 4,664.93 Dividend Paid (30%) ______ 26,6b 9.18 2,172.65 26,609.18 29,590.44 $103,674.00 Total $103,674.00 153 REPORT OF THE COMMISSIONER OF BANKING COLUMBIA SAVINGS BANK Milwaukee A lf r e d N e w l a n d e r , S p e c ia l D e p u t y C o m m is s i o n e r C on dition as o f M ay 19, 1933 L ia b ilitie s R e so u rc e s Surplus and Undivided Profits $ 10,432.96 Deposits: T i m e ________$115,478.53 Loans and Discounts: On real estate__$175,372.42 Other _______ 200.31 Total Deposits --------------- $115,478.53 Total Loans and Discounts $175,572.73 Other Real E s t a t e ------------5 800.91 Borrowings from other Banks 68,561.76 I n v e s t m e n t s _____________ 4,438.90 All other r e s o u r c e s _______ 8,661.61 Total ________________ $194,473.25 Total ________________ $194,473.25 R e c e ip ts and D isb u r se m e n ts D a te o f Closing- to D e c e m b e r 31, 1935 D is b u r s e m e n ts C o lle c tio n s 609.46 Liquidation of A s s e t s --------- $ 50,305.42 Legal __________________$ 5,879.19 12,731.29 Administration __________ Other C o l l e c ti o n s ________ 554.20 Taxes, Insurance ________ Other Expenses _________ 6,691 89 Bills P a y a b l e ____________ 41,422.64 110.00 Preferred C l a i m s ________ Offsets _________________ 63.00 Cash on hand Dec. 31, 1935__ 311.70 Losses _________________ 7,394.63 $ 63,036.71 Total CONDENSED STATEM ENT R e so u rc e s $ 63,036.71 Total OE C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s Loans and D is co u n ts ----------- $104,656.12 Surplus and Undivided Profits$ 3,497.06 Banking House and F. and F. 4,631.77 Deposits and C l a i m s ______ 143,307.99 1,625.09 Other Real E s t a t e ________ 28,088.35 Other L i a b i l i t i e s _________ Bonds and Other Securities— 3,550.00 Cash on hand and due from b a n k s ________________ 311.70 All other r e s o u r c e s _______ 198.08 $141,436.02 Total $141,436.02 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 154 REPORT OF THE COMMISSIONER OF BANKING FRANKLIN STATE BANK Milwaukee A lf r e d N e w l a n d e r , S p e c ia l D e p u t y C o m m i s s i o n e r C o n d ition as o f J u n e 17, 1931 Liabilities R e so u rc e s Loans and Discounts: On real estate $ 95,456.50 O t h e r ______ 540,221.86 Total Loans and Disc o u n t s ---------------------- $ 635,678.36 Investments ___________ 258,503.95 All other r e s o u r c e s ______ 120,781.01 Total -------------------------- $1,014,963.32 Capital _______________ $ S u r p l u s and Undivided P r o f i t s ______________ Deposits: Time _______$547,076.48 Demand ____ 312,162.15 75,000.00 41,188.41 Total D e p o s i t s ________$ 859,238.63 Borrowings from o t h e r Banks ______________ 30,000.00 Other L i a b i l i t i e s ________ 9,536.28 Total _______________ $1,014,963.32 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 3 1 , 1935 Collections D is b u r s e m e n ts Liquidation of A s s e t s _____ $351,600.33 Legal __________________ 8,226.14 11,720.92 Administration __________ Assessments on s t o c k _____ 18,924.61 Other C o l l e c ti o n s _________ 155,968.52 Taxes, Insurance ________ 4,907.56 Other Expenses _________ 34,963.00 Bills P a y a b l e ____________ 30,000.00 Losses ________ .___ ____ 78,271.67 Dividends ______________ 231,394.05 Offsets _________________ 64,779.42 Cash on hand Dec. 31, 1935_ 9,197.80 Miscl. Disb. and A d j . ______ 38,625.52 Total $519,289.77 Total $519,289.77 CONDENSED STATEM EN T O F C O N D IT IO N D E C E M B E R 31, 1935 Resources Loans and Discounts______ $354,447.25 Banking House and P. and P. 29.987.67 Other Real E s t a t e ________ 38,511.60 Bonds and Other Securities_ 167,789.70 Cash on hand and due from b a n k s ---------------------------9,197.80 All other r e s o u r c e s _______ 5,136.12 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $605,070.14 Liabilities C a p i t a l ----------------------------- $ 75,000.00 Surplus and Undivided Profits 54,357.17 Deposits and C l a i m s ______ 551,904.43 Other L ia b i l i t i e s _________ 32,522.88 Total $605,070.14 155 REPORT OF THE COMMISSIONER OF BANKING HOPKINS STREET STATE BANK Milwaukee A l fr e d N e w l a n d e r , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f J a n u a ry 30, 1933 L ia b ilitie s R e so u rc e s Capital ________________ $200,000 00 Surplus and Undivided Profits 115,892.24 Deposits: T i m e ________$ 62,539.55 34,629.07 D e m a n d _____ Total Loans and Discounts $128,801.67 Investments _____________ 78,615.41 Total Deposits --------------$ 97.168.62 All other r e s o u r c e s _______ 9,397.13 Borrowings from other Banks 26,495.00 Other L i a b i l i t i e s ---------------9,042.83 Loans and Discounts: On real estate_$ 53,600.00 Other _______ 75,201.67 Total ________________ $216,814.21 Total ________________ $216,814.21 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D e ce m b e r 31, 1935 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s _____ $ Assessments on s t o c k _____ Other C o lle c tio n s _________ R. F. C. L o a n ____________ 54,375.60 57,270.89 16,037.48 11,704.56 Legal ________________ T-$ 3,598 35 Administration __________ 5,104.09 2,304.22 Taxes, Insurance _____ ,___ Other Expenses _________ 3,536.98 Bills P a y a b l e ____________ 26,495.00 Preferred C l a i m s ________ 150.67 Dividends ______________ 95,121.59 (~)PFa p. f o 117X94 Cash on hand _Dec7~31, 1935l_ Int. Paid on C l a i m s _______ $139,388.53 Total CONDENSED STATEM ENT Doans and D isco un ts-----------$ Banking House and F. and F. Other Real E s t a t e ------------Bonds and Other Securities— Cash on hand and due from b a n k s _________ 1---------All other r e s o u r c e s _______ Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Total ’69L81 1,206 88 $139,388.53 OF C O N D IT IO N D E C E M B E R 31, 1935 56,079.42 52,012.61 15,021.43 16,896.25 L ia b ilitie s C a p i t a l _________________ $200,000.00 Surplus and Undivided Profits 129,128.35 Deposits and C l a i m s ______ 901.19 Other Liabilities __________ 68,975.45 691.81 46.77 $140,748.29 Total $140,748.29 156 REPORT OF THE COMMISSIONER OF BANKING LIBERTY STATE BANK Milwaukee A l fr e d N e w l a n d e r , S p e c ia l D e p u t y C o m m is s i o n e r Conili lio n ns o f J u ly 18, 11)32 Liabilities R e so u rc e s Loans and Discounts: Capital _______________ $ 150,000.00 S u r p l u s and Undivided Total Loans and Disc o u n t s _____________ $1,085,919.39 Profits ______________ 124,518.43 Other Real E s t a t e _______ 8,501.05 Deposits: Investments ___________ 430,792.93 Time ______ $374,438.11 Demand ___ 405,814.21 All other r e s o u r c e s _____ 179,417.16 Total D e p o s i t s ________$ 780,252.32 Borrowing's from o t h e r 581,700.00 Banks ______________ Other Liabilities _______ 68,159.78 Total -------------------------- $1,704,630.53 T o t a l ___ ___________ $1,704,630.53 R e c e ip ts am i D isb u r se m e n ts D a te o f C lo sin g to D ecem b er 31, 15)33 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s ____ $ 641,348 41 L e g a l _________________ $ 17,292.13 Assessments on s t o c k ____ 95.212.83 Administration ________ 24,635.32 Other C o lle c tio n s ________ 91,757.40 Taxes, In s u r a n c e ________ 10,558 50 Other E x p e n s e s _________ 4,217.95 Bills Payable __________ 519,571.75 1,192.15 Preferred C l a i m s ________ D i v i d e n d s _____________ 47,575.78 O f f s e t s ____________ :___ 121,989 78 Cash on hand Dec. 31, 1935 9,809.42 L o s s e s ---------------------------71,475.86 Total _______________ $ 828,318.64 CONDENSED STATEM ENT Total -------------------------- $ 828,318.64 O F C O N D IT IO N D E C E M B E R 31, 1935 Liabilities R e so u rc e s Loans and D i s c o u n t s ____ $ 620,392.45 Capital -------------------------- $ 150,000.00 Banking House and F. & F. 142,719.39 Surplus and U n d i v i d e d 14,154.34 Other Real E s t a t e ______ P r o f i t s ------------------------63,785.15 Bonds and Other Securities 257,087.95 Deposits and C l a i m s _____ 615,800 59 Cash on hand and due from Other L i a b i l i t i e s _______ 217,481.83 banks ______________ 9.809.42 All other resources ______ 2.904.02 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .$1,047,067.57 Total .$1,047,067.57 157 REPORT OF THE COMMISSIONER OF BANKING MILWAUKEE COMMERCIAL BANK Milwaukee A lfred N ewlander , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f M ay 25, 1033 L ia b ilitie s R e so u rc e s Capital _______________ $ 400,000.00 Loans and Discounts: S u r p l u s and Undivided Total Loans and DisP r o f i t s ______________ 78,590.81 c o u n t s _____________$ 675,188 82 Other Real E s t a t e ______ 19,713.24 Deposits: Investments ____________ 648,192.31 Time ______ $719,582.74 All other r e s o u r c e s _______ 198,502.08 Demand ___ 121,901.57 Total D e p o s i t s ________$ 841 484.31 Borrowing's from o t h e r Banks ______________ 104.740 00 Other L i a b i l i t i e s ________ 116.781.33 $1,541,596.45 Total $1,541,596.45 Total R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1035 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s ___ $ 281,405.34 Legal _________________ $ 10.673.78 21.617.86 Assessments on stock ___ 1 1,670.05 Administration ________ 3,622.93 49,829.72 Taxes, I n s u r a n c e ________ Other Collections _______ R. F. C. L o a n __________ 91,642,55 Other E x p e n s e s ________ 11,731.80 Bills P a y a b l e __________ 104.740 00 Preferred C l a i m s ________ 111.830 86 163.909.38 D iv id e n d s _____________ O f f s e t s ________________ 75.901.51 Cash on hand Dec. 31, 1935 13.965.38 Losses and A d j . _________ 6,554.16 Total $ 524,547.66 CONDENSED STATEM EN T Total OF C O N D IT IO N R e so u rc e s 524,547.66 D E C E M B E R 31, 1935 L ia b ilitie s Loans and D i s c o u n t s ____ $ 483,333.09 Capital _______________ $ 400,000.00 Banking House and F. & F. 111,349.61 Surplus and U n d i v i d e d Other Real E s t a t e ______ 39,790,45 46,180.OS P r o f i t s ______________ Bonds and Other Securities 602,3C6 29 Deposits and C l a i m s ____ 513,827.46 Cash on hand and due from 312,072.72 Other L i a b i l i t i e s ________ banks ______________ 13,965.38 A ll other resources _____ 21,235.44 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $1,271,980.26 Total $1,271,980.26 REPORT OF THE COMMISSIONER OF BANKING 158 ST. FRANCIS STATE BANK Milwaukee A lfred N e w l a n d e r , D i s t r i c t S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f O ctob er 22, 1932 L ia b ilitie s R e so u rc e s Capital _ $ 50,000.00 Surplus and Undivided Profits 34,901.79 Deposits: Time $ 80,033.77 Demand 248,842.55 Total Loans and Discounts $209,682 89 Other Real Estate 3,134.55 Total Deposits $328,876.32 Investments 196,875.83 4,900.00 All other resources 74,905.84 Borrowings from other Banks Other Liabilities— R. F. C__ 65,921.00 Loans and Discounts: On real estate_$ 57,030.00 Other 152,652.89 Total _ _ $484,599.11 Total __ _ $484,599.11 R e c e ip ts and D isb u r se m e n ts D ate o f Closing- to D e c e m b e r 31, 1935 D is b u r s e m e n ts C o lle c tio n s Liquidation of Assets Assessments on stock Recovery on bond Other Collections Total $216.124.60 38,983.79 5,692.50 45,250 97 - CONDENSED $306,051.86 STATEM ENT Loans and Discounts $ 95,463.59 B a nk ing House and F. and F. 38,866.00 Other Real Estate 17,274.55 Bonds and Other Securities_ 105,287.43 Cash on hand and due from banks 7,328.69 All other resources 11,582.94 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis __ Total $306,051.86 O F C O N D IT IO N D E C E M B E R 31, 1933 R e so u rc e s Total Legal $ 3,763.03 Administration 5,534.55 Taxes, Insurance 4,950.00 Other Expenses 4,368.93 Bills Payable 70,821.00 Preferred Claims 3,241.40 Dividends (50%) 157,952.61 Offsets 10,752.68 Cash on hand Dec. 31, 1935_ 7,328.69 Charge Offs 33,315 04 Int. Pd. R. F. C. and Others-4,023.93 $275,803.20 L ia b ilitie s Capital $ 50,000.00 Surplus and Undivided Profits 27,999.91 Deposits and Claims 158,819.50 Stock Assessments 38,983 79 Total $275,803.20 159 REPORT OF THE COMMISSIONER OF BANKING SECURITY BANK OF MILWAUKEE Milwaukee A lfred N e w l a n d e r , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f J u ly 1.8, 1932 L ia b ilitie s R e so u rc e s Capital _______________ $ 200,000.00 S u r p l u s and Undivided P r o f i t s ______________ 133,512.57 Deposits: Time _______$416,304.28 Demand ____ 430,901.32 Loans and Discounts: On real estate $172,326.14 O t h e r _______ 684,416.17 Total Loans and Dis counts _____________$ 856,742.31 Other Real Estate ,______ 2,000.00 Total D e p o s i t s ________$ 847,205.60 Investments ___________ 437,673.30 All other r e s o u r c e s ______ 153,607.56 Borrowing's from o t h e r Banks ______________ 269,305.00 Total $1,450,023.17 $1,450,023.17 Total R e c e ip ts and D isb u r se m e n ts D a te o f Closing- to D e c e m b e r 31, 1935 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s _____ $539,475.38 Assessments on s t o c k ______ 118,163.98 Other C o l l e c ti o n s ________ 115,646.73 R. F. C. L o a n ____________ 103,643.72 176,929.81 Total CONDENSED STATEM ENT Loans and D isco u n ts----------- $421,694.16 Banking House and F. and F. 110,600.95 Other Real E s t a t e ________ 27,341.45 Bonds and Other Securities— 297,048.35 Cash on hand and due from banks ________________ 3,859 40 All other r e s o u r c e s _______ 166 98 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Total ________________ $876,929.81 O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Total Legal ------------------------------ $ 3 Administration __________ 13 Taxes, Insurance ________ Other Expenses _________ Bills P a y a b l e ____________ Preferred C l a i m s ________ Dividends ______________ Offsets _________________ Cash on hand Dec. 31, 1935_ Losses _________________ $860,711.29 L ia b ilitie s C a p i t a l _____________ $200,000.00 Surplus and Undivided Profits 97,744.42 Deposits and C l a i m s __ 341,045.13 Other L a b ilit ie s __________ 221,921.84 Total $860,711.29 REPORT OF THE COMMISSIONER OF BANKING 160 SOUTHERN STATE BANK Milwaukee A lfred N e w l a n d e r , D i s t r i c t S p e c ia l D e p u t y C o m m is s i o n e r C ondition as o f O ctob er 26, 1932 Liabilities Resources C a p i t a l _________________ $200,000.00 Loans and Discounts: Total Loans and Discounts $317,338.13 Surplus and Undivided Profits 48,144.95 I n v e s t m e n t s _____________ 329,883.50 Deposits: T i m e ________$118,458.47 All other r e s o u r c e s _______ 88,597.57 D e m a n d _____ 225,815.78 Total Deposits ________ $344,274.25 Borrowings from other Banks and R F C _____________ 143,400.00 Total $735,819.20 $735.819.20 Total R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 D is b u r s e m e n ts Collections Liquidation of A s s e t s _____ $306,020.43 Legal ________________ Assessments on s t o c k _____ 134,687.05 Administration _________ Other C o lle c tio n s _________ 67,630.44 Taxes, Insurance _______ Other Expenses ________ Bills P a y a b l e ___________ Interest Paid ___________ Dividends ( 8 0 % )________ Offsets ________________ Cash on hand Dec. 31, 1935Charge Offs _______ ____ Total ________________ $508,337.92 CONDENSED STATEM EN T https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ________________ $508,337.92 O F C O N D IT IO N Loans and D is co u n ts ______ $137,830.48 Banking House and F. andF. 58,400.00 Other Real E s t a t e ________ 14,500.00 Bonds and Other Securities_ 219,068.29 Cash on hand and due from b a n k s ________________ 7,038.71 Total Total $436,837.48 ? 2,552.83 5,849.67 7,598.61 4,707.05 143,400.00 5,709 35 256,029.39 24,942.99 7,038.71 50,509.32 D E C E M B E R 31, 1935 Liabilities C a p i t a l _____________ $200,000.00 Surplus and Undivided Profits 37,335 92 Deposits and C l a i m s __ 64,814.51 Stock Assessments _______ 134,687.05 Total $436,837.48 161 REPORT OP THE COMMISSIONER OF BANKING BANK OF MINDORO Mindoro W i l l i a m K e p p e l , S p e c ia l D e p u ty C o m m issio n e r C o n d ition ns o f F e b r u a r y 3, 1033 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 27,037.00 Other _______ 91,850.41 Capital ________________ $ 12,000.00 Surplus and Undivided Profits 18,699 27 Deposits: T i m e _______ $156,700.58 Total Loans and Discounts $118,887.41 D e m a n d _____ 44,123.17 I n v e s t m e n t s _____________ 128,402.16 All other r e s o u r c e s _______ 15,794.02 Total Deposits - _________$200,823.75 Borrowing's from other Banks 31,500.00 Other Liabilities _________ 60.57 Total ----------------------- ----$263,083.59 Total ________________ $263,083.59 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 11)35 C o lle c tio n s Liquidation of A s s e t s _____ $159,902.36 8,112.10 Assessments on s t o c k _____ Other C o lle c tio n s _________ 14,579.19 R. F. C. Loan P r o c e e d s ____ 23,331.43 Total --------------------------- $205,925.OS CONDENSED STATEM EN T D is b u r s e m e n ts Legal __________________$ 367.25 Administration __________ 5,028.99 157.73 Taxes, Insurance ________ Other Expenses _________ 1,754.41 56,302.69 Bills Payable and I n t . ____ Preferred C l a i m s ________ 176.43 Dividends ------------------------- 106,538.73 Offsets ----------------------------7,102.18 Cash on hand Dec. 31, 1935__ 2,177.93 Loss on Bonds s o l d _______ 21,184.67 L. & D. Loss— Compromise_ 5,134.07 Total O F C O N D IT IO N D E C E M B E R 31, 1035 R e so u rc e s Loans and D is co u n ts ______ $ 44,641.02 Banking House and P. and F. 4,500.00 Bonds and Other Securities_ 52,765.98 Cash on hand and due from b a n k s ----------2,177.93 All other r e s o u r c e s _______ 18,088.08 Total 11 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis ----------------------------$205,925.08 $122,173.01 L ia b ilitie s C a p i t a l ----------------------------- $ 12,000.00 Surplus and Undivided Profits 269.54 Deposits and C l a i m s ______ 87,212.18 Other L ia b i l i t i e s _________ 22,691.29 Total $122,173.01 162 REPORT OF THE COMMISSIONER OF BANKING THE CONSOLIDATED BANK Mineral Point W a l k e r C. R o s eb e rr y , S p e c ia l D e p u t y C o m m i s s i o n e r C o n d ition as o f J u ly 7 , 1932 R e so u rc e s L ia b ilitie s Loans and Discounts: On r e a l es tate ____ $519,829.47 O t h e r _____ 663,273.70 Total Loans and Disc o u n t s ____________ $1,183,103.17 Other Real E s t a t e _____ 15,625.00 57,521.60 Investments __________ All other r e s o u r c e s ____ 78,246.58 Total ------------------------- $1,334,496.35 Capital _______________ $ S u r p l u s and Undivided P r o f i t s ______________ Deposits: Time ______ $592,023.34 Demand ___ 405,138.19 80,000.00 8,741.14 Total D e p o s i t s ________$ 997,163.53 Borrowing's from o t h e r Banks ______________ 248,591.68 Total _______________ $1,334,496.35 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 3 1 , 1935 Collections D is b u r s e m e n ts Liquidation of A s s e t s ___ $ 578,960.74 Assessments on s t o c k ___ 26,838.15 204.46 Recovery on b o n d _______ Other C o l l e c t i o n s _._____ 35,914.45 Recovery Cr. E x p e n s e ___ 726.36 Inc. Deposit L i a b i l i t y ___ 193.88 Cash 7/7/32 --------------------13,677.31 6,329.59 L e g a l _________________ $ Administration ,_________ 11,551.87 Taxes, I n s u r a n c e ________ 8,546.29 Other E x p e n s e s ________ 16,147.96 Bills P a y a b l e __________ 192,445.22 Preferred Claims Reduced-43,630.12 Gen. Claims R e d u c e d ____ 1,001.00 Rediscounts P d . _________ 3,074.78 O f f s e t s ________________ 22,859.49 2,517.39 Interest Paid __________ Cash on hand Dec. 31, 1935 19,871.24 Claims I n c r e a s e d ________ 22.00 Court Order A d j . __ ____ 328,508.40 Cash Items ____________ 10.00 Total _______________ $ 656,515.35 Total -------------------------- $ 656,515.35 CONDENSED STATEM EN T OE C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s L ia b ilitie s Loans and D i s c o u n t s ____ $ 638,832.76 Capital -------------------------- $ 80,000.00 Banking House and F. & F. 54,283.81 Deposits and C l a i m s ____ 983,534.55 Other Real E s t a t e _______ 22,625.00 Other Liabilities— -S to c k __ 26,838.15 Bonds and Other Securities 16,593.77 Cash on hand and due from banks ______________ 19,871.24 All other resources _____ 162.22 Court Order A d j u s tm e n t __ 328,508.40 Dr. S u r p l u s ____________ 9,495.50 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $1,090,372.70 Total $1,090,372.70 REPORT OF THE COMMISSIONER OF BANKING 163 FARMERS STATE BANK Minong H. G re ger so n , S p e c ia l D e p u ty C o m m issio n e r C o n d ition as o f D e c e m b e r 30, Ï0 3 3 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 21,706.06 Other _______ 13,231.70 C a p i t a l _________________ $ 10,000.00 Surplus and Undivided Profits 7,165.25 Deposits: T i m e ________$ 19,763.90 Total Loans and Discounts $ 34,937.76 D e m a n d _____ 46,179.97 Other Real E s t a t e ________ 3,239.75 I n v e s t m e n t s _____________ 25,616.02 Total D e p o s i t s _________ $ 65,943.87 All other r e s o u r c e s _______ 19,315.59 T o t a l _________________ $ 83,109.12 T o t a l _________________ $ 83,109.12 R e c e ip ts and D isb u r se m e n ts D a te o f Closing; to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $ 51,604.67 Legal __________________$ 840.85 Assessments on s t o c k _____ 5,317.00 Administration __________ 2,583.21 Other C o lle c tio n s ________ - 420.20 Taxes, Insurance ____ 1,383.97 Other Expenses _________ 719.38 Preferred C l a i m s _________ 8,791.01 Dividends ______________ 27,785.72 Offsets ----------------------------1.288.78 Cash on hand Dec. 31, 1935__ 5,360.49 Adjustments ____________ 8,588.46 .$ 57,341.87 Total CO NDENSED STATEM EN T Total OE C O N D IT IO N R e so u rc e s .$ 57,341.87 D E C E M B E R 31, 1935 L ia b ilitie s Loans and D isco u n ts______ $ 17,123.84 C a p i t a l ----------------------------- $ 10,000.00 Banking House and F. and F. 3,049.75 Surplus and Undivided Profits 3,442 16 Other Real E s t a t e ________ 4,900.00 Deposits and C l a i m s ______ 56,001.64 Bonds and Other Securities.7,843.52 Stock A s s e s s m e n t ______ 5,317.00 Cash on hand and due from banks ________________ 5,360.49 All other resources _______ 8,697.48 Dividends ______________ 27,785.72 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 74,760.80 Total $ 74,760.80 164 REPORT OF THE COMMISSIONER OF BANKING FARMERS STATE BANK Modena M. I. G i l b e r t , S p e c ia l D e p u t y C o m m i s s i o n e r C o n d ition a s o f M a y 1, 1933 R e so u rc e s L ia b ilitie s Loans and Discounts: Total Loans and Discounts $ Other Real E s t a t e ________ I n v e s t m e n t s _____________ All other r e s o u r c e s _______ Capital ________________ $ 10,000.00 2,535.94 56.777.16 Surplus and Undivided Profits 4,900.00 Deposits: T i m e ________$ 35,111.77 3 927.10 D e m a n d ____ ._ 23,890.04 13,295.36 Total Deposits --------------- $ 59,001.81 Borrowing's from other Banks 7,361.87 Total ________________ $ 78,899.62 Total ________________ $ 78,899.62 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $ 35,936.41 Assessments on s t o c k _____ 5,347.07 Recovery on b o n d ________ 2,927.10 Other C o l l e c ti o n s _________ 1,928.48 C. -----------------------------------7,325.15 Total ________________ $ 53,464.21 D is b u r s e m e n ts HOLC Bonds S a l e ________ $ 66.00 Loss Court O r d e r _________ 4,313.99 Legal __________________ 66.50 Administration __________ 3,046 23 Other S a l a r i e s ___________ 439.82 Taxes, Insurance ________ 478.98 Other Expenses _________ 879.88 Bills P a y a b l e ____________ 7,361.87 Preferred C l a i m s _________ 9,467.11 Dividends ------------------------- 23,220.55 Offsets _________________ 3,061.21 Cash on hand Dec., 1935___ 952.07 110.00 Loss Sale of B o n d s _______ Total ------------------------- 53,464.21 C O N D E N S E D S T A T E M E N T O F C O N D IT IO N D E C E M B E R , 1935 R e so u rc e s L ia b ilitie s Loans and D isco u n ts______ : 23,574.22 C a p i t a l _________________ $ 10,000.00 Banking House and F. and F. 2 , 101.00 Surplus and Undivided Profits 2,471.76 Other Real Estate ’________ 4,900.00 Deposits and C l a i m s ______ 46,484.95 Bonds and Other S ecurities.. 16,795.38 1, 000.00 Other L ia b i l i t i e s _________ Cash on hand and due from banks ________________ 952.07 All other resources _______ 43,224.80 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 75,752.09 Total .$ 75,752.09 165 REPORT OF THE COMMISSIONER OF BANKING MOUNT HOPE STATE BANK Mount Hope T. M. W e b s t e r , S p e c ia l D e p u t y C o m m is s i o n e r C on dition as o f S ep te m b e r 20, 1032 R e so u rc e s L ia b ilitie s C a p i t a l _________________ $ 2 0 ,00 0. 00 Surplus and Undivided Profits 6,174.52 Deposits: T i m e _______ $ 66,065.56 D e m a n d ---------- 32,739.69 Total Loans and Discounts $ 97,434.47 Other Real E s t a t e ________ 12,500.00 I n v e s t m e n t s _____________ 10,767.50 Total Deposits ________ $ 98,805.25 All other r e s o u r c e s ______ 21,926.60 Borrowings from other Banks 15,259.62 Other Liabilities _________ 2,389.18 Loans and Discounts: On real estate_$ 50,383.05 47,051.42 Other _____ _ Total $142,628.57 Total $142,628.57 R e ce ip ts and D isb u r se m e n ts D a te u f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $ 37,357.93 Assessments on s t o c k _____ 2,636.96 9,256.22 Other C o l l e c ti o n s ________ Bills P a y a b l e ____________ 6,944 70 Cash on hand 9/26/32______ 2,874.32 $ 59,070.13 Total CONDENSED STATEM ENT D is b u r s e m e n ts Legal __________________ $ 1,712.40 Administration __________ 5,564.29 Taxes, Insurance _________ 1,293.15 209.76 Other Expenses _________ Bills P a y a b l e ____________ 22,746.03 Preferred C l a i m s _________ 253.41 Dividends ______________ 14,198.67 Offsets ----------------------------7,287.66 Cash on band Dec.31, 1935__ 5,289.04 Other Disbursements _____ 515.72 Total $ 59,070.13 O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s L ia b ilitie s Loans and D is co u n ts ---------- 1 58,470.27 C a p i t a l ----------------------------- $ 20,000.00 8,554.14 Deposits and C l a i m s ______ 81.284.17 Banking House and F. and F. 3,550 00 Stock Assessments _______ Other Real E s t a t e ________ 2,636.96 5,93.7.50 Bonds and Other Securities— Cash on hand and due from 5,289.04 banks ________________ 1.19 All other r e s o u r c e s _______ Deficit in S u r p l u s --------------- 22,118.99 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $103,921.13 Total $103,921.13 166 REPORT OF THE COMMISSIONER OF BANKING MOUNT HOREB BANK Mount Horeb A lb ert J. B a k e r , S p e c ia l D e p u ty C o m m issio n er C o n d ition as o f J a n u a ry 18, 1032 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$123,383.63 Other _______ 101,013.97 C a p i t a l ----------------------------- $ 70,000.00 Surplus and Undivided Profits 17,022.46 Deposits: Total Deposits _____ ____ $128,783.79 Total Loans and Discounts $224,397.60 Borrowings from other Banks 22,131.72 Other Real E s t a t e ________ 7,700.00 Other Liabilities _________ 87,273.87 I n v e s t m e n t s __ ___________ 47,996.31 All other r e s o u r c e s _______ 45,117.93 Total ----------------------------$325,211.84 Total ----------------------------$325,211.84 R e ce ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $ 39,534 76 Legal -------------------------------$ 605.71 Assessments on s t o c k _____ 47,510.45 Administration __________ 5,973.99 Other C o l l e c ti o n s _______;_ 22,998.50 Taxes, Insurance _________ 6,192.19 Other Expenses _________ 14,362.85 Bills P a y a b l e ____________ 27.131.72 Preferred C l a i m s ________ 2,708.94 Cash on hand Dec. 31, 1935__ 53,068.31 Total $110,043.71 Total $110,043.71 CONDENSED STATEM EN T R e so u rc e s Loans and D isco u n ts______ $ Banking House and F. and F. Other Real E s t a t e ________ Bonds and Other Securities_ Cash on hand and due from banks ---------------------------All other r e s o u r c e s _______ Deficit ----------------------------Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis O F C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s 83,668.23 C a p i t a l ----------------------------- $ 70,000.00 41,738.00 Deposits and C l a i m s ______ 210,948.72 42,329.47 27,736.25 53,068.31 551.63 31,856.83 $280.948.72 Total $280,948.72 167 REPORT OF THE COMMISSIONER OF BANKING FARMERS & MERCHANTS BANK Muscoda F. C. M c Q u i l l a n , S p e c ia l D e p u t y C o m m i s s i o n e r C o n d itio n a s o f M arch 19, 1934 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $ 40,000.00 Surplus and Undivided Profits 35,200.00 Deposits: T i m e _______ $218,938.75 Total Loans and Discounts $389,415.83 D e m a n d _____ 98,212.79 Other Real E s t a t e ________ 17,125.86 Total D e p o s i t s _________ $317,151.54 50.50 I n v e s t m e n t s _____________ All other r e s o u r c e s _______ 38,569.04 Borrowing's from other Banks 61,725.65 Undivided Profit Acct. Deficit 8,915.96 Loans and Discounts: On real estate_$117,059.25 Other _______ 272,356.58 T o t a l _________________ $454,077.19 T o t a l _________________ $454,077.19 R e c e ip ts an d D isb u r se m e n ts D a te o f Closing- to D e c e m b e r 31, 1933 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s _____ $ 55,487.86 Legal __________________$ 616.28 3.340.43 Assessments on s t o c k _____ 7,351.12 Administration __________ 1.915.43 Recovery on bond ________ 12.47 Taxes, Insurance ________ 8,357.87 Other C o lle c ti o n s ________ 9,008.22 Other Expenses _________ Tru st Fund held by R. F. C. 4,192.63 Bills P a y a b l e ____________ 41,723.71 363.21 Cash on hand date of closing 20,778.28 Preferred C l a i m s ________ Dividends ______________ 20,317.39 O f f s e t s _________________ 11,040.24 Int. on Bills P a y a b l e ______ 6,181.55 Cash on hand Dec. 31, 1935_ 2,974.47 Total $ 96,830.58 CONDENSED STATEM ENT Total O F C O N D IT IO N R esources 96,830.58 D E C E M B E R 31, 1933 L ia b ilitie s Loans and Discounts _______$296,625.40 C a p i t a l _________________ $ 40,000.00 Banking House and F. and F. 3,294.24 Deposits and C l a i m s ______ 301,266.82 Other Real E s t a t e ________ 22,424.91 Other L i a b i l i t i e s _________ 20,005.32 Cash on hand and due from banks ________________ 2,974.47 All other r e s o u r c e s _______ 35,953.12 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $361,272.14 Total $361,272.14 REPORT OF THE COMMISSIONER OF BANKING 168 MUSCODA STATE BANK Muscoda F. C. M cQuillan , S p e c ia l D e p u ty C o m m issio n e r C o n d ition as o f O ctob er IS), 1932 Liabilities R e so u rc e s Loans and Discounts: On real estate_$ 94,810.00 Other _______ 199,969.04 C a p i t a l _________________ $ 20,000.00 Surplus and Undivided Profits 4,792.79 Deposits: T i m e ________$257,129.84 Total Loans and Discounts $294,779.04 D e m a n d _____ 49,970.35 I n v e s t m e n t s _____________ 79,169.66 All other r e s o u r c e s _______ 12,044.28 Total Deposits ________ $307,ICO.19 Borrowings from other Banks 54 100.00 Total ________________ $385,992.98 Total ________________ $385,992.98 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $138,138.05 Assessments on s t o c k _____ 10,455.09 Other C o l l e c ti o n s ________ 23,342 15 Money Borrowed from R. F. C. 57,946.38 Total $229,881.67 CONDENSED STATEM EN T D is b u r s e m e n ts Legal __________________$ 1,707.67 Administration __________ 5,565.18 Taxes, Insurance ________ 3,430.24 Other Expenses _________ 11,201.31 Bills P a y a b l e ____________ 54,100.00 42,047.85 Preferred C l a i m s ________ 2,910.36 Dividends ______________ 71,938 42 Offsets _________________ 23,681.27 Cash on hand Dec. 31, 1935_ 11,741 48 Int. on Bills P a y a b l e _____ 1,557.94 Total OP C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Loans and D is co u n ts ______ $119,039 83 Banking House and F. and F. 9.293 50 Other Real E s t a t e ________ 30,566.77 Bonds and Other Securities_ 12,683.66 Cash on hand and due from banks ________________ 11,741.48 All other resources _______ 3,234.58 83,745.58 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $229,881.67 $270,305.40 Liabilities C a p i t a l ----------------------------- $ 20,000.00 Surplus and Undivided Profits 17,641.98 Deposits and C l a i m s ______ 216,764.89 Other L ia b i l i t i e s _________ 1 5,898.53 Total $270,305.40 169 REPORT OF THE COMMISSIONER OF BANKING NEENAH STATE BANK Neenah W m , S. C a m p b e l l , S p e c ia l D e p u t y C o m m is s i o n e r C on dition ns o f N o v e m b e r 0, 1033 R e so u rc e s L ia b ilitie s Capital ________________ $ 60,000.00 Surplus and Undivided Profits 18,809.02 Deposits: T i m e ________$202,954.95 D e m a n d _____ 72,607.91 Total Loans and Discounts $121,762.55 I n v e s t m e n t s _____________ 154,120.28 Total Deposits ________ $275,562.86 All other r e s o u r c e s _______ 78,929.51 Other L i a b i l i t i e s _________ 440.46 Loans and Discounts: On real estate__$ 68,930.00 Other _______ 52,832.55 $354,812.34 Total $354,812.34 Total R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to J a n u a r y 2, 1030 C o lle c tio n s Cash on H a n d _________ ^_$ 48,636.09 Liquidation of A s s e t s ______ 117,831.62 Assessments on s t o c k _____ 45,555.32 Other C o l l e c ti o n s _________ 26,240.55 Total ________________ $238,263.58 D is b u r s e m e n ts Legal __________________$ 903.59 Administration __________ 6,084.58 Taxes, Insurance ________ 1,706.74 Other Expenses _________ 2,048.85 Int. Refund— Col. T w i c e ___ 82.49 Bills Payable-— Refund Draft 15.40 Preferred C l a i m s ________ 33,666.85 Dividends ______________ 177,749.71 3.418.22 Offsets _________________ Cash on hand Dec. 31, 1935__ 12,587.15 Total ______________ _$238,263.58 C O N D E N S E D S T A T E M E N T OP C O N D IT IO N J A N U A R Y 2, 1930 R e so u rc e s Loans and D is co u n ts ___ __ $ 60,619.04 Bonds and Other Securities_ 108,476.88 Cash on hand and due from banks ________________ 12,587.15 73.35 All other r e s o u r c e s _______ Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .$181,756.42 L ia b ilitie s C a p i t a l _________________ $ 60,000.00 Surplus and Undivided Profits 60,348.33 Deposits and C l a i m s ______ 60,967 63 Other L ia b i l i t i e s __ u ______ 440.4 6 Total $181,756.42 170 REPORT OF THE COMMISSIONER OF BANKING STATE BANK OF NELSONVILLE, Delinquent Nelsonville I. T. K n u t s o n , S p e c ia l D e p u t y C o m m is s i o n e r C on dition as o f N o v e m b e r 2, 1031 R e so u rc e s L ia b ilitie s C a p i t a l _________________ $ 10,000.00 Surplus and Undivided Profits 7,158.04 Deposits: Time ________$ 75,019.80 Total Loans and Discounts $ 85,978.25 D e m a n d _____ 32,593.90 Other Real E s t a t e ________ 17,174.74 I n v e s t m e n t s _____________ 45,029.10 Total Deposits ________ $107,613.70 All other r e s o u r c e s _______ 11,154.65 Borrowings from other Banks 34,565.00 Loans and Discounts: On real estate_$ 26,733.00 Other ------------ 59,245.25 ----------------------------$159,336.74 Total Total ________________ $159,336.74 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $ 78,410.88 Legal __________________$ 826.25 Assessments on s t o c k _____ 8,267.20 A d m i n i s t r a t i o n __ .________ 5,023.04 Other C o l l e c ti o n s ________ 15,474.03 Taxes, Insurance __________ 1,881.28 Other Expenses ___________ 2,346.37 Bills P a y a b l e ____________ 34,565.00 1,301.75 Preferred C l a i m s __________ Dividends ------------------------- 40,316 10 Offsets __________________ 6,828.90 9,063.42 Cash on hand Dec.31, 1935__ Total $102,152.11 CONDENSED STATEM EN T R e so u rc e s Loans and D is co u n ts ______ $ Banking House and F. and F. Other Real E s t a t e ________ Bonds and Other Securities-.Cash on hand and due from b a n k s ________________ All other r e s o u r c e s _______ Profit and Loss A c c t . _____ Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Total $102,152.11 OF C O N D IT IO N D E C E M B E R 31, 1935 23,279.54 4,504.57 14,106.16 11,990.00 L ia b ilitie s C a p i t a l ----------------------------- $ 10,000.00 Surplus and Undivided Profits 3,500.1 0 Deposits and C l a i m s ______ 60,715.65 Other L i a b i l i t i e s _________ 8,317.20 9,063.42 555.50 19,033.66 $ 82,532.85 Total $ 82,532.85 171 REPORT OF THE COMMISSIONER OF BANKING NEVA FARMERS BANK P. 0. Box 205, Antigo D e a n H. M a y e r , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as of O ctob er 22, 1931 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $ 25,000.00 Surplus and Undivided Profits 28,784.43 Deposits: T i m e _______ $144,401.98 D e m a n d _____ 34,428.63 Total Loans and Discounts $ 74,002.78 I n v e s t m e n t s _____________ 163,370.10 Total Deposits --------------- $178,829.61 All other r e s o u r c e s ------------ 18,789.14 Borrowing's from other Banks 23,500.00 47.98 Other L i a b i l i t i e s _________ Loans and Discounts: On real estate_$ 19,021.50 Other _______ 54,981.28 T o t a l _________________ $256,162.02 T o t a l _________________ $256,162.02 R e c e ip ts and D isb u r se m e n ts H a te o f C lo sin g to D e c e m b e r 31, 1935 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s ----------$123,936.26 9,900.00 Assessments on s t o c k --------Other C o lle c ti o n s ________ 26,224.85 Reserves _______________ 1,115.85 Total ________________ $161,176.96 CONDENSED STATEM ENT R e so u rc e s Total 153.38 6,592 53 579.16 16,069.18 23,500.00 254.11 77,081.49 1,322.40 10,338.70 25,286.01 ________________ $161,176.96 OF C O N D IT IO N D E C E M B E R 31, 1935 Loans and D isco un ts---------- $ 21,836.66 Banking House and F. and F. 344 7 5 Other Real E s t a t e ------------14,550.51 Bonds and Other Securities— 117,281.25 Cash on hand and due from banks ---------------------10,338.70 Liquidation E x p e n s e s --------9,289.75 $173,641.62 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Legal __________________$ Administration __________ Taxes, Insurance _________ Other Expenses ____ Bills P a y a b l e ______ :_____ Preferred C l a i m s _________ Dividends ______________ Offsets _________________ Cash on hand Dec. 31,1935__ Adjustments and Reserves__ L ia b ilitie s C a p i t a l _________________ $ 25,000.00 Surplus and Undivided Profits 1,833.68 Deposits and C l a i m s ______ 115,703.15 Other L ia b i l i t i e s _________ 1,164.43 Stock Assessments P a i d ___ 9,900.00 Income During Liquidation_ 20,040.36 Total $173,641.6 172 REPORT OF THE COMMISSIONER OF BANKING FARMERS AND MINERS BANK New Diggings Jas . F. Cass , S p e c ia l D e p u t y C o m m is s i o n e r C ondition ns o f O ctob er 24, 1932 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 3,845.00 Other _______ 17,008.97 Total Loans and Discounts $ Other Real E s t a t e ________ I n v e s t m e n t s _____________ All other r e s o u r c e s _______ Total 20,853.97 2,391.35 52 797.25 8,430.70 ----------------------------$ 84,473.27 Capital ----------------------------$ 10,000.00 Deposits: T i m e ------------- $ 60,631.03 D e m a n d _____ 13,842.24 Total Deposits ________ _$ 74,473.27 Total ----------------------------$ 84,473.27 R e c e ip ts an d D isb u r se m e n ts D a te o f Closing- to D e c e m b e r 31, 1933 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $ 47,926.91 Leg-al ------ ----------------------- $ Assessments on s t o c k _____ 6,518.15 Administration _______ ____ Other C o lle c tio n s ________ 1,870.00 Taxes, Insurance ________ Cash on hand Oct. 24, 1933__ 1,238.25 Other Expenses _________ A d j . --------------------------------Preferred C l a i m s ________ Dividends ______________ Offsets _________________ Cash on hand Dec. 31, 1935_ Loss Account ____________ Total $ 57,553.31 Total $ CONDENSED STATEM ENT 40.00 1,503.35 267.97 564.90 13.56 44.39 28,433.12 3,068.67 5,343.82 18,273.53 57,553.31 O F C O N D IT IO N D E C E M B E R 31, 1933 R e so u rc e s L ia b ilitie s Loans and D isco un ts______ $ 12,133.32 C a p i t a l ----------------------------- $ 10,000.00 Banking- House and F. and F. 5,166.92 Deposits and C l a i m s ______ 43,190.98 Other Real E s t a t e ________ 2,391.35 Other L ia b i l i t i e s _________ 6,518.15 Bonds and Other Securities_ 14,074.85 Cash on hand and due from banks ---------------------------5,343 82 All other r e s o u r c e s _______ 267.83 Profit and Loss ___________ 20,331.04 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 59,709.13 Total 59,709.13 173 REPORT OF THE COMMISSIONER OF BANKING FARMERS & MERCHANTS BANK New Lisbon W. G. H osig, S p e c ia l D e p u t y C o m m is s i o n e r C on dition ns o f O ctob er 31, 1933 R e so u rc e s L ia b ilitie s Capital ----------------------------$ 15,COO.00 Surplus and Undivided Profits 2,824.55 Deposits: T i m e _____ ,__$164,034.11 D e m a n d _____ 5,078.48 Total Loans and Discounts $ 85,004.57 Other Real E s t a t e ________ 6,614.31 Total Deposits ________ $169,112.59 I n v e s t m e n t s _____ __,--------124,415.16 All other r e s o u r c e s _______ 16,592.11 Borrowing's from other Banks 45,689.01 Loans and Discounts: On real estate_$ 41,568.75 Other _______ 43,435.82 Total ________________ $232,626.15 R e c e ip ts und D isb u r se m e n ts Du C o lle c tio n s Total ________________ $232,626.15 o f C lo sin g to D e c e m b e r 31, 1935 D is b u r s e m e n ts Liquidation of A s s e t s --------$ 41,345.40 Assessments on s t o c k -------7,303.44 Recovery on b o n d ________ 43,141.69 11,175.61 Other C o l l e c t i o n s ________ Legal ------------------------------ $ 951.03 Administration __________ 6,431.88 Taxes, I n s u r a n c e _________ 2,239.59 Other Expenses _________ 2,327.31 Bills P a y a b l e ______ _____ 45,689.01 Preferred C l a i m s ________ 13,647.36 Dividends ______________ 23,213.67 Offsets _________________ 7,203.17 Acct. “ Other Real Est.” -----754.22 508.90 Cash on hand Dec. 31,1935_ T o t a l _________________ $102,966.14 T o t a l _________________ $102,966.14 CONDENSED STATEM ENT R e so u rc e s Loans and D i s c o u n t s --------- ■ Banking House and F. and F. Other Real E s t a t e ------------Bonds and Other Securities — Cash on hand and due from banks ---------------------------Loss on Securities sold____ Interest on C l a i m s ------------Other C l a i m s --------------------Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis O F C O N D IT IO N D E C E M B E R 31, 1985 L ia b ilitie s 29,272.25 C a p i t a l _________________ $ 15,000.00 7,874.95 Surplus and Undivided Profits 2,556.86 17,413.34 Deposits and C l a i m s ---------- 131,920.83 36,890.50 508.90 52,569.95 4,666.68 281.12 $149,477.69 Total $149,477.69 174 REPORT OF THE COMMISSIONER OF BANKING STATE BANK OF NORTH BEND North Bend S. P. I b a c h , S p e c ia l D e p u t y C o m m is s i o n e r C on dition as o f O ctob er 3, 1932 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 35,605.97 Other ------------ 106,414.73 C a p i t a l ----------------------------- $ 20,000.00 Surplus and Undivided Profits 15,636.44 Deposits: T i m e ------------- $164,999.33 Total Loans and Discounts $142,020.70 D e m a n d _____ 29,508.96 Other Real E s t a t e ________ 4,000.00 I n v e s t m e n t s ------------------------ 93,172.20 Total Deposits ________ $194,508.29 All other r e s o u r c e s ________ 13,975.22 Borrowings from other Banks 23,000.00 Other L i a b i l i t i e s _________ 23.39 Total ----------------------------$253,168.12 Total ----------------------------$253,168.12 R e c e ip ts and D isb u r se m e n ts D a te o f Closing- to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $126,628.07 Assessments on s t o c k _____ 15,571.22 10,390.45 Other C o l l e c t i o n s ________ Cash Oct. 3, 1932 _________ 4,448.97 Total $157,038.71 CONDENSED STATEM EN T R e so u rc e s Loans and D i s c o u n t s _____ $ Banking House and F. and F. Other Real E s t a t e ________ Bonds and Other Securities_ Cash on hand and due from banks ________________ All other r e s o u r c e s _______ Dividends P a i d __________ Surplus and Undivided Profit Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis D is b u r s e m e n ts Legal -------------------------------$ Administration __________ Taxes, I n s u r a n c e _________ Other Expenses _________ Bills P a y a b l e ____________ Losses _________________ Dividends ______________ Offsets _________________ Cash on hand Dec. 31, 1935_ Total . 1,028.43 4,527.99 646.74 973.49 22,999.80 35,403.14 57,107.96 3,186.89 31,164.27 $157,038.71 O F C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s 79,774.93 C a p i t a l _____________ 9,285.00 Deposits and C l a i m s ___ 4,000.00 Other Liabilities _____ 29,011.70 20 , 000.00 191,442.66 15,594.81 31.164.27 9.33 57,107.96 16.684.28 $227,037.47 Total $227,037.47 175 REPORT OF THE COMMISSIONER OF BANKING STATE BANK OF OCONTO FALLS Oconto Falls A. J. F riedrich, Special D eputy Commissioner C on dition ns o f A u g u s t 4, 1031 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $ 50,000.00 Surplus and Undivided Profits 26,114.44 Deposits: T i m e ________$244,165.74 D e m a n d _____ 63,803.70 Total Loans and Discounts $364,808.81 Other Real E s t a t e ________ 24,053.38 Total Deposits ________ $307,969.44 I n v e s t m e n t s _____________ 37,807.25 All other r e s o u r c e s _______ 33,225.71 Borrowings from other Banks 75,811.27 Loans and Discounts: On real estate_$143,493.92 Other _______ 221,314.89 ________________ $459,895.15 Total Total ________________ $459,895.15 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1933 C o lle c tio n s Liquidation of A s s e t s _____$215,173.68 Assessments on s t o c k _____ 32,229.45 Recovery on b o n d ________ 37,807.25 Other C o l l e c ti o n s ________ 60,708.78 Cash Augu st 4, 1 9 3 1 ______ 9,577.96 $355,497.12 Total CO NDENSED STATEM ENT D is b u r s e m e n ts Legal __________________$ Administration __________ Taxes, I n s u r a n c e ________ Other Expenses _________ Bills Payable ___________ Preferred C l a i m s --------------Dividends ______________ Offsets ----------------------------Cash on hand Dec. 31, 1935__ Judgments, Losses and Other Real E s t a t e ___________ 3,597.20 9,376.14 21,305.85 6,475.38 75,811.27 24,728.80 99,645.54 28,740.45 9,388.80 76,427.69 $355,497.12 Total OF C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s Loans and D i s c o u n t s -- $118,621.32 Banking House and P. and F. 14,755.11 Other Real E s t a t e ____ 84,173.45 Cash on hand and due from banks ____________ 9,388.80 All other resources (Judg ments) ---2,912.00 Losses, Charged O f f ___ 49,717.53 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $279,568.21 C a p i t a l _________________ $ 50,000.00 Surplus and Undivided Profits 11,771.55 Deposits and C l a i m s ______ 185,555.36 Other L ia b i l i t i e s ---------------11.85 Double Liability, Collections 32,229.45 Total $279,568.21 REPORT OF THE COMMISSIONER OF BANKING 176 PEOPLES BANK OF OMRO Omro James B. M ulva , Special D eputy Com m issioner C o n d ition ns o f J a n u a r y 25, 1933 L ia b ilitie s R e so u rc e s Capital ----------------------------$ 30,000.00 Surplus and Undivided Profits 15,754.74 Deposits: T i m e ________$ 96,751.16 D e m a n d --------- 45,084.71 Loans and Discounts: On real estate_$ 11,450.00 Other _______ 83,768.14 Total Loans andDiscounts $ 95,218.14 I n v e s t m e n t s _____________ 87,315.41 Total Deposits --------------- $141,835.87 All other r e s o u r c e s ------------ 13,531.12 Cash on h a n d ------------------1,550.44 Borrowing's from other Banks 10,000.00 Other Liabilities --------------24.50 Total ________________ $197,615.11 Total ________________ $197,615.11 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D ecem b er 31, 1935 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s -------- $137,216.59 L egal ------------------------------ $ 1,659.28 3,255.20 Assessments on s t o c k -------- 25,802.90 Administration -----------------542.34 8,701.00 Taxes, I n s u r a n c e --------------Other C o l l e c ti o n s --------------Other Expenses ---------------1.415.51 Bills P a y a b l e --------------------- 10,000.00 171.28 Preferred C l a i m s --------------Dividends ------------------------- 129,646.37 Offsets ----------------------------- 12,746.92 Cash on hand Dec. 31, 1935— 8,443.67 Div. No. 1, S t o c k h o l d .-------3,839.92 .$171,720.49 Total CONDENSED STATEM EN T R e so u rc e s T o t a l ____________ ______ $171,720.49 OF C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s Loans and D i s c o u n t s --------- i 1,077.15 C a p i t a l _________________ $ 30,000.00 291.72 4,500.00 Deposits and C l a i m s ----------Banking House and F. and F. 5 123.76 Other L i a b i l i t i e s ---------------- 21,962.98 Bonds and Other Securities — Cash on hand and due from 8,443.67 banks ---------------------------12.81 All other resources -----------Impairment of Capital-------- 33,097.31 ,$ 52,254.70 Total $ 52,254.70 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 177 REPORT OF THE COMMISSIONER OF BANKING THE ONALASKA STATE BANK Onalaska E. G. F isher , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f O ctob er 22, 1932 R e so u rc e s L ia b ilitie s C a p i t a l _________________ $ 20,000.00 Surplus and Undivided Profits 11,024.85 Deposits: T i m e _______ $207,651.05 D e m a n d _____ 44,175.83 Total Loans and Discounts $216,989.39 Other Real E s t a t e ________ 7,100.00 Total Deposits ________ $251,826.88 I n v e s t m e n t s _____________ 92,083.60 All other resources - _____ 9,155.08 Borrowings from other Banks 40,983.40 Other L i a b i l i t i e s _________ 1,492.94 Loans and Discounts: On real e s t a te - -$134,436.66 Other _______ 82,552.73 ________________ $325,328.07 Total Total ________________ $325,328.07 R e c e ip ts and D isb u r se m e n ts D ate; o f C lo sin g to D eceip b er 3 1 , 1935 D isb u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s _____$130,215.95 Legal __________________$ 2,407.23 5,488.24 11,773.11 Administration __________ Assessments on s t o c k ____ 5,193.82 Other Collections ________ 14,849.93 Taxes, Insurance & O. R. E._ Other Expenses _________ 5,612.36 R. F. C. Dep. Liq. L o a n ____________ 6,135.44 Bills Payable ___________ 47,090.74 Preferred C l a i m s _____ -__ 1,774.87 Dividends ____ 60,648.80 Offsets _________________ 9,611.47 Cash on hand Dec. 31,1935— 25,146.90 T o t a l _________________ $162,974.43 CONDENSED STATEM ENT O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Loans and D i s c o u n t s ----------$104,231.26 Banking House and F. and F. 7,683.05 Other Real E s t a t e ------------2,772.54 Bonds and Other Securities— 15,294.60 Cash on hand and due from b a n k s ________________ 25,146.90 All other r e s o u r c e s ------------ 83,766.79 Total 12 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis T o t a l _________________ $162,974.43 .$238,895.14 L ia b ilitie s C a p i t a l ___ - ____________ $ 20,000.00 Surplus and Undivided Profits 9,620.58 Deposits and C l a i m s ----------- 182,651.52 Other L ia b i l i t i e s _________ 26,623.04 Total $238,895.14 178 REPORT OF THE COMMISSIONER OF BANKING PAINE THRIFT BANK Oshkosh E. T. O’B rien , S p ecial D eputy Com m issioner C o n d ition a s o f J a n u a ry 23, 1033 L ia b ilitie s R e so u rc e s Capital ________________ $ 75,000.00 Surplus and Undivided Profits 69,836.56 Deposits: T i m e _______ $634,578.38 D e m a n d _____ 59,409.10 Total Loans and Discounts $135,568.47 I n v e s t m e n t s _____________ 616,766.03 Total Deposits _________ $693,987.48 All other r e s o u r c e s _______ 98,523.34 Borrowing's from other Banks 11,150.00 Other L i a b i l i t i e s _________ 878.80 Loans and Discounts: On real estate_$ 50,139.00 Other _______ 85,424.47 Total ________________ $850,852.84 R e c e ip ts and D isb u r se m e n ts Da Total ________________ $850,852.84 • o f Closing- to D e c e m b e r 31, 1935 D is b u r s e m e n ts C o lle c tio n s Liquidation .of A s s e t s _____$292,856.97 Legal __________________$ Assessments on s t o c k -------- 65,070.41 Administration -----------------Other C o l l e c ti o n s _________ 66,937.54 Taxes, I n s u r a n c e _________ Other Expenses— R F C ____ Bills Payable, Jan. 23, 1933— Preferred C l a i m s _________ Dividends ______________ Offsets _________________ Cash on hand Dec. 31, 1935— T o t a l _________________ $424,864.92 CONDENSED STATEM EN T 1,709.03 9,933.64 1,595.19 2,344.72 3,876.48 11,150.00 99.60 379,902.17 9,525.68 4,728.41 T o t a l _________________ $424,864.92 OP C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s Loans and D i s c o u n t s _____ $ 32,367.58 Banking House and F. and F. 47,368.03 Bonds and Other Securities— 369,591.65 Cash on hand and due from banks ________________ 4,728.41 All other resources ______ 228.30 C a p i t a l _________________ $ 75,000.00 Surplus and Undivided Profits 2,990.64 Deposits and C l a i m s ----------- 311,222.92 Other Liabilities, Stock A s sessments _____________ 65,070.41 T o t a l _________________ $454,283.97 T o t a l _________________ $454,283.97 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis REPORT OF THE COMMISSIONER OF BANKING 179 STATE BANK OF OWEN Owen W. E. J ehn , S p e c ia l D e p u t y C o m m is s i o n e r C ondition as o f O ctob er 13, 1033 R e so u rc e s L ia b ilitie s Loans and Discounts: C a p i t a l _________________ $ 15,000.00 Total Loans and Discounts $159,241.24 Surplus and Undivided Profits 8,187.76 Other Real E s t a t e ________ 14,011.63 Deposits: I n v e s t m e n t s _____________ 75,818.62 T i m e _______ $101,251.13 All other resources ______ 13,009.17 D e m a n d _____ 57,567.48 Total Deposits ________ $158,818.61 Borrowing's from other Banks 80,074.29 Total ----------------------------$262,080.66 Total ________________ $262,080.66 R e c e ip ts an d D isb u r se m e n ts D ate o f C lo sin g to D e c e m b e r 31, 1035 C o lle c tio n s D is b u r s e m e n ts Liquidation of Assets _____$167,293.06 Legal __________________$ Assessments on s t o c k _____ 7,622.95 Administration __________ Other C o lle c tio n s _________ 19,588.46 Taxes, I n s u r a n c e ________ Other Expenses _________ Bills P a y a b l e ____________ Preferred C l a i m s ________ Dividends ______________ Offsets _________________ Cash on hand Dec. 31, 1935_ Loss C. O . ______________ Total $194,504.47 CONDENSED STATEM ENT R e so u rc e s Loans and D i s c o u n t s ____ $ Banking House and F. and F. Other Real E s t a t e ________ Bonds and Other Securities_ Cash on hand and due from banks ________________ All other r e s o u r c e s _______ Loss ___________________ $194,504.47 O F C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s 47,573.88 C a p i t a l ________________ $ 15,000.00 5,081.40 Deposits and C l a i m s ______ 101,872.77 26,847.34 15,315.40 2,575.75 67.33 19,411.67 T o t a l _________________ $116,872.77 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Total 1,168.08 5,655.17 4,292.96 4,926.12 80,074.29 8,414.29 43,462.89 13,398.50 2,575.75 30,536.42 T o t a l _________________ $116,872.77 180 REPORT OF THE COMMISSIONER OF BANKING OXFORD STATE BANK Oxford F. W. M o e c k e r , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f A p ril 12, 1933 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 28,195.00 Other ------------ 15,165.27 Capital ________________ $ 10,000.00 Surplus and Undivided Profits 8,640.00 Deposits: T i m e ________$ 36 259.05 Total Loans and Discounts $ 43,360.27 D e m a n d _____ 45,520.71 Other Real E s t a t e ________ 3,850.00 I n v e s t m e n t s _____________ 34,740.00 Total Deposits ________ $ 81,779.76 All other r e s o u r c e s _______ 19,219.45 Other Liabilities _________ 749.96 Total ------ -------------------- $101,169.72 Total ----------------------------$101,169.72 R e c e ip ts an d D isb u r se m e n ts D a te o f Closing- to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $ Assessments on s t o c k _____ Recovery on bond ________ Other Collections ________ Loan from R. F. C . _______ Total 24,397.80 6,638.86 12,904.67 19,826.72 15,394.42 $ 79,162.47 CO NDENSED STATEM EN T D is b u r s e m e n ts Legal __________________$ 391.10 Administration __________ 2.195.28 Taxes, I n s u r a n c e ________ 523.64 Other Expenses _________ 1,338.33 Bills P a y a b l e ____________ 15,394.42 Preferred C l a i m s ________ 787.70 Dividends ______________ 52,589.55 Offsets _________________ 2.609.28 Cash on hand Dec. 31, 1935_ 3,033.68 Interest Paid ____________ 299.49 Total $ 79,162.47 OF C O N D IT IO N D E C E M B E R R e so u rc e s 31, 1933 L ia b ilitie s Loans and D i s c o u n t s ______ $ 13,075.87 C a p i t a l _________________ $ 10,000.00 Banking House and F. andF. 4,386.00 Surplus and Undivided Profits 15,251.27 Other Real E s t a t e ________ 3 850.00 Deposits and C l a i m s ______ 26,526.31 Bonds and Other Securities_ 8,187.50 Other L ia b i l i t i e s _________ 1.90 Cash on hand and due from 3,033.68 banks --------------------------- Adj. Acct. ( L o s s e s ) _______ 19,246.43 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 51,779.48 Total $ 51,779.48 REPORT OF THE COMMISSIONER OF BANKING 181 PARDEEVILLE STATE BANK Pardeeville F. W. MOECKER, S p e c ia l D e p u t y C o m m i s s i o n e r C o n d ition a s o f O ctob er 11, 193» R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$189,935.25 Other _______ 220,467.65 Capital ________________ $ 30,000.00 Surplus and Undivided Profits 35,105.83 Deposits: T i m e _______ $309,997.14 Total Loans and Discounts $410,402.90 D e m a n d _____ 96,155.72 Other Real E s t a t e ________ 12,700.0« I n v e s t m e n t s _____________ 109,866.48 Total Deposits _________ $406,152.86 All other r e s o u r c e s _______ 22,070.32 Borrowing's from other Banks 76,025.00 Other Liabilities _________ 7,756.01 Total ________________ $555,039.70 Total ________________ $555,039.70 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _ $340,348.10 Assessments on s t o c k __ 16,328.68 Recovery on bond ____ 5,000.00 Other C o l l e c ti o n s _____ 19,048.76 Cash on hand as of date of c l o s i n g _______________ 3,086.51 Legal __________________$ 2,844.46 4,464.02 Administration __________ Taxes, I n s u r a n c e _________ 1,229.38 Other Expenses _________ 4,800.46 Bills P a y a b l e ____________ 76,143.46 Preferred C l a i m s _________ 1,079.11 Dividends ______________ 118,398.36 Offsets _________________ 20 645.07 Cash on hand Dec.31, 1935__ 44,415.85 Adj. and Other R. E . _____ 109,791.88 T o t a l _________________ $383,812.05 T o t a l _________________ $383,812.05 CONDENSED STATEM ENT OE C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s L ia b ilitie s Loans and Discounts ______ $158,277.85 Banking House and F. and F. 4,300.00 Other Real E s t a t e ________ 46,549.69 Bonds and Other Securities_ 30,740.60 Cash on hand and due from banks ________________ 44 415.85 A ll other r e s o u r c e s _______ 10,387.09 Dividends P a i d ____ :_____ 118,398.36 Und. Profits (Deficit) ____ 12,653.51 C a p i t a l _________________$ 30,000.00 Deposits and C l a i m s _____ 277,319.64 Other L ia b i l i t i e s _________ 4.95 Dividends P a i d __________ 118,398.36 T o t a l _________________ $425,722.95 T o t a l _________________ $425,722.95 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 182 REPORT OF THE COMMISSIONER OF BANKING PITTSVILLE STATE BANK Pitt.sville A lvin F a s s , S p e c ia l D e p u t y C o n d itio n R e so u rc e s Loans and Discounts: Total Loans and Discounts $ Other Real E s t a t e ________ I n v e s t m e n t s _____________ All other resources _______ Total C o m m is s i o n e r ns o f O c to b e r 21, 1932 L ia b ilitie s C a p i t a l _________________ $ 15,000.00 67,174.05 Surplus and Undivided Profits 10,062.18 8,485 69 Deposits: 79,101 90 Total Deposits ________ $110,188.31 1,444.53 Borrowings from other Banks 20,955.68 $156,206.17 Total $156,206.17 R e c e ip ts and D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $ 88.143.35 Legal __________________$ 1.021.45 Assessments .on s t o c k ____ 11.058.36 Administration __________ 3,087.41 Other C o l l e c t i o n s ________ 6,171.86 Taxes, I n s u r a n c e _________ 1,262.76 Other Expenses _________ 1,151.71 Bills Payable ___________ 20,955.68 Preferred C l a i m s ________ 5.036.45 Dividends ______________ 41,535.56 Offsets _________________ 5,719.09 Cash on hand Dec. 31, 1935_ 917.96 Loss by Court O r d e r _____ 24,685.50 Total $105,373.57 CONDENSED Loans and D i s c o u n t s _____ $ Banking House and F. and F. Other Real E s t a t e ________ Bonds and Other Securities_ Cash on hand and due from banks ________________ All other resources _______ Dividends P a i d __________ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $105,373.57 S T A T E M E N T OF C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Total Total 25,034.36 4,407.35 10,485.69 31,579.90 917.96 32,128.78 41,535.56 $146,089.60 L ia b ilitie s C a p i t a l _________________ $ Surplus and Undivided Profits Deposits and Claims _____ Other Liabilities _________ Dividends P a i d __________ Total 15,000.00 9,291.46 63,032.36 17,230.22 41,535.56 $146,089.60 183 REPORT OF THE COMMISSIONER OF BANKING PLAIN STATE BANK Plain J. M. M ei e r , S p e c ia l D e p u t y C o m u i is s i o n e r C ondition ns o f D e c e m b e r 30, 1032 R e so u rc e s L ia b ilitie s C a p i t a l _________________ $ 20,000.00 Surplus and Undivided Profits 4,820.70 Deposits: T i m e _______ $123,941.38 Total Loans and Discounts $136,739.37 D e m a n d _____ 31,421.83 Other Real E s t a t e ________ 20,851.02 I n v e s t m e n t s _____________ 7,980.00 Total Deposits ________ $155,363.21 1,800.10 All other r e s o u r c e s _______ 16,413.52 Borrowings from other Banks .Loans and Discounts: On real estate_$ 37,034.34 Other _______ 99,705.03 Total ________________ $181,983.91 Total ________________ $181,983.91 R e ce ip ts and D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation .of A s s e t s --------- $ 80,545.80 Equipment _____________ $ 73.50 Other C o l l e c t i o n s ________ 5,454.64 Legal ------------------------------2,717.01 4,456.57 Administration __________ Taxes, Insurance, e t c . ____ 1,947.01 Other Expenses _________ 1,171.76 Bills Payable ___________ 1,834.01 Preferred C l a i m s _________ 371.42 Dividends (30%) _________ 39,116.84 Offsets _________________ 7 472.58 Cash on hand Dec. 31,1935_ 10,224.52 Loss in Conversion of Assets 16,615.22 86,000.44 Total Total 86,000.44 C O N D E N S E D S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Loans and D i s c o u n t s _____ $ Ba nking House and F. and F. Other Real E s t a t e ________ Bonds and Other Securities_ Cash on hand and due from banks ________________ All other r e s o u r c e s _______ 64,335.78 5,940.31 18,386.02 5,402.65 10,224.52 22,164.51 T o t a l _________________ $126,453.79 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L ia b ilitie s C a p i t a l _________________ $ 20,000.00 Surplus and Undivided Profits 15,092.29 Deposits and C l a i m s ______ 91,233.12 128.38 Preferred Claims ________ T o t a l ----------------------------- $126,453.79 184 REPORT OF THE COMMISSIONER OF BANKING FARMERS & TRADERS BANK Porterfield F. A. M arks , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition a s o f O ctob er 11, 1934 L ia b ilitie s R e so u rc e s Loans and Discounts: On real estate_$ 891.03 Other _ 18,186.52 Capital _ $ 10,000.00 Surplus and Undivided Profits 5,000.00 Deposits: Time $ 20,847.84 Total Loans and Discounts $ 19,077.55 Demand 10,815.17 Other Real Estate 8,260.50 Investments 9,727.81 Total Deposits $ 31,663.01 All other resources 9,606.97 Other Liabilities 9.82 Total $ 46,672.83 Total $ 46,672.83 R e c e ip ts an d D isb u r se m e n ts D a te o f Closing- to J a n u a ry 1, 1939 C o lle c tio n s D is b u r s e m e n ts Liquidation of Assets $ 29,117.84 Legal $ 3,070.01 Assessments on stock 3,348.40 Administration 23.00 Recovery on bond 515.00 Dividends 30,284.48 9 7 Q 1 71 Other Collections 389.04 O f f s P t ^ Cash on hand Oct. 11, 1934^_ 3,049.07 Cash on hand Dec. 31, 1935__ ’250.15 Total _ $ 36,419.35 Total $ 36,419.35 C O N D E N S E D S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Loans and Discounts $ 2,482.81 Cash on hand and due from banks 250.15 All other resources 44,486.74 Total _ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 47,219.70 L ia b ilitie s Capital $ Surplus and Undivided Profits Deposits and Claims Assessments Paid Total 10,000.00 5,000.00 28,871.30 3,348.40 $ 47,219.70 185 REPORT OF THE COMMISSIONER OF BANKING BANK OF PRENTICE Prentice J. R. Hayes, D i s t r i c t S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f F e b r u a r y 18, 1927 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $ 10,000.00 Surplus and Undivided Profits 1,650.00 Deposits: T i m e ________$153,226.53 D e m a n d ,____ 59,342.68 Total Loans and Discounts $182,844.14 Other Real E s t a t e ________ 14,233.88 Total Deposits ________ $212,569.21 I n v e s t m e n t s _____________ 17,028.91 All other r e s o u r c e s _______ 20,809.19 Borrowing's from other Banks 20,000.00 Und. Profits (Deficit) _____ 9,303.09 Loans and Discounts: On real estate_$ 60,425.45 Other _______ 122,418.69 Total ________________ $244,219.21 Total ________________ $244,219.21 R e c e ip ts and D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s --------$ 92,217.81 Assessments on s t o c k ____ 6,118.73 Charges to Comp. Loss and O .R . E . _________________ 16,988.01 Other Collections _________ 17,742.25 Cash date of c l o s i n g ______ 11,178.91 T o t a l _________________ $144,245.71 D is b u r s e m e n ts Legal __________________$ Administration -----------------Taxes, Insurance _________ Other Expenses _________ Bills Payable ___________ Compromise L o s s _________ Dividends ______________ Offsets _________________ Cash .on hand Dec. 31, 1935— 9,724.85 18,972.91 8,521.32 789.50 20,000.00 19,287.30 50,156.77 12,264.89 4,528.17 T o t a l _________________ $144,245.71 C O N D E N S E D S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s R e so u rc e s Loans and D i s c o u n t s _____ $ 90,584.42 C a p i t a l ________________ _$ 10,000.00 1,650.00 Banking House and F. and F. 1,557.00 Surplus and Undivided Profits Deposits and C l a i m s ______ 150,147.55 Other Real E s t a t e _ 22,013.52 Bonds and Other Securities— 122.11 Cash on hand and due from banks ________________ 4,528.17 All other r e s o u r c e s _______ 42 992.33 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $161,797.55 Total $161,797.55 REPORT OF THE COMMISSIONER OF BANKING 186 LIBERTY STATE BANK Pulaski A. J. F r ie d r ic h , S p e c ia l D e p u t y C o m m i s s i o n e r C o n d ition a s o f N o v em b e r 5, 1931 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$107,603.99 Other _______ 157,977.45 Capital ________________ $ 25,000.00 Surplus and Undivided Profits 16,264.22 Deposits: T i m e ________$266,627.91 Total Loans and Discounts $265,581.44 D e m a n d _____ 31,926.84 Other Real E s t a t e ________ 13,700.00 I n v e s t m e n t s _____________ 98,238.07 Total D e p o s i t s _________$298,554.75 All other r e s o u r c e s _______ 43,018.53 Borrowings from other Banks 53,526.84 Other Liabilities ________ 27,192.23 Total ________________ $420,538.04 Total ________________ $420,538.04 R e c e ip ts an d D isb u r se m e n ts D a te o f Closing- to D e c e m b e r 81, 1985 C o lle c tio n s D is b u r s e m e n ts Liquidation of Assets ____ $190 660.10 Losses _________________ : 35,379.39 14,407.61 Legal __________________ Assessments on s t o c k ____ 2,100.50 Recovery on b o n d ________ 43,882.70 Administration __________ 6,753.72 Other C o l l e c ti o n s _________ 21,768.80 Taxes, I n s u r a n c e ________ 1,050.08 Cash Nov. 5, 1 9 3 1 __________ 4,075.64 Other Expenses _________ 5,966.59 Bills P a y a b l e _:__________ 63,526.84 Preferred C l a i m s ________ 1,530.92 Dividends ______________ 148,122.52 Offsets _________________ 8,323.12 Cash on hand Dec. 31, 1935 and F. F. B d s . _________ 11,267.57 Farm A c c o u n t s _________ 393.29 Interest Paid ____________ 204.85 Cash I t e m s _____________ 175.46 Total $274,794.85 Total $274,794.85 CONDENSED S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31. 1935 R e so u rc e s Loans and D i s c o u n t s _____ $ Banking House and F. and F. Other Real Estate _______ Bonds and Other Securities_ Cash on hand and due from b a n k s ---------------------------All other resources ______ Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 93,761.33 4,019.55 14,868.32 29,745.25 10,767.57 48,365.78 $201,527.80 L ia b ilitie s C a p i t a l _________________ $ 25,000.00 Surplus and Undivided Profits 13,762.01 Deposits and C l a i m s _______ 148,311.08 Other L i a b i l i t i e s _________ 12.10 Double L i a b i l i t y _________ 14,442.61 Total $201,527.80 REPORT OF THE COMMISSIONER OF BANKING 187 THE READSTOWN BANK Readstown E. J. T rainer , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns of O c t o b e r 1 0 , 1 9 3 2 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 31,646.12 Other _______ 66,272.53 C a p i t a l _________________ $ 15,000.00 Surplus and Undivided Profits 1,205.26 Deposits: T i m e ________$ 83,793.57 Total Loans and Discounts $ 97,918.65 D e m a n d _____ 29,158.58 Other Real E s t a t e ________ 16,195.89 Total Deposits _________ $112,952.15 I n v e s t m e n t s _____________ 12,136.79 All other r e s o u r c e s ______ 18,202.72 Borrowing's from other Banks 10,000.00 Other Liabilities ________ 5,296.64 Total ----------------------------$144,454.05 Total ________________ $144,454.05 R e c e ip ts and D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $ 34,106.47 Govt, check t a x _________ $ 42.42 Assessments on s t o c k ____ 7,923.89 Legal __________________ 1,737.58 Other C o l l e c ti o n s --------------6,702.24 Administration __________ 3,370.96 Cash at closing _________ 2,392.75 Taxes, Insurance _________ 1,259.77 Drafts out at c l o s i n g _____ 1,288.28 Other Expenses _________ 2,180.06 Bills P a y a b l e ____________ 10,208.74 Preferred C l a i m s _________ 1,463.95 Dividends P a i d ______ 27,330.25 Off-sets _________________ 4,413.80 Cash on hand Dec. 31, 1935— 310.37 95.73 Cash I t e m s _____________ Total $ 52,413.63 CONDENSED Total $ 52,413.63 S T A T E M E N T OF C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Loans and D i s c o u n t s _____ Banking House and P. and F. Other Real E s t a t e _______ _ Bonds and Other Securities_ Cash on hand and due from banks ____________ ,___ All other resources _______ Dividends P a i d __________ Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 45,522.48 7,135.00 21,985.89 5,346.79 L ia b ilitie s C a p i t a l _________________ $ 15,000.00 Surplus and Undivided Profits 1.000.00 Deposits and C l a i m s ______ 110,039.21 Other L i a b i l i t i e s _________ 12,455.74 310.37 30,864.17 27,330.25 $138,494.95 Total $138,494.95 188 REPORT OF THE COMMISSIONER OF BANKING REWEY STATE BANK Rewey J. R. V i l l e m o n t e , S p e c ia l D e p u t y C o m m i s s i o n e r C o n d ition as of A u g u s t 17, 1032 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 2,053.27 Other ------------ 104,555.54 C a p i t a l _________________ $ 15,000.00 Surplus and Undivided Profits 3,999.39 Deposits: T i m e ------------- $ 56,681.26 Total Loans and Discounts $106,608.81 D e m a n d ___ __ 33,948.02 Investments _____________ 15,751.50 All other r e s o u r c e s _______ 11,268.36 Total Deposits ________ $ 90,629 28 Borrowing's from other Banks 24,000.00 Total ----------------------------$133,628.67 Total ----------------------------$133,628.67 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo s in g to J a n u a r y 1, 103« Collections Liquidation of A s s e t s _____ $ 47,860.68 Assessments on s t o c k _____ 10,314.46 Recovery on b o n d ________ 4,136.92 Other C o l l e c ti o n s _________ 8,817.63 R. P. C. L o a n --------------------- 12,387.70 Total .$ 83,517.39 D is b u r s e m e n ts 300.00 Legal ------------------------------ $ Administration __________ 3,228.47 374.83 Taxes, Insurance _________ Other Expenses _________ 1,137.49 Bills P a y a b l e ____________ 37,029.85 Preferred C l a i m s _________ 10.00 Dividends ____ 17,245.06 Offsets ----------------------------4,938.61 Cash on hand Jan. 1, 1936__ 10,034.41 Loss— C o m p ro m ise ________ 9,218.67 Total $ 83,517.39 C O N D E N S E D S T A T E M E N T O F C O N D IT IO N J A N U A R Y " 1, 193« Resources Liabilities Loans and D is co u n ts ______ $ 62,358.11 C a p i t a l ----------------------------- $ 15,000.00 Banking House and P. andP. 8,019.20 Surplus and Undivided Profits 1,076.46 Bonds and Other Securities_ 3,978.73 Deposits and C l a i m s ____ 1_ 69,295.39 Gash on hand and due from banks ---------------------------- 10,034.41 I All other r e s o u r c e s _____ _ 981.40 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 85,371.85 Total $ 85,371.85 REPORT OF THE COMMISSIONER OF BANKING 189 BARRON COUNTY BANK Rice Lake J o h n R. H a y e s , D i s t r i c t S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f D e c e m b e r 7, 192C R e so u rc e s L ia b ilitie s C a p i t a l _________________ $ 25,000.00 Loans and Discounts: Total Loans and Discounts $245,452.73 Surplus and Undivided Profits 4,500.00 Other Real E s t a t e ________ 35,558.91 Deposits: T i m e _______ $156,349.84 I n v e s t m e n t s _____________ 21,394.81 All other resources ______ 5,212.54 D e m a n d _____ 82,287.40 Total Deposits ________ $238,637.24 Borrowings from other Banks 39,481.75 Total ________________ $307,618.99 Total ----------------------------$307,618.99 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1035 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $183,045.55 Legal ------------------------------ : Assessments on s t o c k _____ 9,193.53 Administration __________ Other C o lle c ti o n s _________ 21,064.21 Taxes, Insurance _________ Other Expenses __________ Bills P a y a b l e ____________ Preferred C l a i m s ________ Dividends ______________ Offsets ____________ i____ Cash on hand Dec. 31, 1935_ Total $213,303.29 CO NDENSED ST A T E M E N T Total 1,796.14 12,900 23 5,862.43 955.34 39,481.75 2,646.62 126,392.83 22,778.84 489.11 $213,303.29 O F C O N D IT IO N D E C E M B E R 31, 1033 L iabilities R e so u rc e s Loans and D isco u n ts______ I 66,503.80 C a p i t a l _________________ $ 25,000.00 Banking House and F. and F. 1,456.75 Deposits and C l a i m s ______ 88,350.2 J Other Real E s t a t e ________ 11,203.78 Bonds and Other Securities-151.12 Cash on hand and due from 489.11 banks ________________ 1,390.53 All other resources _______ U. P. D e f i c i t _____________ 32,155.18 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $113,350.27 Total $113,350.27 190 REPORT OF THE COMMISSIONER OF BANKING CITIZENS STATE BANK Rice Lake J o h n R. H a y e s , D i s t r i c t S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition a s o f J a n u a ry 7 , 1930 R e so u rc e s L ia b ilitie s Loans and Discounts: C a p i t a l ----------------------------- $ 35,000.00 Total Loans and Discounts $321,720.15 Surplus and Undivided Profits 6,628.19 Other Real E s t a t e ________ 22,957.81 Deposits: I n v e s t m e n t s _____________ 9,293.66 T i m e ________$172,459.22 All other r e s o u r c e s _______ 23,336.79 D e m a n d _____ 123,220.45 Total Deposits ________ $295,680.22 Borrowing’s from other Banks 40,000.00 Total ----------------------------$377,308.41 Total ----------------------------$377,308.41 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $259,245.33 Legal ------------------------------ $ 1,276.13 Assessments on s t o c k _____ 18,469.62 Administration __________ 10,212.41 Other C o l l e c t i o n s ________ 22,723.86 Taxes, Insurance ________ 4,544.87 Other Expenses _________ 4,731.51 Bills P a y a b l e ____________ 40,000.00 Preferred C l a i m s ________ 5,758.25 Dividends ______________ 124,563.45 Offsets _________________ 54.259.39 Cash on hand Dec. 31, 1935_ 625.73 Compromise L o s s ________ 39,777.67 Loans Charged O f f ________ 14.689.40 Total $300,438.81 Total $300,438.81 C O N D E N S E D S T A T E M E N T OF C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s L ia b ilitie s Loans and D isco u n ts______ $85,959 93 C a p i t a l _________________ $ 35,000.00 Banking House and F. andF. 3,364.85 Deposits and C l a i m s ______ 114,078.43 Other Real Estate ________ 19,633.56 Bonds and Other Securities_ 9,062.44 Cash on hand and due from b a n k s ---------------------------625.73 All other r e s o u r c e s _______ 30,431.92 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $149,078.43 Total $149,078.43 191 REPORT OF THE COMMISSIONER OF BANKING RIDGEWAY STATE BANK Ridgeway John H uggins, Sp ecial D eputy Com m issioner C o n d ition as o f J a n u a ry 31, 1933 L ia b ilitie s R e so u rc e s Capital ________________ $ 10,000.00 Surplus and Undivided Profits 2,401.97 Deposits: T i m e ________$ 26,702.17 D e m a n d _____ 26,346.05 Total Loans and Discounts $ 49,418.14 Other Real E s t a t e ________ 6,241.20 Total Deposits ________ $ 53,048.22 I n v e s t m e n t s _____________ 7,246.33 6,000.00 All other resources _______ 8,931.71 Borrowing's from other Banks Other Liabilities ________ 387.19 Loans and Discounts: On real estate__$ 20,546.82 Other _______ 28,871.32 Total ______________ $ 71,837.38 Total ________________ $ 71,837.38 R e c e ip ts sind D isb u r se m e n ts lisite o f C lo s in g to D e c e m b e r 31, 1935 Collections Liquidation of A s s e t s _____ $ 5,462.12 Assessments on s t o c k _____ 400.00 Recovery on b o n d ________ 2,915.80 Other C o lle c tio n s ________ 10,319 27 Bills Payable (R. F. C.)_— _ 1,308.44 .$ 20,405.63 Total CONDENSED STATEM EN T Resources OF Disbursem ents Legal __________________$ Administration __________ Taxes, Insurance _________ Other Expenses _________ Bills P a y a b l e ____________ Preferred C l a i m s _________ Dividends ______________ Offsets _________________ Cash on hand Dec. 31, 1935_ Interest P a i d ____________ 20,405.63 Total C O N D IT IO N 762.54 2,629.71 694.80 913.37 6,184.13 66.70 5,298.87 1,055.84 2,696.73 102.94 DECEM RER L ia b ilitie s 31, 1935 Loans and D is co u n ts ______ $ 31,425.24 C a p i t a l _________________ $ 10,000.00 Banking House and F. and F. 3,700.00 Deposits and C l a i m s ______ 47,916.14 54.75 Other Real E s t a t e ________ 10,241.20 Other L i a b i l i t i e s _________ Bills P a y a b l e ____________ 1,308.44 Cash on hand and due from Stock A s s e s s m e n ts ________ 400.00 banks ________________ 2,696.73 All other r e s o u r c e s _______ 772.11 Surplus ________________ 10,844.05 $ 59,679.33 $ 59,679.33 Total Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 192 REPORT OF THE COMMISSIONER OF BANKING FARMERS & MERCHANTS STATE BANK River Falls E. B. C a r i s c h , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition us o f F e b r u a r y 2, 1933 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate__$108,549.00 Other ------------ 149,610.59 Capital ----------------------------$ 37,500.00 Surplus and Undivided Profits 12,500.00 Deposits: T i m e ------------- $ 82,028.34 Total Loans and Discounts $258,359.59 Demand _____ 99,669.04 I n v e s t m e n t s ---------------------- 23,493.00 All other r e s o u r c e s _______ 5,781.34 Total Deposits ------------ $181,697.38 Borrowing's from other Banks 8,000.00 Borrowings from R.F. C___ 45,461.56 Other Total --------------------------- $287,633.93 L iabilities Total ___________ 2,474.99 ----------------------------$287,633.93 R e c e ip ts an d D isb u r se m e n ts D a te o f Closing- to J a n u a r y 1, 193« Collections Liquidation of A s s e t s _____ $107,186.60 13,867.23 Assessments on s t o c k _____ Recovery on b o n d ________ 17,862.92 Other C o l l e c t i o n s ________ 12,601.08 Rents Collected _________ 12,819 08 Sundry A d j u s t m e n t s ______ 8,735.04 Cash on hand 2/2/33______ 3,666.15 Total $176,738.10 D is b u r s e m e n ts Legal ------------------------------ $ Administration __________ Taxes, Insurance ________ Other Expenses _________ Bills P a y a b l e ____________ Preferred Claims ________ Dividends ______________ Bonds Purchased ________ Offsets and L o s s _________ Cash on hand Dec. 31, 1935_ Total 1,610.60 9,002.47 8,090.60 18,424.24 54,161.41 19,831.39 31,473.69 10,375.00 18,511.14 5,257.56 $176,738.10 C O N D E N S E D S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31. 1935 R e so u rc e s Loans and D isco un ts______ $151,828.26 Other Real E s t a t e ________ 16,375.81 Bonds and Other Securities_ 15,974.66 Cash on hand and due from banks ---------------------------5,257.56 All other r e s o u r c e s _______ 18,342.68 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $207,778.9 L iabilities Capital ----------------------------- $ 37,500.00 Surplus and Undivided Profits 13,270.63 Deposits and C l a i m s ______ 125,393.94 Other L i a b i l i t i e s _________ 31,614.40 Total $207,778.97 193 REPORT OF THE COMMISSIONER OF BANKING ROCKLAND STATE BANK Rockland E. G. F isher, S p e c ia l D e p u t y C o m m i s s i o n e r C o n d ition a s o f A p ril 21, 1933 L ia b ilitie s R e so u rc e s Capital ________________ $ 10,000.00 Surplus and Undivided Profits 6,874.58 Deposits: T i m e ___-____ $ 73,585.04 Total Loans and Discounts $ 45,511.05 D e m a n d _____ 8,896.56 I n v e s t m e n t s _____________ 43,741.00 All other r e s o u r c e s ------------ 10,125.56 Total Deposits ________ $ 82,481.60 Other Liabilities --------------21.43 Loans and Discounts: Other _______ $ 45,511.05 Total ________________ $ 99,377.61 Total ________________ $ 99,377.61 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1933 Disbursem ents Collections 429.59 Liquidation of A s s e t s _____ $ 67,448.96 Leg'al __________________$ 2,752.47 Assessments on s t o c k ______ 5,774.17 Administration __________ Taxes, Insurance _________ 808.29 3924 Recovery on bond e t c . -----------809.85 Other C o lle c tio n s _________ 8,336.85 Other Expenses _________ Bills P a y a b l e ____________ 4,160.00 R. F. C. Dep. Liq. L o a n ______ 4,160.00 1,439.05 Cash on hand as of closing-— 5,189.86 Preferred C l a i m s _________ Dividends ______________ 50,206.67 Offsets and L o s s e s ________ 23,575.05 Cash on hand Dec. 31, 1935__ 6,768.11 $ 90,949.08 Total $ 90,949.08 Total C O N D E N S E D S T A T E M E N T OP C O N D IT IO N D E C E M B E R 31, 1935 H n u n ili* p p B Liabilities Loans and D isco u n ts---------- $ 2,962.68 C a p i t a l _________________ $ 10,000.00 6,751.30 Banking House and F. and F. 4,351.25 Surplus and Undivided Profits Other Real E s t a t e ________ 13,424.86 Deposits and C l a i m s ______ 27,047.61 14,111.02 Bonds and Other Securities— 6,000.00 Other L ia b i l i t i e s _________ Cash on hand and due from banks ________________ 6,768.11 All other r e s o u r c e s _______ 24,403.03 $ 57,909.93 Total $ 57,909.93 Total 13 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 194 REPORT OF THE COMMISSIONER OF BANKING BANK OF ST. CROIX FALLS St. Croix Falls A rthur J. K ing , S p ecia l D e p u ty C om m ission er C o n d ition a s o f J u n e 9, 1934 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$261,299.23 Other _______ 214,554.42 C a p i t a l _________________ $ 50,000.00 Surplus and Undivided Profits 50,599.91 Deposits: Total Deposits ________ $417,654.11 Total Loans and Discounts $475,853.65 Borrowing's from other Banks 11,790.44 Other Real E s t a t e ________ 20,500.25 I n v e s t m e n t s _____________ 13,155.00 All other r e s o u r c e s _______ 15,291.07 5,244.49 T o t a l _________________ $530,044.46 R e c e ip ts an d D isb u r se m e n ts T o t a l _________________ $530,044.46 o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $173,192.60 Assessments on s t o c k _____ 140.60 Other C o l l e c ti o n s _________ 11,121.41 Cash at 6/11/34__________ 13,022.79 Total ------------------------- __$197,477.40 D is b u r s e m e n ts Legal -------------------------------$ 1,251.65 Administration __________ 3,300.16 2,966.64 Taxes, Insurance ________ Other Expenses _________ 3,904.24 Bills P a y a b l e ____________ 26,412.44 Int. on B. P . ____________ 800.29 Dividends ______________ 106,177.42 Offsets --------------8,143.24 Cash on hand Dec. 31,1935_ 5,107.14 O. R. E. and Adjustm ents___ 39,414.18 Total ----------------------------$197,477.40 C O N D E N S E D S T A T E M E N T OP C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s L ia b ilitie s Loans and Discounts ______ $327,015.37 C a p i t a l ----------------------------- $ 50,000.00 Banking House and F. and F. 9,737.58 Surplus and Undivided Profits 18,056.43 Other Real E s t a t e ________ 25,240.00 Deposits and C l a i m s ______ 303,558.66 Bonds and Other Securities_ 3.015.00 Cash on hand and due from banks ________________ 5,107.14 All other resources _______ 1.500.00 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $371,615.09 Total $371,615.09 REPORT OF THE COMMISSIONER OF BANKING 195 THE STATE BANK Sauk City 0. K. Johnson , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f N o v e m b e r 16, 1934 R esou rces L ia b ilitie s Loans and Discounts: On real estate_$ 64,141.43 Other — _____ 67,510.28 C a p i t a l _____ ____________ $ 20,000.00 Deposits : T i m e ________$ 84,351.29 D e m a n d _____ 97,815.96 Total Loans and Discounts $131,651.71 Other Real E s t a t e ________ 7,000.00 Total D e p o s i t s ----------- ____$182,167.25 Investments ______ 28,066.50 i '.orrowings from other Banks 9,000.00 All other r e s o u r c e s _______ 40,585.76 Other L ia b i l i t i e s __ _______ 13.89 Undivided Profits— L o s s ___ 3,877.17 T o t a l ----------------------------- $211,181.14 T o t a l _________________ $211,181.14 R e ce ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s __ Assessments on s t o c k __ Recovery on bond _____ Other Collections ______ Amt. on hand 11/16/34_ O. R. E. I n c o m e ______ $ 35,621 30 6,055.45 19,216.14 7,451.35 15,911.71 320.41 D is b u r s e m e n ts 538.84 Legal ----------------------- ,___ $ Administration __________ 3,534.88 Taxes, Insurance ___ ______ 421.05 1,439.86 Other Expenses _________ Bills P a y a b l e ____________ 9,000.00 D i v i d e n d s _,____ _____ .__, 49,199.65 O ffsets Q 1 sq 4.K Cash on hand Dec. 31, 1935— O. R. E. E x p e n s e ________ Total ------------------- --------$ 84,576.36 Total ll,’l2L28 137.35 ________________ $ 84,576.36 C O N D E N S E D S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31. 1935 R e so u rc e s Loans and D isco u n ts______ $ Banking House and F. and F. Other Real E s t a t e ________ Bonds and Other Securities_ Cnsh on hand and due from banks ---------------------------All other r e s o u r c e s _______ Undivided Profits— Loss ___ Loss by Adjustments and D. Dividends P a i d ___ .______ Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L ia b ilitie s 73,838.87 12,585.00 20,399.77 8,619.00 C a p ' t a l _____ ___________ $ 20,000.00 Surplus and Undivided Profits 6,092.82 Deposits and C l a i m s ______ 115,098.78 Other L i a b i l i t i e s _________ 183.06 Stock Assessment P a i d ___ 6,055.45 11,121.28 Dividends P a i d __________ 49,199.65 5,421.56 7,486.87 7,957.76 49,199.65 $196,629.76 Total $196,629.76 REPORT OF THE COMMISSIONER OF BANKING 196 SAUKVILLE STATE BANK Saukville Louis K u e h l t h a u , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f N o v em b e r 7, 1932 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $ 10,000.00 Surplus and Undivided Profits 8,936.56 Deposits: T i m e ________$ 91,602.09 D e m a n d _____ 30,687.88 Total Loans and Discounts $ 92,369.22 I n v e s t m e n t s _____________ 71,803.87 Total Deposits _________ $122,289.97 All other r e s o u r c e s _______ 4,770.96 Borrowings from other Banks 27,475.00 Other L i a b i l i t i e s _________ 242.52 Loans and Discounts: On real estate_$ 18,344.22 Other _______ 74,025.00 Total ________________ $168,944.05 R e c e ip ts and ________________ $168,944.05 D isb u r se m e n ts D ate o f C lo sin g to D e c e m b e r 31, 193.> C o lle c tio n s Liquidation of A s s e t s _____ $ 75,002.35 Assessments on s t o c k _____ 6,728.80 Recovery on b o n d __^_____ 58.54 Other C o l l e c ti o n s ________ 115.74 R. P. C. L o a n ____________ 19,115.54 Cash on hand 11/7/32_____ 1,238.38 Total Total ________________ $102,259.35 D is b u r s e m e n ts 705.70 Legal ------------------- ------------ $ Administration __________ 3,717.50 Taxes, Insurance ________ 251.51 Other Expenses _________ 2,525.24 Bills P a y a b l e ____________ 46,590.54 Preferred C l a i m s _________ 1,960.86 Dividends ______________ 34,208.99 Offsets _________________ 9,128.41 3,170.60 Cash on hand Dec. 31, 1935_ Total ________________ $102,259.35 C O N D E N S E D S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Loans and D isco u n ts______ $ 40,452.18 Banking House and F. and F. 3,393.12 Bonds and Other Securities_ 45,853.80 Cash on hand and due from b a n k s ________________ 3,170.60 All other r e s o u r c e s _______ 4.16 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .$ 92,873.86 L ia b ilitie s C a p i t a l _________________ $ 10,000.00 Surplus and Undivided Profits (Def.) ________________ 4,074.89 Deposits and C l a i m s ______ 80,219.95 6,728.80 Other L ia b i l i t i e s _________ Total $ 92,873.86 REPORT OF THE COMMISSIONER OF BANKING 197 BANK OF SCANDINAVIA, Delinquent Scandinavia I. T. K nutson , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f F e b r u a r y 20, 1929 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$189,180.00 Other ------------ 194,566.85 C a p i t a l _________________ $ 25,000.00 Surplus and Undivided Profits 13,552.92 Deposits: T i m e ------------- $320,277.55 Total Loans and Discounts $383,746.85 D e m a n d _____ 97,946.23 Other Real E s t a t e ________ 17,256.00 In v e s t m e n t s _____________ 40,271.74 Total Deposits _________ $418,223.78 All other r e s o u r c e s ______ 45,538.11 Borrowing's from other Banks 30,000.00 Other Liabilities _________ 36.00 Total ----------------------------$486,812.70 Total ________________ $486,812.70 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $199,243.69 Legal __________________$ 4,535.53 Assessments on s t o c k _____ 23,770.37 Administration __________ 7,650.56 Other C o l l e c ti o n s ________ 76,320.77 Taxes, Insurance ________ 3,079 05 Other Expenses _________ 4,467.75 Bills P a y a b l e ____________ 30,000.00 Preferred C l a i m s ________ 200.00 Dividends ________ _____ 225,518.51 Offsets _________________ 18,535.42 Cash on hand Dec. 31, 1935_ 5,348.01 Total Total $299,334.83 $299,334.83 C O N D E N S E D S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Loans and D isco un ts_____ _$ 72,763.41 Oth-'r Real E s t a t e ________ 18,196.12 Bonds and Other Securities-4,208 75 Cash on hand and due from banks ---------------------------5,348.01 All other r e s o u r c e s _______ 19,952.55 Loss A c c o u n t --------------------- 118,682.85 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $239,151.69 L ia b ilitie s C a p i t a l ----------------------- — _$ 25,000.00 Surplus and Undivided Profits 9,000.00 Deposits and C l a i m s ______ 181,381.32 Other L i a b i l i t i e s _________ 23,770.37 Total $239,151.69 198 REPORT OF THE COMMISSIONER OF BANKING PEOPLE’S SAYINGS BANK Sheboygan A ndre J. Perry, S p e c ia l D e p u ty C o m m issio n e r C o n d ition as o f M a y 9, 1933 L ia b ilitie s R e so u rc e s Loans and Discounts: On real estate_$208,351.40 Other _______ 15,653.49 Total Loans and Discounts $224,004.89 Other Real E s t a t e ________ 29,733.55 I n v e s t m e n t s _____________ 79,269.87 All other r e s o u r c e s _______ 21,191.29 Total ________________ $354,199.60 Mutual C a p i t a l ____________ ____ Surplus and Undivided Profits$ 36,184.09 Deposits: T i m e ________$318,015.51 Total Deposits Total .$318,015.51 _______ _________ $354,199.60 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $237,152.26 Recovery on b o n d ________ 578.27 Other C o lle c tio n s _________ 24,387.28 Cash 5/9/33 _____________ 14,297.05 Total ________________ $276,414.86 D is b u r s e m e n ts Legal __________________ $ 3,983.46 Administration __________ 4,639.10 Taxes, Insurance ________ 3,624 83 Other Expenses _______ __ 5,593.66 Preferred C l a i m s ________ 27,697.57 Dividends ______________ 178,370.97 Offsets _________________ 11,382.18 Cash on hand Dec. 31, 1935— 12,775.53 Dosses _________________ 28,347.56 Total ________________ $276,414.86 C O N D E N S E D S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1935 Resources L ia b ilitie s Mutual Loans and D is co u n ts ______ $ 40,628.17 C a p i t a l _________________ Banking House and F. and F. 6,639.49 Surplus and Undivided Profits 14,459 70 Other Real E s t a t e _________ 22,400.38 Deposits and C l a i m s ______ 100,567.43 Bonds and Other Securities_ 32,583.56 Cash on hand and due from b a n k s _________________ 12,775.53 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $115,027.13 Total $115,027.13 REPORT OF THE COMMISSIONER OF BANKING 199 STATE BANK OF SHEBOYGAN FALLS Sheboygan Falls A ndre J. Perry, S p e c ia l D e p u ty C o m m issio n e r C on dition ns o f N o v em b e r 10, 1033 R e so u rc e s Loans and Discounts: On real estate_$ 99,383.64 Other _______ 148,346.97 Liabilities Capital ---------- -- -------------- $ 25,000.00 Surplus and Undivided Profits 4,787.84 Deposits: T i m e ________$237,832.76 Total Loans and Discounts $247,730 61 Other Real E s t a t e ________ 2,600 00 Total Deposits _________ $237,832.76 I n v e s t m e n t s _____________ 16,667.00 Borrowing's from other Banks 9,800.00 All other r e s o u r c e s _______ 17,255.19 Other L i a b i l i t i e s _________ 6,832.20 Total ---------------------------- $284,252.80 Total ----------------------------$284,252.80 R e c e ip ts and D isb u r se m e n ts D a te o f Closing- to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $170,392.74 Assessments on s t o c k _____ 3,958.93 Recovery on b o n d ________ 646.39 Other C o lle c ti o n s ________ 16,170.70 R. F. C. L o a n ____________ 73,973.96 961.45 Cash 11/10/33 ------------------- Total ----------------------- ----$266,104.17 CONDENSED D is b u r s e m e n ts Tru st -------------------------- ----$ 697.50 783.80 Legal -----------------------------Administration __________ 4,219.74 Taxes, Insurance ________ 2,775.49 Other Expenses _________ 2,338.28 Bills P a y a b l e --------------------- 85,445.05 Preferred C l a i m s _________ 249.78 Dividends ______________ 122,408.67 Offsets _________________ 920.62 Cash on hand Dec. 31, 1935_ 13,236.92 Losses ----------------------------- 33,028.32 Total ----------------------------$266,104.17 S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Liabilities Loans and D is co u n ts ______ $105,276.52 C a p i t a l ----------------------------- $ 25,000.00 Bonds and Other Securities-5,810.00 Deposits and C l a i m s ______ 132,789.81 Cash on hand and due from Other L i a b i l i t i e s _________ 3,958.93 banks --------------------------- 13,236 92 All other r e s o u r c e s _______ 6,317.55 Profit and L o s s __________ 31,107.75 Total ----------------------------$161,748.74 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Total ----------------------------$161,748.74 REPORT OF THE COMMISSIONER OF BANKING 200 BANK OF SHELL LAKE Shell Lake J ohn R. H ayes , D is t r ic t S p e c ia l D e p u ty C o m m issio n e r C o n d ition as o f J une 11, 1931 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $ 25,000.00 Surplus and Undivided Profits 5.785.54 Postal Saving's D e p . ----------- 46,174.90 Deposits: T i m e ________$ 71,348.01 Total Loans and Discounts $129,145.26 d e m a n d _____ 104,537.41 Other Real E s t a t e ________ 23,697.24 I n v e s t m e n t s _____________ 34,397.14 Total Deposits _________ $175,885.42 All other resources ______ 23,093.39 Bonds to secure P. S . _____ 53,663.42 Borrowings from other Banks 11,000.00 Other Liabilities _________ 150.59 Loans and Discounts: On real estate_$ 44,590.83 Other _______ 84,554.42 Total ---------------------i ___$263,996.45 Total ________________ $263,996.45 R e c e ip ts and D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1935 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s _____ : 60,477.10 Legal ------------------------------ $ Assessments on s t o c k _____ 779.88 Administration __________ Loss on Mtg. and B o n d s ___ 6,391.12 Taxes, Insurance ________ Other C o l l e c ti o n s ________ 12,912.24 Other Expenses _________ Bills P a y a b l e ____________ Preferred C l a i m s ____ ____ Dividends ______________ Compromise L o s s ________ Offsets _________________ Cash on hand Dec. 31, 1935__ Postal Sav. D e p . _________ Total $180,560.34 Total 1,051.13 9,87 4.55 6,033.45 917.1 5 11,038.20 14,110.68 44.683.61 32,238.42 14.454.61 990.50 45,168.04 $180,560.34 C O N D E N S E D S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Loans and D isco u n ts______ $ Other Real E s t a t e ________ Bonds and Other Securities_ Cash on hand and due from b a n k s ________________ All other r e s o u r c e s _______ Div. 2 and 3 _____________ Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L ia b ilitie s 71,973.77 C a p i t a l _________________ $ 25,000.00 13,166.24 Surplus and Undivided Profits 5,000.00 8,652.77 Deposits and C l a i m s ______ 120,029.84 Other L i a b i l i t i e s _________ 44.42 990.50 40,392.30 14,898.68 $150,074.26 Total $150,074.26 REPORT OF THE COMMISSIONER OF BANKING 201 LUMBERMEN’S BANK Shell Lake J ohn R. H ayes , D is t r ic t S p e c ia l D e p u ty C o m m issio n e r C o n d ition a s o f M arch 2, 1927 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $ 25,000.00 Surplus and Undivided Profits 5,845.11 Deposits: T i m e ________$314,474.53 D e m a n d _____ 122,299.96 Total Loans and Discounts $380,222.10 Other Real E s t a t e ________ 50,154.08 Total Deposits --------------- $436,774.49 Investments _____________ 26,854.90 All other r e s o u r c e s _______ 37,838.52 Borrowings from other Banks 27,450.00 Loans and Discounts: On real estate_$153,045.09 Other _______ 227,177.01 Total ________________ $495,069.60 Total ________________ $495,069.60 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s __ Assessments on s t o c k __ Other C o l l e c t i o n s ______ D is b u r s e m e n ts 246.16 .$313,009.44 Legal __________________$ 29,562.05 577.77 Administration __________ 9,469.21 . 95,615.09 Taxes, Insurance ________ 11,795.76 Other Expenses _________ Bills P a y a b l e ____________ 16,620.99 Preferred C l a i m s ________ 48,749.29 Dividends ______________ 157,344.18 Compromise L o s s _________ 45,267.66 Cash on hand Dec. 31, 1935_ 14,055.52 Claims A s s i g n e d _________ 76,091.48 .$409,202.30 Total Total ________________ $409,202.30 C O N D E N S E D S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Loans and D isco un ts______ $135,272.30 Banking House and F. and F. 8,935.01 Other Real E s t a t e ________ 50,473.54 Bonds and Other Securities_ 15,835.39 Cash on hand and due from banks ________________ 14,055.52 Total ________________ $224,571.76 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L ia b ilitie s C a p i t a l _________________ $ 25,000.00 Surplus and Undivided Profits 33,860.18 Deposits and C l a i m s ______ 163,009.56 Other L i a b i l i t i e s _________ 2,702.02 Total ________________ $224,571.76 202 REPORT OF THE COMMISSIONER OF BANKING BANK OF SHOREWOOD Shorewood A lfre d N e w l a n d e r , S p e c ia l D e p u ty C o m m issio n e r C o n d ition a s o f J u n e 14, 1932 Resources Liabilities Loans and Discounts: On real estate_$ 22,650.00 Other ------------ 220,415.30 C a p i t a l ----------------------------- $ 50,000.00 Surplus and Undivided Profits 21,542.69 Deposits: T i m e ------------- $189,948.11 Total Loans and Discounts $243,065.30 D e m a n d ___ 269,326.61 I n v e s t m e n t s _____________ 308,359.15 All other r e s o u r c e s _______ 35,351.88 Total Deposits _________ $459,274.72 Borrowings from other Banks 55,813.08 Other Liabilities _________ 145.84 Total $586,776.33 Total $586,776.33 R e c e ip ts and D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1935 Collections Disbursem ents Liquidation of A s s e t s _____ $201,521.56 Legal -------------------------------$ 9,506.18 Assessments on s t o c k _____ 18,374.76 Administration __________ 16,155.06 54,967.55 Taxes, Insurance ________ Other C o lle c tio n s ________ 571.22 Other Expenses _________ 3,393.35 Bills P a y a b l e ____________ 55,813.08 Preferred C l a i m s ________ 1,924.59 Dividends ______________ 129,829.79 Offsets _________________ 23,545.55 Cash on hand Dec. 31, 1935_ 2,622.34 Losses and Suspense ______ 31,502.71 Total $274,863.87 Total $274,863.87 CO NDENSED S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1935 Resources Loans and D isco u n ts______ $150,935.49 Other Real E s t a t e ________ 5,278.64 Bonds and Other Securities_176,716.27 Cash on hand and due from b a n k s ---------------------------2,622.34 All other r e s o u r c e s _______ 4,503.84 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $340,056.58 L iabilities C a p i t a l ------------ ----- ---------- $ 50,000.00 Surplus and Undivided Profits 33,822.31 Deposits and C l a i m s ______ 305.504.13 Other L ia b i l i t i e s _________ 1 8,374.76 Total $340,056.58 REPORT OF THE COMMISSIONER OF BANKING 203 BANK OF SOLDIERS GROVE Soldiers Grove J. P. H ammarlund , D i s t . S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f F e b r u a r y 24, 1925 R e so u rc e s L ia b ilitie s Loans and Discounts: C a p i t a l _________________ $ 20,000.00 Total Loans and Discounts $476,501.40 Surplus and Undivided Profits 6,650.30 All other r e s o u r c e s _______ 8,016.46 Deposits: T i m e ________$259,138.21 D e m a n d _____ 82,897.48 Total Deposits _________ $342,035.69 Borrowings from other Banks 114,948.00 Other L i a b i l i t i e s _________ 883.87 Total $484,517.86 Total $484,517.86 R e c e ip ts and D isb u r se m e n ts D a te o l Closing- to D e c e m b e r 31, 1933 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $232,541.00 Legal ------------------------------ $ 12,136.52 Assessments on s t o c k _____ 9,500.00 Administration __________ 11,776.04 Other C o lle c ti o n s _________ 98,728.92 Taxes, I n s u r a n c e ________ 12,837.21 Other Expenses _________ 32,143.23 Bills P a y a b l e ____________ 117,054.06 Preferred C l a i m s ________ 3,798.00 Dividends __________ 149,940.84 Cash on h a n d ____________ 1,084.02 Total ________________ $340,769.92 Total ----------------------------$340,769.92 C O N D E N S E D S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Cash on hand and due from banks ________________ $ All other resources: 320 acres land in Montana on which there are two gas w ells__ Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L ia b ilitie s 1,084.02 1,084.02 Other L ia b i l i t i e s _________ $ Total 1,084.02 1,084.02 204 REPORT OF THE COMMISSIONER OF BANKING SPOONER STATE BANK Spooner John R. H ayes , D i s t r i c t S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f A u g u s t 0, 1931 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 89,576.15 Other _______ 50,144.34 C a p i t a l ----------------------------- $ 25,000.00 Surplus and Undivided Profits 6,050.04 Deposits: T i m e ________$ 25,647.54 Total Loans and Discounts $139,720.49 D e m a n d _____ 137,987.73 Other Real E s t a t e ________ 7,014.15 I n v e s t m e n t s _____________ 60,345.72 Total Deposits _________ $163,635.27 All other r e s o u r c e s _______ 15,944.92 Borrowing's from other Banks 25,000.00 Other Liabilities _________ 3,339.97 Total ________________ $223,025.28 Total ________________ $223,025.28 R e c e ip ts an d D isb u r se m e n ts D a te o f Closing- to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $163,471.71 Postal Sav. Dep. P a i d _____ $ Assessments on s t o c k _____ 5,708.98 Legal ------------------------------14,268.75 Administration __________ Other C o l l e c ti o n s ________ Taxes, Insurance _________ Other Expenses _________ Bills P a y a b l e ____________ Preferred C l a i m s ________ Dividends ______________ Offsets _________________ Cash on hand Dec. 31, 1935_ Comp. L o s s ----------------------Total $183,449.44 CONDENSED Loans and D isco un ts_____ _$ Other Real E s t a t e ________ Bonds and Other Securities-Cash on hand and due from banks ________________ All other r e s o u r c e s _______ Dividends ______________ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $183,449.44 S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u r c e s Total Total 41,720.32 2,335.43 7,732.86 3,077.26 378.13 28,000.00 5,088.13 36,725.13 8,741.68 4,297.24 45,353.26 L ia b ilitie s 49^257 71 C a p i t a l ----------------------------- $ 25,000.00 13,754.81 Surplus and Undivided Profits 5,000.00 8,921.07 Deposits and C l a i m s ______ 105,650.69 Other L ia b i l i t i e s _________ 109.12 4,297.24 22,803.85 36,725.13 $135,759.81 Total $135,759.81 205 REPORT OF THE COMMISSIONER OF BANKING SPRINGBROOK STATE BANK Springbrook John R. H ayes , S p e c ia l D e p u ty C o m m issio n e r C on dition as o f M a y 7, 1027 R e so u rc e s Loans and Discounts: Total Loans and Discounts $ Other Real E s t a t e -------------I n v e s t m e n t s _____________ All other resources _______ Liabilities C a p i t a l _________________ $ 10,000.00 1,939.09 65,295.84 Surplus and Undivided Profits 5.190.00 Deposits: T i m e ________$ 26,393.04 4.570.00 D e m a n d _____ 30,206.72 3.883.01 Total D e p o s i t s _________ $ 56,599.76 Borrowing's from other Banks 10,400.00 Total ________________ $ 78,938.85 Total ________________ $ 78,938.85 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1035 D is b u r s e m e n ts C o lle c tio n s _______________ $ 2,096.38 Liquidation of A s s e t s _____ $ 46,308.16 Legal 2,978.65 Assessments on s t o c k _____ 327.00 A d m i n i s t r a t i o n ____.______ Taxes, Insurance _________ 1,002.79 Other C o lle c ti o n s ________ 8,173.00 Other Expenses ____ ;____ 299.14 Bills P a y a b l e ____________ 10,400.00 Preferred C l a i m s ________ 70.00 18,848.20 Dividends ______________ Offsets _________________ 2,300.76 Cash on hand Dec. 31,1935_ 256.82 Comp. Loss and Int. Pd___ 16,555.42 Total ________________ $ 54,808.16 Total ________________ $ 54,808.16 C O N D E N S E D S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1035 Liabilities _ Loans and D isco u n ts-----------$ 22,679.52 C a p i t a l _________________ $ 10,000.00 1,300.00 Banking House and F. and F. 1,139.50 Surplus and Undivided Profits Other Real E s t a t e ________ . 4,990.00 Deposits and C l a i m s ______ 35,464.57 Cash on hand and due from b a n k s ________ 256.82 All other r e s o u r c e s 17,699.73 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 46,699.73 Total $ 46,699.73 206 REPORT OF THE COMMISSIONER OF BANKING CITIZENS STATE BANK Stanley L loyd E. H ull , S p e c ia l D e p u ty C o m m issio n e r C o n d ition as o f D e c e m b e r 9, 1932 R e so u rc e s Loans and Discounts: Total Loans and Discounts $307,187.31 Other Real E s t a t e ________ 9,782.65 I n v e s t m e n t s _____________ 100,042.50 All other resources _______ 26,233 03 Total ----------------------------$443,245.49 L ia b ilitie s C a p i t a l ----------------------------- $ 35,000.00 Surplus and Undivided Profits 33,780.64 Deposits: Total Deposits ________ $283,012.05 Borrowings from other Banks 91,452.80 Total ----------------------------$443,245 49 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $210,678.48 Assessments on s t o c k _____ 20,474.66 Recovery on b o n d ________ 77,590.00 Other C o l l e c ti o n s ________ 22,514.99 Cash on hand 12/9/32_____ 5,971.67 Total --------____ _______ $337,229.80 D is b u r s e m e n ts Legal --------------------------- $ 1,792.28 4,588.69 Administration __________ Taxes, Insurance _________ 10,272.80 Other Expenses _________ 12,901.31 Bills P a y a b l e ____________ 91,452.80 Preferred C l a i m s ________ 8,865.50 Dividends ------------------------- 69,133 02 Offsets ----------------------------- 15,914.62 Cash on hand Dec. 31, 1935__ 10,053.27 Loss -------------------------------- 112,255.51 Total ,$337,229.80 C O N D E N S E D S T A T E M E N T OF C O N D IT IO N D E C E M H E R 3 i , 1935 Resources L ia b ilitie s Loans and D isco u n ts______ $ 48,025.49 C a p i t a l --------- ------------------- $ 35,000.00 Banking House and F. and F. 17,284.50 Deposits and Claims ___ 190,742.75 Other Real E s t a t e _________ 58,272.56 Bonds and Other Securities_ 23,252.50 Cash on hand and due from banks ----------------------------- 10,053.27 All other r e s o u r c e s _________ 6658 Sur. and Und. Profits Deficit 68,787.85 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $225,742.75 Total $225,742.75 REPORT OF THE COMMISSIONER OF BANKING 207 WISCONSIN STATE BANK Stevens Point N. W. Hahn , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition a s o f N o v em b e r 2, 1031 L ia b ilitie s R e so u rc e s C a p i t a l ______ __________ $ 30,000.00 Surplus and Undivided Profits 10,177.89 Deposits: T i m e _______ $494,166.95 Demand — ___ 98,889.72 Total Loans and Discounts $400,069.38 Other Real E s t a t e ________ 40,618.29 I n v e s t m e n t s _____ ________ 175,087.75 Total D e p o s i t s _________$593,056.67 All other r e s o u r c e s _______ 50,159.14 Borrowings from other Banks 26,000.00 Other Liabilities „ ____ 6,700.00 Loans and Discounts On real estate_$264,559.59 Other _______ 135,509.79 Total $665,934.56 Total $665,934.56 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $299,485.20 Assessments on s t o c k _____ 10,034.48 Other C o l l e c ti o n s _________ 50,312.62 Cash on hand 1 1 /2 /3 1_____ 24,562.16 Total ________________ $384,394.46 CONDENSED STATEM ENT OP R e so u rc e s Loans and D isco un ts______ $ 58,536.58 Banking House and F. and F. 2,000.00 Other Real E s t a t e ________ 114,575.58 Bonds and Other Securities_ 88,116.53 Cash on hand and due from b a n k s ________________ 9,299.54 All other r e s o u r c e s _______ 194.20 Surplus A c c o u n t _________ 76,733.40 Total ________________ $349,455.83 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis D is b u r s e m e n ts Legal __________________$ 6,170.34 Administration __________ 14,872.28 Taxes, Insurance __________14,326.44 21,109.86 Other Expenses _________ f i l l s P a y a b l e ___________ 26,000.00 Preferred C l a i m s _________ 1,715.72 Dividends ______________ 268,480.61 Offsets _________________ 18,519.67 Cash on hand Dec. 31, 1935__ 9,299.54 K urow ski Farm A / c ______ 3,900.00 Total ----------------------------$384,394.46 C O N D IT IO N DECEM BER 31, 1935 L ia b ilitie s C a p i t a l ____________ _____$ 30,000.00 Deposits and C l a i m s ______ 308,786.96 Stock Assessment P a i d ___ 10,034.48 Furn. and Fix. S o l d __,____ 634.39 Total ----------------------------$349,455.83 REPORT OF THE COMMISSIONER OF BANKING 208 STITZER STATE BANK Stitzer A. W. Bergh, S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o í M a y Id, 1934 L ia b ilitie s R e so u rc e s Loans and Discounts: Total Loans and Discounts-? Other Real E s t a t e -------------I n v e s t m e n t s _____________ All other r e s o u r c e s _______ Cash _______ 21,986.18 17,800.00 20,291.09 343.35 21,470.81 T o t a l _________________ $ 81,891.43 C a p i t a l ________________ ? 15,000.00 Surplus and Undivided Profits 1,002.72 Deposits: Total D e p o s i t s _________ $ 65,399.33 Other L i a b i l i t i e s _________ 498.38 T o t a l _________________ $ 81,891.43 R e c e ip ts and D isb u r se m e n ts D ate o f C lo s in g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $ Assessments on s t o c k _____ Recovery on b o n d ________ Other C o lle c tio n s _________ Preferred C l a i m s _________ Interest R e c e i v e d __- _____ Cash __________________ Total 18,362.51 9,013.50 17,577.05 581.30 14,094.60 1,157.43 21,470.81 ________________ ? 82,257.20 D is b u r s e m e n ts L egal __________________$ 22.30 1,928.35 Administration __________ Taxes, Insurance _________ 142.27 252.12 Other Expenses _________ Preferred C l a i m s _________ 14,079.27 Dividends ______________ 36,398.25 Offsets ___________________ 13,837.91 Cash on hand Dec. 31, 1935— 263.36 Due from B a n k s _________ 6,360.70 7,000.17 Other Disbursements _____ Other Stock and B o n d s ___ 1,972.50 Total ________________ ? 82,257.20 C O N D E N S E D S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s L ia b ilitie s Loans and D isco u n ts-----------$ 3,623.67 C a p i t a l _________________ $ Banking House and F. and F. 7,000.00 Deposits and C l a i m s ______ Other Real E s t a t e ________ 10,800.00 Other L ia b i l i t i e s _________ Bonds and Other Securities— 4,686.54 Assessments P a i d _________ Dividends _____ Cash on hand and due from b a n k s _________________ 6,624.06 All other r e s o u r c e s _______ 50,709.81 Sur. and Undiv. P r o . _______ 6,714.82 Total ________________ ? 90,158.90 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Total 15,000.00 15,652.55 14,094.60 9,013.50 36,398.25 ________________ ? 90,158.90 209 REPORT OF THE COMMISSIONER OF BANKING STOCKHOLM STATE BANK Stockholm G eo . J. S c h a f e r , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f M a y 3, 1933 R e so u rc e s Loans and Discounts: Total Loans and Discounts $ Other Real E s t a t e ________ i n v e s t m e n t s _____________ All other r e s o u r c e s _______ L ia b ilitie s Capital ----------------------------$ 10,000.00 8,825.70 95,088.52 Surplus and Undivided Profits 6,093.93 Deposits: T i m e ________$ 61,128.34 14,850.82 D e m a n d _____ 40,167.23 19,150.15 Total Deposits ________ $101,295 57 Borrowing's from other Banks 15,000.00 Other L ia b i l i t i e s _________ 62.15 Total ________________ $135,183.42 T o t a l _________________ $135,183.42 R e c e ip ts and D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s ______$ 42,579.13 Assessments on s t o c k _____ 6,268 55 Recovery on b o n d ________ 9,850.82 Other C o l l e c ti o n s _________ 4,704.85 Cash on hand and due from 12,622.94 banks 5/3/33 __________ ..._$ 76,026.29 Total D is b u r s e m e n ts Int. P a i d _______________ $ 1,262.22 Legal __________________ 126.75 Administration __________ 3,420.23 Taxes, Insurance _________ 796.93 1,358.13 Other Expenses _________ Bills P a y a b l e ____________ 15,000.00 Preferred C l a i m s ________ 22,837.44 Offsets _________________ 5,256.1 9 Cash on hand Dec. 31, 1935_ 6,916.32 Loss Acct. C o m p .__________ 19,052.08 Total $ 76,026.29 C O N D E N S E D S T A T E M E N T OE C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Loans and D isco u n ts______ $ 52,668.35 Banking House and F. and F. 4,339.00 6,093.93 Other Real E s t a t e ________ Bonds and Other Securities 6,941.17 Cash on hand and due from banks ________________ 6,916.32 All other r e s o u r c e s _______ 26,104.42 Total 14 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $103,063.19 L ia b ilitie s C a p i t a l _________________ $ 10,000.00 Surplus and Undivided Profits 7,950.49 Deposits and C l a i m s ______ 74,139.30 Other L ia b i l i t i e s _________ 10,973.40 Total $103,063.19 210 REPORT OF THE COMMISSIONER OF BANKING FIRST STATE BANK Strum M. I. G i l b e r t , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition a s o f S e p te m b e r 28. 1931 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $ 20,000.00 Loans and Discounts: 6,744.25 Total Loans and Discounts $217,287.87 Surplus and Undivided Profits Other Real E s t a t e -------------- 12,950.00 Deposits: T i m e _______ $180,3 43.16 I n v e s t m e n t s _____________ 77,512.79 D e m a n d _____ 36,576.36 All other r e s o u r c e s _______ 10,377.63 Total Deposits --------------- $216,919.51 Borrowing's from other Banks 71,869.21 2,595.32 Other L ia b i l i t i e s ---------------Total ________________ $318,128.29 Total _____ :__________ $318,128.29 R e c e ip ts and D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r, 1935 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s --------- $150,294.05 Assessments on s t o c k _____ 9,27 4.00 Recovery on b o n d ________ 69,506.05 12,481.84 Other C o l l e c t i o n s ________ $241,555.94 Total Int. P a i d _______________ $ Equity Opera H o u s e ______ Legal ------------------------------Administration __________ Liberty Bond M a t t e r ______ Taxes, Insurance _________ Loss Bond S a l e _____ i__ L_ Other Expenses _________ Bills P a y a b l e ____________ Loss Sale B. P. C o l . _______ Preferred Claims _________ Dividends ______________ Offsets _________________ Cash on hand December, 1935 Loss Court O r d e r _________ 459.81 369.40 3,172.45 5,914.30 511.20 1,156.97 316.13 1,278.71 55,583.69 64,606.85 4,859.07 53,157.36 13,726.90 5,843.18 30,599.92 $241,555.94 Total C O N D E N S E D S T A T E M E N T O F C O N D IT IO N D E C E M B E R , 1935 R e so u r c e s Loans and D is co u n ts ______ $ 96,345.45 Other Real E s t a t e ________ 369.40 Bonds and Other Securities— 2,100.00 Cash on hand and due from b a n k s ________________ 5,843.18 All other r e s o u r c e s _______ 161,799.77 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $266,457.80 L ia b ilitie s C a p i t a l _________________ $ 20,000.00 Surplus and Undivided Profits 5,320.08 Deposits and C l a i m s ______ 179,685.91 Other L ia b i l i t i e s _________ 61,451.81 Total $266,457.80 REPORT OF THE COMMISSIONER OF BANKING 211 DOOR COUNTY STATE BANK Sturgeon Bay C. H. H e r l a c h e , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f S e p tem b er IS), 1931 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$156,290.67 Other _______ 298,038.22 C a p i t a l ----------------------------- $ 50,000.00 Surplus and Undivided Profits 6,737.72 Deposits: T i m e ________$356,466.65 Total Loans and Discounts $454,329.49 D e m a n d _____ 84,898.13 Other Real E s t a t e ________ 14,485.01 I n v e s t m e n t s _____________ 91,632.54 Total D e p o s i t s _______ __$441,364.78 All other r e s o u r c e s _______ 33,890.22 Borrowing's from other Banks 96,234.76 Total ________________ $594,337.26 Total ----------------------------$594,337.26 R e c e ip ts an d D isb u r se m e n ts D a te o f Closing- to D e c e m b e r 31, 1933 C o lle c tio n s Liquidation of A s s e t s __ Assessments on s t o c k __ Recovery on b o n d _____ Other C o l l e c ti o n s _____ .$128,823.16 _ 12,437.55 _ 37,392.05 - 36,612.05 D is b u r s e m e n ts Legal -------------------------------$ Administration ______ Taxes, Insurance _________ Other Expenses _________ Rills iPnvi LIJ iuVi u li ivi . . --------------------------------------------- Preferred C l a i m s ________ Dividends ------------------------Offsets ----------------------------A d j . --------------------------------Cash on handDec. 30, 1935__ Total $215,264.81 CO NDENSED Total 1,145.71 7,175.53 4.3C0.30 9,222.75 qc oo a nI p. ¡7 O , £/ O <*. O 1,400.52 62,432.38 25,529.54 50.65 7,772.67 $215,264.81 S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1933 R e so u rc e s L ia b ilitie s Loans and D isco u n ts______ $240,454.00 Capital ----------------------------- $ 50,000.00 Banking House and F. and F. 9,023.05 Surplus and Undivided Profits 5,000.00 Other Real E s t a t e ________ 28,665.32 Deposits and C l a i m s ______ 357,145.34 Bonds and Other Securities_ 48,728.31 Cash on hand and due from b a n k s ________________ 7,772.67 All other r e s o u r c e s _______ 77,501.99 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $412,145.34 Total $412,145,34 REPORT OF THE COMMISSIONER OF BANKING 212 MERCHANTS EXCHANGE BANK Sturgeon Bay C. H. H e r l a c h e , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f O ctob er 0, 1932 L ia b ilitie s R e so u rc e s Capital _____________ $ Surplus and U n d i v i d e d P r o f i t s ______________ Deposits: Time ______$597,578.01 Demand _____ 174,117.83 Loans and Discounts: On real estate $335,061.33 O t h e r ______ 407,919.24 50,000.00 25,000.00 Total L o a n s and Disc o u n t s _____________$ 742,980.5.7 Other Real E s t a t e ______ 17,800.00 Total D e p o s i t s ________$ 771,695.84 Investments ___________ 226,541.11 34,372.09 Borrowing's from o t h e r All other r e s o u r c e s ______ B a n k s _______________ 154 225.00 Other Liabilities ________ 20,772.93 Total -------------------------- $1,021,693.77 Total _______________ $1,021,693.77 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $201,811.07 Assessments on s t o c k _____ 25,630.27 Recovery on b o n d ________ 95,551 27 Other C o l l e c ti o n s _________ 55,162.21 Total $378,154.82 CONDENSED Loans and D is co u n ts ______ $440,742 49 Banking House and F. and F. 19,724.39 Other Real E s t a t e ________ 25,376.98 Bonds and Other Securities_ 72,880.77 Cash on hand and due from b a n k s ________________ 5,827.31 All other r e s o u r c e s _______ 158,056.53 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Total $378,154.82 S T A T E M E N T OF C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Total D is b u r s e m e n ts Legal __________________ $ 2,966.52 Administration __________ 8,224.23 Taxes, Insurance ________ 10.480.51 Other Expenses _________ 11.081.51 Bills P a y a b l e ____________ 169,215.00 Preferred C l a i m s ________ 2,184.00 Dividends ______________ 135,966.92 Offsets _________ _______ 32,208.82 Cash on hand Dec. 31, 1935_ 5,827.31 $722,608.47 L ia b ilitie s C a p i t a l ----------------------------- $ 50,000.00 Surplus and Undivided Profits 25,000.00 Deposits and C l a i m s ______ 620,514.01 Other L i a b i l i t i e s ________ _ 27,094.46 Total $722,608.47 REPORT OP THE COMMISSIONER OF BANKING 213 STURTEVANT STATE BANK Sturtevant C h a s . H. S p a l d i n g , S p e c ia l D e p u t y C o m m is s i o n e r C on dition ns o f D e c e m b e r 10, 1932 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 27,502.28 Other _______ 35,220.35 C a p i t a l _________________ $ 12,000.00 Surplus and Undivided Profits 22,454.37 Deposits: T i m e ________$ 29,772.96 Total Loans and Discounts $ 62,722.63 D e m a n d _____ 31,104.94 Other Real E s t a t e ________ 2.022 69 I n v e s t m e n t s _____________ 28,212.06 Total Deposits ________ $ 60,877.90 All other resources _______ 13,688.47 Borrowing's from other Banks 9,240.00 Other Liabilities ________ 2,u73.58 Total $106,645.85 Total $106,645.85 R e c e ip ts an d D isb u r se m e n ts D a te o f Closing- to D e c e m b e r 31, 1933 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $ 34,524.93 Legal ------------------------------ $ Assessments on s t o c k _____ 10,877.83 Administration __________ Recovery on bond ________ 9,671.93 Taxes, Insurance ________ Other C o l l e c ti o n s ________ 3,043.82 Other Expenses _________ Loan, R. F. C . ___________ 4,231.61 Bills P a y a b l e ____________ Cash and Due from B a n k s __ 7,352.15 Preferred C l a i m s ________ Dividends ______________ Offsets _________________ Cash on hand Dec. 31, 1935_ Total $ 69,702.27 Total $ 694.27 4,126.86 944 24 2,051.9* 13,471.61 78.65 44,384.03 1,860.21 2,090.47 69,702.27 C O N D E N S E D S T A T E M E N T OE C O N D IT IO N D E C E M B E R 31, 1933 R e so u rc e s Loans and D isco un ts______ Banking House and F. and F. Other Real E s t a t e ________ Bonds and Other Securities_ Cash on hand and due from b a n k s _______ _________ All other resources _______ Dividend Acct. __________ Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 24,731.85 3,708.28 2,039.50 11,722 53 2,090.47 22,560.90 44,384.03 $111,237.56 L ia b ilitie s C a p i t a l _________________ : Surplus and Undivided Profits Deposits and C l a i m s ______ Other L ia b i l i t i e s _________ Dividend A c c t . __________ Total 12, 000.00 19,754.37 14.790.03 20,309.13 44.384.03 $111,237.56 214 REPORT OF THE COMMISSIONER OF BANKING THE STATE BANK OF SUAMICO Suamico A. E. B uttrick , S p ecia l D e p u ty C om m ission er C o n d ition as o f June 24, 1035 R e so u rc e s L ia b ilitie s Lioaiis and Discounts: Total Loans and Discounts $ Other Real E s t a t e ________ I n v e s t m e n t s _____________ All other r e s o u r c e s _______ C a p i t a l _________________ $ 15,000.00 15,000.00 75,090.87 “A ” Debentures _________ 2,901.69 5,000.00 Surplus and Undivided Profits 30,758.13 Deposits: T i m e ________$ 67,055.88 50,346.50 D e m a n d _____ 61,046.12 Total D e p o s i t s --------------- $128,102.00 191.81 Other L i a b i l i t i e s _________ Total ________ _______ $161,195.50 Total ________________ $161,195.50 R e c e ip ts an d D isb u r se m e n ts D a te o f Closing- to J a n u a r y 1, 1936 C o lle c tio n s D is b u r s e m e n ts 5.00 Liquidation of A s s e t s _____ $ 97,491.30 Legal ________________ __$ 468.75 Assessments on s t o c k _____ 3,900.30 Administration __________ 15.00 Other C o lle c tio n s ________ 3,166.73 Taxes, Insurance ________ Other Expenses _________ 729.71 Offsets _________________ 13,833.20 Cash on hand Dec. 31,1935__ 88,417.92 Loss Convert. Assets toCash 1,088.75 Total ________________ $104,558.33 Total ________________ $104,558.33 C O N D E N S E D S T A T E M E N T OF C O N D IT IO N J A N U A R Y 1 , 1936 R e so u rc e s Loans and D is co u n ts ______ $ 54,104.29 Banking- House and F. andF. 7,200.00 1,300.00 Other Real E s t a t e ________ Ronds and Other Securities_ 1,076.00 Cash on hand and due from b a n k s ___ :____________ 88,417.92 All other r e s o u r c e s _______ 33.66 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $152,131.87 L ia b ilitie s C a p i t a l _________________ $ 15,000.00 “A ” Debentures _________ 15,000.00 Surplus and Undivided Profits 7,661.51 Deposits and C l a i m s ______ 114,368.80 Other L i a b i l i t i e s _________ 101.56 Total $152,131.87 REPORT OF THE COMMISSIONER OF BANKING 215 FARMERS & MERCHANTS BANK Sun Prairie J. P. H ammarlund , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition a s o f J u ly 3, 1929 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$291,699.86 Other ------------ 531,151.47 C a p i t a l _________________ $ 40,000.00 Surplus and Undivided Profits 21,351.11 Deposits: T i m e ________$717,107.06 Total Loans and Discounts $822,821.33 D e m a n d _____ 147,455.83 Other Real E s t a t e ________ 57,448.67 I n v e s t m e n t s _____________ 46,535.01 Total Deposits ________ $864,562.89 A ll other r e s o u r c e s _______ 60,593.99 Borrowing's from other Banks 61,485.00 T o t a l _________________ $987,399.00 R e c e ip ts and D isb u r se m e n ts Da T o t a l _________________ $987,399.00 ■ o f C lo sin g to D e c e m b e r 31* 1933 C o lle c tio n s Liquidation of A s s e t s _____ $210,015.57 16,270.00 Assessments on s t o c k _____ Recovery on B o n d ________ 58,717.57 Drafts O u t s ta n d i n g _______ 9.25 Cash on hand at date of c l o s i n g -------------------------- 37,092.78 Total _____________$322,105.17 D is b u r s e m e n ts Legal -------------------------------$ 33,498.10 Administration __________ 20,237.01 Taxes, Insurance _________ 18,104.11 29,272.24 Other Expenses _________ Bills P a y a b l e ____________ 61,485.00 Preferred C l a i m s ________ 200.00 Dividends ______________ 117,247.11 Offsets ----------------------------- 37,480.88 Cash on hand Dec. 31, 1935_ 4,580.72 Total ----------------------------$322,105.17 C O N D E N S E D S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Loans and D isco un ts______ $130,987.46 Other Real E s t a t e ________ 144,165.77 Bonds and Other Securities_ 13,360.23 Cash on hand and due from b a n k s ---------------------------4,580.72 Profit and L o s s __________ 485,516.58 Total --------___________ $780,610.76 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L ia b ilitie s Capital ----------------------------- $ 40,000.00 Deposits and C l a i m s ______ 724,331.51 Other L i a b i l i t i e s _________ 9.25 Stock Assessment ________ 16,270.00 Total ----------------------------$780,610.76 REPORT OF THE COMMISSIONER OF BANKING 216 TREMPEALEAU VALLEY STATE BANK Taylor E. W. B enson, S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f June 23, 1032 L ia b ilitie s R e so u rc e s Loans and Discounts: On real estate— $ 51,833.14 Other _______ 81,286.82 Total Loans and Discounts $133,119.96 9,723.31 All other r e s o u r c e s -----------$142,843.27 Total C a p i t a l _________________ $ 25,000.00 Deposits: T i m e ________$ 69,977.14 D e m a n d _____ 32,694.35 Total Deposits --------------- $102,671.49 Borrowing's from other Banks 15,000.00 Other Liabilities --------------171.78 $142,843.27 Total R e c e ip ts and D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1935 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s --------- $ 48,208.16 Assessments on s t o c k _____ 14.646.82 Recovery on b o n d -------------4,400.00 Other C o l l e c t i o n s _________ 5,232.03 Cash 6/23/32 ____________ 853.47 Total ________________ $ 73,340.48 Legal __________________$ 931.97 5,107.98 Administration __________ Taxes, Insurance _________ 3,244.60 Other Expenses _________ 1,331.51 Bills Payable and I n t . ____ 15,293.45 Preferred C l a i m s _________ 1,000.43 Dividends ______________ 20,828.07 Offsets _____________ ____ 5,158.36 Cash on hand Dec. 31, 1935_ 6,061.32 Adjustments and D o s s e s ___ 14,382.79 Total ________________ $ 73,340.48 C O N D E N S E D S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s L ia b ilitie s Loans and D isco un ts-----------$ 62,089.77 C a p i t a l _________________ $ 25,000.00 Banking House and F. and F. 3,601.65 Deposits and C l a i m s ______ 83,133.80 Other Real E s t a t e ________ 23,901.52 Other L i a b i l i t i e s _________ 15,218.23 Cash on hand and due from b a n k s ________________ 6,061.32 All other r e s o u r c e s _______ 27,697.77 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $123,352.03 Total $123,352.03 217 REPORT OF THE COMMISSIONER OF BANKING WARRENS BANK Tomah R. E. S h e p h a r d , S p e c ia l D e p u t y C o m m is s i o n e r C on dition as o f S ep te m b e r 18, 1031 L ia b ilitie s R e so u rc e s Loans and Discounts: On real estate— $1 51,121.69 Other _______ 238,115.30 Total Loans and Discounts $389,237.19 2,000.00 Other Real E s t a t e ________ I n v e s t m e n t s _____________ 18.892.02 All other r e s o u r c e s ______ 22,045.48 $432,174.69 Total C a p i t a l ----------------------------- ! 25,000.00 Surplus and Undivided Profits 10,331.04 Deposits: T i m e _______ $289,389.60 D e m a n d _____ 95,994.98 Total Deposits --------------- $385,384.58 Borrowing's from other Banks 11,400.00 59.07 Other Liabilities --------------$432,174.69 Total R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Legal __________________ i 1,764.64 Administration __________ 12,614.31 Taxes, Insurance ________ 7,657.20 Other Expenses _________ 1,564.73 Bills P a y a b l e ____________ 11,400 00 Preferred C l a i m s ________ 1,566.89 Dividends ______________ 181,294.64 Offsets _________________ 26,394.48 Cash on hand Dec. 31, 1935_ 1,616.11 $245,873.00 Total $245,873.00 Liquidation of A s s e t s _____ $172,882.14 Assessments on s t o c k _____ 16,769.89 Other C o lle c tio n s _________ 33,364.39 Cash on hand date of closing 22,856.58 Total C O N D E N S E D S T A T E M E N T OF C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Loans and D is co u n ts ______ $116,572.30 Banking House and F. and F. 3,054.02 Other Real E s t a t e ________ 23,957.28 Bonds and Other Securities.- 37,904.55 Cash on hand and due from b a n k s ---------------------------1,616.11 Dividends Paid and Losses Incurred _____________ 242,214.96 Total ________________ $425,319.22 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L ia b ilitie s C a p i t a l ----------------------------- $ 25,000.00 Surplus and Undivided Profits 10,000.00 Dividends P a i d __________ 181,294.64 Balance C l a i m s __________ 181,625.84 Assessments Paid and Other Special Accounts _______ 27,398.74 Total ---------------------------- $425,319.22 218 REPORT OF THE COMMISSIONER OF BANKING BANK OF TOMAHAWK Tomahawk D e a n H. M a y e r , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f A p r il 22, 1933 R e so u rc e s L ia b ilitie s Loans and Discounts: Capital ----------------------------$ 30,000.00 Total Loans and Discounts $157,869 28 Surplus and Undivided Profits 23,886 31 Other Real E s t a t e ________ 13,071 85 Deposits: Investments ---------------------- 129,284.82 T i m e ------------- $122,150.79 1,186.91 All other r e s o u r c e s _______ D e m a n d --------- 100,195.72 Total Deposits ________ $222,346 51 Borrowings from other Banks 24 702.07 Other L i a b i l i t i e s _________ 477.97 Total ----------------------------$301,412.86 Total ----------------------------$301,412.86 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 19 3 5 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $130,871.82 L egal ____________ ;_____ 77.90 Assessments on s t o c k _______ 21,17909Administration __________ $ 7,389.91 Other C o l l e c t i o n s ___________ 58,97091Taxes, Insurance ________ 4,027.49 Other Expenses _________ 2,296.84 Bills P a y a b l e ____________ 24,702.07 Preferred C l a i m s ________ 976.31 Dividends ______________ 113,571.28 Offsets _________________ 18,684.75 Cash on hand Dec. 31, 1935_ 17,537.06 Adjustments ____________ 21,758.21 Total ----------------------------$211,021.82 Total ----------------------------$211,021.82 C O N D E N S E D S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Loans and D i s c o u n t s ______ $ Banking House and F. and F. Other Real E s t a t e ________ Bonds and Other Securities_ Cash on hand and due from banks ______________ All other resources _______ Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 52,574.59 8,540.00 18,640.63 48,219.49 L ia b ilitie s C a p i t a l ----------------------------- $ Surplus and Undivided Profits Deposits and C l a i m s ______ Stock Assessments P a i d ___ 30,000.00 24,518.29 76,737.62 21,179.09 17,537.06 6,923.23 $152,435.00 Total $152,435.00 219 REPORT OF THE COMMISSIONER OF BANKING SECURITY STATE BANK Turtle Lake A rthur J. K ing , S p ecia l D e p u ty C om m ission er C on dition as o f A u g u s t 11, 1933 L ia b ilitie s R e so u rc e s Capital ----------------------------$ 12,000.00 Surplus and Undivided Profits 3,000.00 Deposits: T i m e ________$ 40,377.98 9,315.42 D e m a n d _____ Total Loans and Discounts $ 31,946.61 14,355.46 Other Real E s t a t e ------------Total Deposits ---------------$ 49,693.40 7,492.76 Investments _____________ All other resources ------------ 10,898.57 64,693.40 Total $ 64,693.40 Total Loans and Discounts: On real estate_$ 25,780.57 Other _______ 6,166.04 R e c e ip ts and D is b u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1933 D is b u r s e m e n ts C o lle c tio n s 303.89 Liquidation of A s s e t s --------- $ 29,636.32 Legal ----------------------- ------ $ 1,689.79 Assessments on s t o c k --------- 1 1,650.00 Administration -----------------797.34 1,752.18 Taxes, Insurance --------------Other C o l l e c ti o n s ________ 1,080.35 3,250.93 Other Expenses _________ Cash 8/11/33 ____________ 28,347.67 Dividends ______________ 56.03 O f f s e t s --- ------------------------51.49 Ca,sh on hand Dec. 31, 1935 — 13,962.87 Adjustments ----- --------------$ 46,289.43 Total $ 46,289.43 Total C O N D E N S E D S T A T E M E N T OE C O N D IT IO N D E C E M R E R 31, 1935 'll panii i*f L ia b ilitie s Loans and D isco un ts-----------$ 8,752.7 9 C a p i t a l _________________ $ 12,000.00 3,000.00 Banking House and F. and F. 1,328.04 Surplus and Undivided Profits Other Real Estate ________ 14,185.46 Deposits and C l a i m s ______ 22,630.24 Other L i a b i l i t i e s _________ 11,650.00 Cash on hand and due from b a n k s ________________ 51.49 Undivided P r o f i t s ________ 24,962.46 $ 49,280.24 Total $ 49,280.24 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 220 REPORT OF THE COMMISSIONER OF BANKING VAN DYNE STATE BANK Van Dyne J. C. Stadler, S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f A p r il 2, 1934 R e s o u rc e s L ia b ilitie s Loans and Discounts: Other ------------ $ 12,205.37 C a p i t a l ----------------------------- $ 15,000.00 Surplus and Undivided Profits 4,144.94 Deposits: Total Loans and Discounts $ 12,205.37 T i m e ________$ 68,397.44 I n v e s t m e n t s _____________ 3ÎL93L90 D e m a n d _____ 16,010.71 All other r e s o u r c e s _______ 55,415.82 Total Deposits ---------------$ 84,408.15 Total ---------------------------- $103,553.09 Total ----------------------------$103,553.09 R e c e ip ts and D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $ 73,575.29 Legal -------------------------------$ 918.41 Assessments on s t o c k _____ 11,725.61 Administration __________ 1,058.40 Other C o l l e c t i o n s ________ 702.18 Taxes, Insurance ________ 76.29 Other Expenses _________ 46.96 Dividends ______________ 73,838.80 Offsets _________________ 811.06 Cash on hand Dec. 31, 1935_ 9,253.16 Total $ 86,003.08 Total .$ 86,003.08 C O N D E N S E D S T A T E M E N T OF C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s L ia b ilitie s Loans and D is co u n ts ______ $ 2,808.81 C a p i t a l ----------------------------- $ 15,000.00 Bonds and Other Securities_ 14,913.90 Surplus and Undivided Profits 1,406.41 Cash on hand and due from Deposits and C l a i m s ______ 10,569.46 b a n k s ---------------------------9,253.16 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 26,975.87 Total $ 26,975.87 REPORT OF THE COMMISSIONER OF BANKING 221 BANK OF VIROQUA Viroqua E. A . S chipper, S p e c ia l D e p u t y C o m m is s i o n e r C on dition a s o f D e c e m b e r 0, 1033 R e so u rc e s Loans and Discounts: On real estate_$446 260.68 Other _______ 203,799.19 L ia b ilitie s Capital ----------------------------$ 65,000.00 Surplus and Undivided Profits 31,774 03 Deposits: Deferred ____ $572,757.73 Total Loans and Discounts $65r>,059.87 Total Deposits --------------- $572 757.73 I n v e s t m e n t s _____________ 75,125.74 All other r e s o u r c e s _______ 72,023.00 Borrowing's from R. F. C._— 112,650.00 Other L i a b i l i t i e s --------------- 15,026.85 Total ________________ $797,208.61 Total ________________ $797,208 61 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31. 193.I D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s _____ $449,503.12 L°gal __________________$ 3,523.17 6.319 26 Assessments on s t o c k _____ 29,230.11 Administration __________ Other C o l l e c ti o n s ________ 44,400.44 Taxes, Insurance _________ 10,819.58 11,964.24 Cash 12/9/33 ________ 25,146.35 Other Expenses _________ Bills P a y a b l e ____________ 112,650.00 Preferred C l a i m s ________ 6,163 75 Dividends ______________ 296.761.55 7,020.20 Offsets _________________ Cash on hand Dec. 31, 1935_ 93,058.27 Total ________________ $548,280.02 Total ________________ $548,280.02 C O N D E N S E D S T A T E M E N T ’ O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Loans and D isco u n ts______ $213,153.71 Banking House and F. and F. 37,197.40 Loss by C o m p ro m ise______ 59,101.58 Loss Sale of B o n d s _______ 1,596.08 Bonds and Other Securities-9,085.00 Cash on hand and due from banks ________________ 93,058.27 All other r e s o u r c e s _______ 4,760 64 Expense of L iq u i d a t i o n ___ 52,142.76 Total ________________ $470,095.44 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L ia b ilitie s C a p i t a l ___________________________ $ 65,000.00 Surplus and Undivided Profits 30,638.14 Deposits and C l a i m s ______ 303,184.02 Assessment on S t o c k _____ 29,230.11 Earnings of L iq u i d a t i o n ----- 42,043.17 Total ________________ $470,095.44 222 REPORT OF THE COMMISSIONER OF BANKING THE FARMER’S BANK Viroqua E. J. T r a i n e r , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition a s o f June 25, 1031 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$188,217.00 Other ------------ 130,988.39 Capital ----------------------------$ 50,000 00 Surplus and Undivided Profits 10,503.97 Deposits: T i m e _______ $169,764.58 Total Loans and Discounts $319,205.39 D e m a n d _____ 97,370.71 Other Real E s t a t e ________ 27,056.38 Investments _____________ 7,702.20 Total Deposits ______ ___$267,135.29 All other r e s o u r c e s _______ 38,288.57 Borrowings from other Banks 64,587.28 26 00 Other Liabilities ________ Total ----------------------------$392,252.54 Total ________________ $392,252.54 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $182,870.98 Assessments on s t o c k _____ 18,680.57 Other C o l l e c ti o n s _________ 29,326.63 Cash at c l o s i n g __________ 5,843.28 Total $236,721.46 D is b u r s e m e n ts Int. Pd. on Borrowed Money_$ Legal -----------------------------Administration __________ Taxes, Insurance ________ _ Other Expenses ___i______ _ Bills P a y a b l e ____________ Preferred C l a i m s ________ Dividends ______________ Offsets _________________ Cash on hand Dec. 31, 1935_ Loss Charged O f f ________ Total 5,640.79 3,608.62 7,051.15 9,752.65 12,424.32 60,462.28 3,141.20 38,553.06 12,745.15 7,366 55 75,975.69 $236,721.46 C O N D E N S E D S T A T E M E N T OF C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Loans and D isco un ts______ $ 97,021.21 Other Real E s t a t e ________ 100,362.25 Dividends P a i d ___________ 38,553.06 Cash on hand and due from b a n k s ---------------------------7,366.55 All other r e s o u r c e s _______ 7,955.30 Loss A c c o u n t _____________ 89,831.04 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $341,089.41 L ia b ilitie s C a p i t a l ----------------------------- $ 50,000 00 Surplus and Undivided Profits 10,000.00 Deposits and C l a i m s ______ 262,385.85 Assm’t. P a i d ---------------------- 18,680.57 Cash V a r i a t i o n __________ 22.99 Total $341,089.41 223 REPORT OF THE COMMISSIONER OF BANKING FIRST STATE BANK Waukesha B a s i l I. P e t e r s o n , S p e c ia l D e p u t y C o m m i s s i o n e r C o n d ition as o f M a y 15, 1935 L ia b ilitie s R e so u rc e s C a p i t a l _________________ $100,000.00 Surplus and Undivided Profits 6,878.25 Deposits: T i m e ________$ 40,360.75 D e m a n d _____ 46,296.63 Total Loans and Discounts $ 80,447.37 Other Real E s t a t e ________ 38,649.92 Total Deposits ________ $ 86,657.38 I n v e s t m e n t s _____________ 18,545.15 4,100.00 All other r e s o u r c e s _______ 43,825.13 Borrowings from S c r i p ___ Bkg. House, Fur. and F i x __ 49,900.00 Other L ia b i l i t i e s _________ 33,731.94 Loans and Discounts: On real estate_$ 18,476.83 Other _______ 61,970.54 Total $231,367.57 $231,367.57 Total R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s __ Assessments on s t o c k __ Other C o l l e c ti o n s ___,__ Scrip on hand 5/15/34_ Cash on hand 5/15/34_ Total $ 37,373.97 74,084.81 3,178.61 4,024.00 14,772.07 ________________ $133,433.46 CO NDENSED S T A T E M E N T OF D is b u r s e m e n ts Legal __________________$ 2,013.35 Administration __________ 2,010.00 Taxes, Insurance ________ 2,301.71 4,343.48 Other Expenses _________ Jo. Rodgers Ins. P r e m . ___ 886.80 Bills P a y a b l e ____________ 16,100.00 1.18 Adjustment _____________ Preferred C l a i m s _________ 19,474.86 Other Claims ____________ 207.31 Dividends ______________ 65,984.11 5,465.87 Losses Comp. S e t t l e . ______ Offsets _________________ 1,731.89 HOLC Bond _____________ 505.53 Cash on hand Dec. 31, 1935— 1,915.23 Alexander M o r t g a g e ______ 2,000.00 Other Assets ____________ 8,492.14 Total _____________:___$133,433.46 D IT I ON D E C E M B E R 31, 1935 R e so u rc e s L ia b ilitie s Loans and D isco un ts______ $ 62,273.84 C a p i t a l _________________$100,000.00 Banking House and F. and F. 49,900.00 Stock Assessments Collected- 74,084.81 Other Real E s t a t e ________ 38,459.92 Special Account Carried by Bonds and Other Securities_ 11,111.42 B ’k, Certified C h . _______ 141.61 Cash on hand and due from banks _____________ ,__ 1,915.23 All other r e s o u r c e s ________ 8,817.14 Loss on Liq. of A s s e t s ______ 1,748.87 Total ____ ___________ $174,226.42 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Total ________________ $174,226.42 224 REPORT OF THE COMMISSIONER OF BANKING BLUE MOUND STATE BANK Wauwatosa A lfred N ew lander, S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f A p r il 2S, 1933 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 6,000.00 Other _______ 85,679.61 Capital ________________ $ 50,000.00 Surplus and Undivided Profits 19,021.89 Deposits: T i m e ________$ 27,534.32 Demand ____ 28,027.21 Total Loans and Discounts $ 91,679.61 3,000.00 Other Real E s t a t e ________ I n v e s t m e n t s ______________ 43,208.30 Total Deposits ________ $ 55,561 53 All other r e s o u r c e s ________ 15,620.79 Borrowing's from other Banks 28,879.75 Other Liabilities ________ 45.53 Total $153,508.70 $153,508.70 Total R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $ 52,244.75 Legal __________________$ 3,138.70 23,7'82.99 Administration __________ Assessments on s t o c k _____ 3,938.06 Other C o lle c tio n s ________ 4,201.08 Taxes, Insurance ________ 84.61 Other Expenses _________ 1,813.32 Bills P a y a b l e ____________ 28,879.75 7,397.95 Preferred C l a i m s ________ Dividends ______________ 29,775.97 Offsets _________________ 2,807.34 711.58 Cash on hand Dec. 31, 1935_ Losses _________________ 1,681.54 Total $ 80,228 82 Total $ 80,228.82 C O N D E N S E D S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1035 R e so u rc e s Loans and D is co u n ts ______ $ 68,346.60 Banking House and F. and F. 7,436.67 Other Real E s t a t e _ 3,000.00 Bonds and Other Securities-9,017.18 Cash on hand and due from banks --------------711.58 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 88,512.03 L ia b ilitie s C a p i t a l _:_______________ : 50,000.00 Surplus and Undivided Profits 1,934.85 Deposits and C l a i m s ______ 1 6,663.89 Other L i a b i l i t i e s _________ 23,782.99 Total $ 88,512.03 REPORT OF THE COMMISSIONER OF BANKING 225 BURNHAM STREET STATE BANK West Allis A lfred N ewlander , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f J a n u a ry 27, 1033 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 32,683.08 Other ------------ 39,715.83 Capital ________________ $ 50 000.00 Surplus and Undivided Profits 3,861.05 Deposits: T i m e ------------- $ 22,924.82 Total Loans and Discounts $ 72,398.91 D e m a n d _____ 100,765.89 In v e s tm e n ts _____________121,519.17 A ll other r e s o u r c e s _______ 33,285.14 Total Deposits ______ ___ $123,690.71 Borrowing's from other Banks 49,653.84 Other L iabilities _________ 57.62 Total ----------------------------$227,263.22 Total ----------------------------$227,263.22 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 193."» C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $127,524.86 Legal ------------------------------ $ 2,672.90 Assessm ents on s t o c k _____ 31,037.39 Adm inistration __________ 4,092.39 Other C o lle c tio n s ______ 18.316.84 Taxes, Insurance ________ 1,601.78 Other Expenses _________ 3,645.74 Bills P a y a b le ___ ________ 49,653.84 Preferred C la im s _____ ___ 174.68 Dividends ______________ 88,486.41 Offsets _________________ 6,400.97 Cash on hand Dec. 31, 1935_ S, 706.67 Losses _________________ 11,443.71 Total $176,879.09 Total $176,879.09 C O N D E N S E D S T A T E M E N T OF C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Loans and D isco u n ts______ $ 26,981.98 B anking House and F. and F. 24,922.50 Other Real E s t a t e ________ 2,300.00 Bonds and Other Securities_ 33,840.30 Cash on hand and due from banks ---------------------------8,706.67 All other r e s o u r c e s _______ 32.39 Total 15 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 96,783.84 L ia b ilitie s C a p it a l_________________ $ 50,000.00 Surplus and Undivided Profits 14,124.03 Deposits and C la im s ______ 29,724.91 Other L ia b ilit ie s __________ 31,182.96 Total .$ 96,783.84 REPORT OF THE COMMISSIONER OF BANKING 226 WESTBORO STATE BANK Westboro J. R. H ayes , D i s t r i c t S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f J u n e 25, 1927 L ia b ilitie s R e so u rc e s C a p it a l----------------------------- $ 10,000.00 Surplus and Undivided Profits 1,660.86 Deposits: T i m e ________$ 26,785.33 D e m a n d _____ 40,541.97 T otal Loans and Discounts $ 67,105.14 4,898.67 Other R eal E s t a t e -------------Total Deposits --------------- $ 67,327.30 3,861.32 In v e s tm e n ts _____________ 1,500.00 4,623.03 Borrowing's from other Banks A ll other resources _______ 80,488.16 T otal $ 80,488.16 T otal Loans and Discounts: On real estate_$ 22,205.60 Other _______ 43,899.54 R e c e ip ts an d D isb u r se m e n ts D a te o f Closing- to D e c e m b e r 31, 1935 D is b u r s e m e n ts C o lle c tio n s Liquidation of A s s e t s --------- $ 33,358.49 Legal ------------------------------ $ 4,900.98 6,584.41 9,805.00 Adm inistration -----------------Assessm ents on s t o c k --------3,398.39 2,052.94 Taxes, Insurance ________ Other C o lle c tio n s --------------975.25 3.509.32 Other Expenses ---------------Cash date of c lo s in g ---------1,500.00 B ills P a y a b le _______ _____ Compromise L o s s --------------- 10,540.80 Dividends ------------------------- 13,117.14 6,802.73 Offsets _________________ 906.05 Cash on hand Dec. 31, 1935— $ 48,725.75 Total CONDENSED S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s R e so u rc e s Loans and D isco u n ts-----------$ 39,913.64 B anking House and F. and F. 2,066.30 Other Real E s t a t e ________ 1,640.41 Cash on hand and due from banks ________________ 906.05 A ll other r e s o u r c e s _______ 26,399.83 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $ 48,725.75 Total 70,926.23 Capital _________________ $ 10,000.00 Surplus and Undivided Profits 13,518.80 Deposits and C la im s ----------- 46,925.27 Other L ia b ilit ie s _________ 482.16 Total ________________ $ 70,926.23 REPORT OF THE COMMISSIONER OF BANKING 227 W ESTBY STATE BANK Westby K e n n e t h C. B a r n e y , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f O ctob er 3, 1032 R e so u rc e s L ia b ilitie s Loans and Discounts: C a p it a l----------------------------- $ 50,000.00 Total Loans and Discounts $442,333.91 Surplus and Undivided Profits 12,054.97 Other Real E s t a t e ________ 20,941.06 Deposits: In v e s tm e n ts _____________ 36,745.33 T i m e ________$431,408.81 All other re s o u r c e s _______ 62,842.00 D e m a n d _____ 11,964.57 Total D e p o s it s _________ $443,373.38 Borrowings from other Banks 57,415.41 Other L iabilities _________ 18.54 Total ---------------------------- $562,862.30 T otal ________________ $562,862.30 R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D ecem b er 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $265,539.14 Assessm ents on s t o c k _____ 4,254.74 Other C o lle c tio n s ________ 21,300.94 Cash on hand 10/2/32_____ 16,327.25 Bills Payable, R. F. C. _____ 33,693.38 Total $341,115.45 CO NDENSED D is b u r s e m e n ts L egal __________________$ 7,431.43 4,294.41 Adm inistration __________ Taxes, Insurance ________ 11,090.88 Other Expenses _________ 14,754.95 Bills P a y a b le ____________ 59,566.91 Preferred C la im s ________ 11,189.50 Dividends ______________ 83,652.80 Offsets _________________ 15,792.49 Cash on hand Dec. 31, 1935_ 5,576.67 Loss A c c o u n t____________ 127,765.41 Total S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Loans and D isco u n ts______ $106,635.68 B anking House and F. and F. 35,000.00 Other Real E s t a t e ________ 118,989.38 Bonds and Other Securities_ 12,328.55 Cash on hand and due from b a n k s ---------------------------5,576.67 O verdrafts _____________ 1,253.91 All other resources — Und. Profits -------------------------4,671.15 Loss A c c o u n t____________ 136,948.95 Dividends P a i d __________ 83,652.80 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .$341,115.45 $505,057.09 L ia b ilitie s C a p it a l_________________ $ 50,000.00 Deposits and C la im s ______ 335,487.88 Bills Payable, R. F. C . _____ 31,650.43 Stock Assessm ents Collected and I n t e r e s t ___________ 4,265.98 Dividends P a i d ________ 83,652.80 Total $505,057.09 REPORT OF THE COMMISSIONER OF BANKING 228 BANK OF W ESTBY Westby K e n n e t h C. B a r n e y , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f S ep te m b e r 24, 1922 L ia b ilitie s R e so u rc e s C a p it a l----------------------------- $ 40,000.00 Loans and Discounts: Total Loans and Discounts $239,376.67 Surplus and Undivided Profits 14,118.61 Other Real E s t a t e ________ 53,900.00 Deposits: T i m e _______ $407,620.72 In v e s tm e n ts _____________ 102,721.25 D e m a n d _____ 415.26 A ll other re s o u r c e s ------------ 33,702.31 Shrinkage sale bonds, trust Total Deposits --------------$408,035.98 assets — ,------------------------- 40,454.36 Borrow ings from other Banks 8,000.00 Total ________________ $470,154.59 Total ________________ $470,154.59 R e c e ip ts and D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s __ Assessm ents on s t o c k __ Other C o lle c tio n s _____ Cash on hand 9/24/32 __ Bills Payable, R. F. C. __ D is b u r s e m e n ts $192,328.73 24,484.70 14,117.26 19,056.41 26,320.22 $276,307.32 Total CONDENSED R e so u rc e s https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 4,889.30 4,249.32 12,514.82 6,411.57 15,805.65 540.84 133,795.83 8,347.21 11,197.35 78,555.43 $276,307.32 Total S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1935 L ia b ilitie s C a p it a l_________________ $ 40,000.00 Surplus and Undivided Profits 1,618.15 Deposits and C la im s ----------- 271,752.81 Bills Payable, R. F. C . ____ 18,684.99 Stock Assm ’t. Collected and Interest ______________ 24,592.77 11,197.35 116,287.99 Dividends P a i d __________ 133,795.83 133,795.83 $490,444.55 Total $490,444.55 Loans aiid D isco u n ts______ $ B anking House and F. and F. Other Real E s t a t e ________ Bonds and Other Securities_ Cash on hand and due from banks ________________ Loss A c c o u n t____________ Dividends P a i d ___________ Total Legal __________________1 Adm inistration __________ Taxes, Insurance --------------Other Expenses ---------------B ills P a y a b le ____________ Preferred C la im s ________ Dividends ______________ Offsets _________________ Cash on hand Dec. 31, 1935__ Loss Account ____________ 76,990.51 14,433.90 96,908.32 40,830.65 REPORT OF THE COMMISSIONER OF BANKING 229 ANCHOR STATE BANK OF WEST MILWAUKEE West Milwaukee F r a n k P. M c A d a m s , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition as o f June 4, 1035 R e so u rc e s liia b ilitie s Loans and Discounts: On real estate__$ 46,442.00 Other ------------ 687,286.46 Capital D e b e n tu r e s ___ ____ $ 20,000.00 C a p it a l_________________ 40,000.00 Surplus and Undivided Profits 6,999.18 Deposits: Total Loans and Discounts $733,728.46 T i m e _______ $479,928.71 In v e s tm e n ts _____________ 28,301.40 D e m a n d _____ 243,811.53 A ll other re s o u r c e s _______ 128,709 56 Total Deposits ___ .$723,740.24 Borrowing's from FH A . 100, 000.00 Total --------------------------- $890,739.42 Total .$890,739.42 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1035 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $320,753.80 Legal ------------------------------ $ 2,123.10 Assessm ents on s t o c k _____ 11,391.10 Adm inistration __________ 4,682.24 Other C o lle c tio n s ________ 114.16 Loss on B o n d s ___________ 225.02 Other Expenses _________ 4,172.07 Postal Sav. I n t .__________ 209.01 Preferred C la im s ________ 358.81 Int. Refund on F H A Loans__________ 1,450.42 Offsets ----------------------------- 111,490.29 Cash on hand Dec. 31, 1935_ 207,548.10 Total ----------------------------$332,259.06 Total ---------------------------- $332,259.06 C O N D E N S E D S T A T E M E N T OF C O N D IT IO N D E C E M B E R 31, 1035 R e so u rc e s Loans and D isco u n ts______ $538,613.71 B anking House and F. andF. 20,000.00 Bonds and Other Securities_ 18,012.00 Cash on hand and due from b a n k s ---------------------------- 207,548.10 All other re s o u r c e s _______ 1,365.79 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $785,539.60 L ia b ilitie s Capital D e b e n tu r e s _______ $ 20,000.00 C a p it a l----------------------------- 40,000.00 Surplus and Undivided Profits 3,597.61 Deposits and C la im s ______ 717,746.11 Other L ia b ilit ie s _________ 11,391.10 Total $785,539.60 REPORT OF THE COMMISSIONER OF BANKING 230 PEOPLES BANK OF WRIGHTSTOWN West Wrightstown G ordon M. R e m m e l , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f M arch 1, 1934 L ia b ilitie s R e so u rc e s C a p it a l_________________ $ 20,000.00 Surplus and Undivided Profits 6,581.85 Deposits: T i m e ________$101,975.97 D e m a n d _____ 20,340.21 Total Doans and Discounts $115,508.91 Other Real E s t a t e ________ 7,180.29 Total Deposits --------------- $122,316.18 In v e s tm e n ts _____________ 4,711.75 A ll other r e s o u r c e s ------------ 21,497.08 $148,898.03 $148,898.03 Total Total Loans and Discounts: On real esta te_$ 28,005.00 Other _______ 87,503.91 R e c e ip ts sind D isb u r se m e n ts Dsite o f C lo sin g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of A s s e t s _____ $ 64,270.97 Assessm ents on s t o c k _____ 14,003.31 R ecovery on b o n d ________ 3.73 6,812.81 Other C o lle c tio n s ________ Cash on hand 3/1/34________ 12,145.49 $ 97,236.31 Hotal CONDENSED D is b u r s e m e n ts Legal __________________$ 557.40 A dm inistration __________ 1,904.19 Taxes, Insurance _________ 671.47 1,029.36 Other Expenses _________ Preferred Claims — A d ju st ments ____ .___________ 15,147.19 Dividends ______________ 70,246.74 Offsets _________________ 5,159.92 Cash on hand Dec. 31, 1935__ 2,520.04 S T A T E M E N T OE C O N D IT IO N R e so u rc e s Loans and D isco u n ts______ Hanking House and F. and F. Other Real E s t a t e ________ Bonds and Other Securities__ Cash on hand and due from banks ________________ All other r e s o u r c e s _______ Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 51,237.94 9,351.59 11,480.29 3,311.66 97,236.31 Total D E C E M B E R 31, 1935 L ia b ilitie s C a p it a l_________________ Surplus and Undivided Profits Deposits and C la im s ______ Other L ia b ilit ie s _________ 20 , 000.00 3,000.00 70,343.84 19.419.28 25,954.36 11,427.28 $112,763 12 Total $112,763.12 REPORT OF THE COMMISSIONER OF BANKING 231 W EYERH AEUSER STATE BANK Weyerhaeuser J o h n R. H a y e s , D i s t r i c t S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition a s o f M arch 31, 1930 R e so u rc e s L ia b ilitie s Loans and Discounts: On real estate_$ 27,420.28 Other 43,060.53 Capital . _ __$ 10,000.00 Surplus and Undivided Profits 1,172.13 D eposits: Time $ 55,178.53 Total Loans and Discounts $ 70,480.81 Demand 44,915.06 Other Real Estate 20,855 85 Investments 10,500.98 Total Deposits _ $100,093.59 All other resources _ 12,328.08 Borrowing’s from other Banks 2,900.00 Total . _ $114,165.72 Total __ __ ____ $114,165.72 R e c e ip ts and D isb u r se m e n ts D ate o f C lo s in g to D e c e m b e r 31, 1935 C o lle c tio n s Liquidation of Assets Assessm ents on stock Other Collections _ Total D is b u r s e m e n ts $ 40,336.69 L egal $ 2,300.00 Adm inistration 395.33 Taxes, Insurance Other Expenses B ills Payable Preferred Claims * Dividends .... Offsets Cash on hand Dec. 31, 1935__ $ 43,032.02 Total 609.93 3,936.98 1,398.47 305.35 2,900 00 .97 23,503.32 5,966.28 4,410.72 $ 43,032.02 C O N D E N S E D S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Loans and Discounts $ Banking House and F. and F. Other Real E state Bonds and Other S ecu rities.Cash on hand and due from banks All other resources Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 44,1 69.46 2,020.00 15,541.61 3,317.18 L ia b ilitie s Capital $ 10,000.00 Surplus and Undivided Profits 500.00 Deposits and Claims 69,126.72 Unclaimed Dep. Lia. 2,237.69 4,410.72 12,405 44 $ 81,864.41 Total $ 81,864.41 232 REPORT OF THE COMMISSIONER OF BANKING PEOPLES STATE BANK Whitehall E. W. Benson, S p e c ia l D e p u t y C o m m is s i o u e r C o n d ition as o f J u ly 7, 1932 R e so u rc e s L ia b ilitie s Loans and Discounts: C a p it a l_________________ $ 30,000.00 Total Loans and Discounts $213,412.46 Surplus and Undivided Profits 6,800.00 Other Real E s t a t e ________ 37,388.36 D eposits: In v e s tm e n ts _____________ 23,004.90 T i m e _______ $144,757.23 A ll other r e s o u r c e s _______ 11,778.96 D e m a n d _____ 48,363.86 Total Deposits ________ $193,121.09 Borrowing's from other Banks 53,i 00.00 Other L ia b ilit ie s _________ 2,663.59 T o t a l _________________ $285,584.68 T o t a l _________________ $285,584.68 R e c e ip ts and D isb u r se m e n ts D a te o f Closing- to D e c e m b e r 31, 1035 C o lle c tio n s Liquidation of A s s e t s _____ $ 95,012.03 Assessm ents on s t o c k _____ 15,609.75 Other C o lle c tio n s ________ 16,293.91 Cash 7/7/32 _____________ 8,514.46 Total ________________ $135,430.15 D is b u r s e m e n ts L egal ------------------------------ $ 2,152 66 4,699.47 Adm inistration __________ Taxes, insurance _________ 2,774.95 Other Expenses _________ 2,122.16 H ills Payable and Redis. and Int. __________________ 56,144.56 Preferred C la im s ________ 2,720.35 36,782.88 Dividends ______________ Offsets _________________ 9,384.14 Cash on hand Dec. 31,1935__ 1,185.16 Adjustm ents and L o s s e s ___ 17,463.92 Total ________________ $135,430.15 C O N D E N S E D S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1035 R e so u rc e s Loans and D is c o u n ts _____ $1 00,653.90 B anking House and F. and F. 3.423.25 Other Real E s t a t e ________ 65,958.36 Bonds and Other Securities_ 9,313.60 Cash on hand and due from banks ________________ 1,185.16 A ll other resources _______ 19,340.06 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis $199,874.33 L ia b ilitie s C a p it a l_________________ $ 30,000.00 Surplus and Undivided Profits 6,800.00 Deposits and C la im s ______ 147,462.58 Other L ia b ilit ie s _________ 15,611.75 Total $199,874.33 REPORT OF THE COMMISSIONER OF BANKING 233 W H ITE LAKE STATE BANK White Lake D e a n H. M a y e r , S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f F e b r u a r y 7, 1033 R e so u rc e s L ia b ilitie s Loans and Discounts: On real esta te— $ 6,735.50 Other ------------ 43,437.34 Capital ----------------------------$ 15,000.00 Surplus and Undivided Profits 3,868.85 Deposits: T i m e ------------- $ 34,636.13 Total Loans and Discounts $ 50,172.84 D e m a n d _____ 23,796.43 Other Real E s t a t e ________ 3,000.00 In v e s tm e n ts _____________ 51,431.80 Total Deposits ________ $ 58,432.55 All other r e s o u r c e s _______ 3,028.06 Borrowing’s from other Banks 32,482.45 Cash and in b a n k s ________ 2,151 15 Total ----------------------------$109,783.85 Total ------ -------------------- $109,783.85 R e c e ip ts and D isb u r se m e n ts D a te o f C losin g' to D e c e m b e r 31, 1035 C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $ 78,975.36 L egal -----------------------------$ Assessm ents on s t o c k ____ 10,124.63 Adm inistration __________ Other C o lle c tio n s ________ 8,598.19 Taxes, Insurance ________ Cash on hand 2/7/35______ 2,151.15 Other Expenses _________ Bills P a y a b le ___,________ Preferred C la im s ________ Dividends ______________ Offsets _________________ Cash on hand Dec. 31, 1935_ Total $ 99,849.33 Total $ 316.82 4,245.84 641.68 5,499.56 32,482.45 94.02 54,146 09 1,316.35 1,106.52 99,849.33 C O N D E N S E D S T A T E M E N T OF C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Loans and D isco u n ts______ $ B anking House and F.and F. Bonds and Other Securities__ Cash on hand and due from b a n k s ---------------------------A ll other re s o u r c e s _______ Dividends ------------------------Total $ https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L ia b ilitie s 8,528.92 C a p it a l----------------------------- $ 2,782.00 Surplus and Undivided Profits 15,725.00 Deposits and C la im s ______ Stock Assessm ents P a i d ___ 1,106.52 Dividends P a i d __________ 2,372 28 54,146.09 84,660.81 Total 15,0^0 00 2,199.14 3,190.95 10,124.63 54,146 09 $ 84,660.81 REPORT OF THE COMMISSIONER OF BANKING 234 BANK OF WILSON Wilson W. E. L uell, S p e c ia l D e p u t y C o m m is s i o n e r C o n d ition ns o f J u ly 20, 1934 L ia b ilitie s R e so u rc e s C a p it a l_________________ $ 10,000.00 Loans and Discounts: 2,330.48 Total Loans and Discounts_$ 29,685.84 Surplus and Undivided Profits Other Heal E s t a t e ________ 6,200.00 D ep osits: T i m e ________$ 48,219.84 In v e s tm e n ts _____________ 28,432.50 D e m a n d _____ 16,247.79 A ll other r e s o u r c e s _______ 12,479.77 T otal D e p o s it s ___._____ $ 64,467.63 T o t a l _________________ $ 76,798.11 T o t a l _________________ $ 76,798.11 R e c e ip ts and D isb u r se m e n ts D a te o f Closing- to D e c e m b e r 31, 1035 C o lle c tio n s Liquidation of A s s e t s _____ $ 39,696.89 Assessm ents on s t o c k _____ 3,388.63 Other C o lle c tio n s ________ 1,159.73 Cash 7/20/34 ____________ 5,879.77 ? 50,125.02 T otal CO NDENSED D is b u r s e m e n ts Adm inistration __________ $ 1,400.29 95.36 Taxes, Insurance ________ Other Expenses _________ 488.09 Compromise L o s s ________ 17,998 97 Preferred C la im s ________ 57.49 Dividends ______________ 25,555.38 Offsets __________ 475.58 Cash on hand Dec. 31, 1935__ 4,053.86 Total 50,125.02 S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1935 R e s o u r ce s L ia b ilitie s Loans and D isco u n ts______ $ 19,068.95 C a p it a l_________________ $ 10,000.00 Banking- House and F. and F. 6,250.00 Deposits and C la im s ______ 38,390.43 Bonds and Other Securities 5,902.50 Cash on hand and due from banks ____________ ,____ 4,053.86 Profit and L o s s __________ 13,115.12 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis .$ 48,390.43 Total $ 48,390.43 REPORT OF THE COMMISSIONER OF BANKING 235 FARMERS SECURITY BANK Wilton R. E. S h e p h a r d , S p e c ia l D e p u t y C o m m is s i o n e r C on dition sis o f O ctob er 10, 1931 L ia b ilitie s R e so u rc e s Loans and Discounts: On real estate_$ 21,515.00 Other _______ 49,626.74 C a p it a l_________________ $ 15,000.00 Surplus and Undivided Profits 3,000.00 Deposits: T im e ------------- $ 79,100.72 Total Loans and Discounts $ 71,141.74 D e m a n d _____ 29,575.38 Other R eal E s t a t e ________ 14,109.04 In v e s tm e n ts _____________ 37,593.35 Total Deposits ________ $108,676.10 8,000.00 All other r e s o u rc e s _______ 10,657.09 Borrowing's from other Banks 1,174.88 T otal _____________$134,676.10 Total ________________ $134,676.10 R e c e ip ts and D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1935 D is b u r s e m e n ts C o lle c tio n s 660.84 Liquidation of A s s e t s _- ___ $ 58,477.83 L egal __________________$ 7,291.72 Adm inistration __________ 8,262.58 Assessm ents on s t o c k _____ Taxes, Insurance ________ 1,170.83 Other C o lle c tio n s ________ 4,951.01 177.95 3,389.86 Other Expenses _________ Cash on hand date of closing 8,000.00 B ills P a y a b le ____________ Dividends ____ __________ 47,130 29 Offsets _________________ 5,076.95 Cash on hand Dec. 31, 1935_ 3,630.98 $ 74,110.42 Total Total $ 74,110.42 C O N D E N S E D S T A T E M E N T OK C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Loans and D isco u n ts-----------: B anking House and F. and F. Other Real E s t a t e ________ Bonds and Other Securities_ Cash on hand and due from banks ---------------------------Dividends P a i d -----------------Und. Profits D e f ic it _______ Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 21,487.48 6,917.00 222.85 14,943.35 3,628.65 47,130.29 35,752 97 $130,082.59 L ia b ilitie s C a p it a l_________________ $ 15,000.00 Surplus and Undivided Profits 3,(00.00 Dividends P a i d ____________ 47,130.29 Balance C la im s __________ 57,660.58 Assessm ent Account ____ 7,291.72 Total $130,082.59 236 REPORT OF THE COMMISSIONER OF BANKING UNION BANK OF W INNECONNE Winneconne R. A. D iestler, S p e c ia l D e p u ty C o m m issio n e r C o n d ition a s o f J u ly 22, 1933 L ia b ilitie s R e so u rc e s Capital ,________________ $ 25,000.00 Surplus and Undivided Profits 30,162.22 Deposits: T i m e _______ $239,457.67 D e m a n d _____ 79,621.17 Total Loans and Discounts $107,151.64 Other Real E s t a t e ________ 17,400.00 T otal Deposits ________ $319,078.84 In v e s tm e n ts _____________ 227,066.45 32,435.15 A ll other r e s o u r c e s _______ 55,058.12 Other L ia b ilit ie s _________ Loans and Discounts: On real estate_$ 50,580.50 Other _______ 56,571.14 T o t a l _________________ $406,676.21 T o t a l _________________ $406,676.21 R e c e ip ts and D isb u r se m e n ts D a te o f Closing- to D e c e m b e r 31, 193.' C o lle c tio n s D is b u r s e m e n ts Liquidation of A s s e t s _____ $236,677.66 L egal __________________ $ 1,907.61 Assessm ents on s t o c k _____ 22,074.77 Adm inistration __________ 3,144.39 Other C o lle c tio n s ________ 12,936.52 Taxes, Insurance ____________ 550.68 Other Expenses _________ 1,996.13 Claims and Refunds Pd. by Court O r d e r ___________ 278.67 Dividends ______________ 245,594.63 Offsets _________________ 5,396.94 Cash on hand Dec. 31, 1935-- 12,819.90 Total ________________ $271,688.95 Total __________ _____ $271,688.95 C O N D E N S E D S T A T E M E N T OE C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Loans and D isco u n ts______ $ B anking House and F. and F. Other Real E s t a t e ________ Bonds and Other S ecu rities-Cash on hand and due from b a n k s ________________ Im pairment of C a p it a l____ Total L ia b ilitie s 1,709.97 C a p it a l_________________ $ 25,001.00 10,288.50 Deposits and C la im s ______ 62,050.80 1,220 79 Other L ia b ilit ie s _________ 23,064.01 61,226.20 12,819.90 22,849.45 ________________ $110,114.81 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Total ----------------------------$110,114.81 237 REPORT OF THE COMMISSIONER OF BANKING WOODLAND STATE BANK Woodland F r a n k M. W a s h b u s h , S p e c ia l D e p u ty C o m m issio n e r C on dition ns o f J u ly 8, 1932 Liabilities R e so u rc e s C a p it a l----------------------------- $ 10,000.00 Surplus and Undivided Profits 6,964.32 D eposits: T i m e ________$ 68,384.51 D e m a n d _____ 38,854.13 Total Loans and Discounts $ 65,163.28 Other Real E s t a t e _________ 2,200.00 T otal D e p o s it s ---------------$107,238.64 In v e s tm e n ts _____________ 57,081.15 9,750.00 A ll other re s o u r c e s -------------9,508.53 Borrowing's from other Banks Total ________________ $133,952.96 Total ________________ $133,952.96 Loans and Discounts: On real estate_$ 10,300.00 Other _______ 54,863.28 R e c e ip ts and D isb u r se m e n ts D a te o f Closing- to D e c e m b e r 31, 1935 D is b u r s e m e n ts C o lle c tio n s 70.75 Liquidation of A s s e t s -------- $ 50,015.83 Legal __________________$ 4,874 33 Assessm ents on s t o c k --------9,400.39 Adm inistration __________ 576.72 Other C o lle c tio n s ________ 7,875.45 Taxes, Insurance ________ 1,403.75 Other Expenses _________ Bills P a y a b le ____________ 9,828.11 Preferred C la im s --------------817.58 Dividends ______________ 40,413.83 6,652.80 Offsets _________________ Cash on hand Dec. 31, 1935— 2,653.80 $ 67,291.67 Total $ 67,291.67 Total C O N D E N S E D S T A T E M E N T O F C O N D IT IO N D E C E M B E R 31, 1935 R e so u rc e s Loans and D isco u n ts--- *----B anking House and F. and F. Other Real E s t a t e ------------Bonds and Other Securities— Cash on hand and due from banks ---------------------------A ll other resources -----------Surplus— Deficit ---------------Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L ia b ilitie s 13,272 60 C a p it a l________________ -$ 10,000.00 4,498.65 Deposits and C la im s ______ 60,680.43 5,992 60 19,868.75 2,653.80 2,037.99 22,356.04 $ 70,680.43 Total $ 70,680.43 238 REPORT OF THE COMMISSIONER OF BANKING WYOCENA STATE BANK Wyocena F . W . Moecker, S p e c ia l D e p u t y C o m m is s i o n e r C o n d itio n as of J a n u a r y 3 0 , 1 9 3 5 R e so u rc e s L ia b ilitie s C a p it a l_________________ $ 12,000.00 Surplus and Undivided Profits 6,303.46 D eposits: T i m e ________$ 92,926.23 D e m a n d _____ 25,835.10 Total Loans and Discounts $ 97,119 23 Other Real E s t a t e ________ 5,725 00 Total D e p o s its __________$118,761.33 Investm ents _____________ 64 660.75 A ll other r e s o u r c e s _______ 8,426.95 Borrowing's from other Banks 38,820.83 Other L ia b ilit ie s _________ 46.31 Loans and Discounts: On real estate_$ 46,362.00 Other _______ 50,757.23 T o t a l _________________ $175,931.93 T o t a l _________________ $175,931.93 R e c e ip ts and D is b u r s e m e n ts D a te Liquidation of A s s e t s _____ $ 55,949.62 Assessm ents on s t o c k _____ 6,892.02 Recovery on b o n d ________ 22,292.96 Other C o lle c tio n s ________ 13,387 99 6,493.69 R. F. C. L o a n ____________ Total -$ 1 0 5 ,0 1 6 .2 8 CONDENSED STATEM ENT R e so u rc e s Loans and D isco u n ts______ $ B anking House and F. and F. Other Real E s t a t e ________ Bonds and Other Securities— Cash on hand and due from banks ---------------------------Adj. Acct. ( L o s s e s ) _______ Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis of C lo s in g to D e c e m b e r 31, 1935 D is b u r s e m e n t s C o lle c tio n s OF 32,644.09 5,181.50 9,025.00 26,691.73 Legal __________________$ 559.35 2,780.29 A dm inistration __________ Taxes, Insurance _________ 1,517.95 Other Expenses _________ 3,027.40 Bills P a y a b le ____________ 45,314.52 Preferred C la im s ________ 672.71 Dividends ______________ 41,880.07 Offsets _________________ 1,566.74 Cash on hand Dec. 31, 1935__ 3,868.03 Interest P a i d ___________ 3,829.22 Total C O N D IT IO N .$105,016.28 DECEM BER 31, 1935 L ia b ilitie s C a p it a l_________________ $ 12,000.00 Surplus and Undivided Profits 11,377.93 Deposits and C la im s ______ 77,881.22 Other L ia b ilit ie s _________ 10.00 3,868.03 23,858.80 $101,269.15 Total $101,269.15 239 REPORT OF THE COMMISSIONER OF BANKING YUBA STATE BANK Yuba J o h n H u g g in s , S p e c ia l D e p u t y C o m m is s i o n e r C o n d itio n ns o f O c to b e r 39, 1932 L ia b ilitie s R esou rces C a p it a l_________________ $ 15,000.00 Deposits: T i m e ________$ 71,011.39 D e m a n d _____ 27,287.44 Loans and Discounts: On real estate_$ 22,975.00 Other _______ 50,435.42 T otal Loans and Discounts $ Other Real E s t a t e -------------In v e s tm e n ts _____________ All other r e s o u r c e s _______ Surplus ________________ Total 73,410.42 Total Deposits ________ $ 98,298.83 4,000.00 47,328.22 Borrowing's from other Banks 24,637.40 26.85 10,686.46 Other L iabilities _________ 2,537.98 Total ________________ $137,963.08 R e c e ip ts an d D is b u r s e m e n ts D a te ________________ $137,963.08 o f C lo s in g to D e c e m b e r 3 1 , 1935 D is b u r s e m e n ts C o ll e c t i o n s 464.40 Liquidation of A s s e t s _____ $ 91,134.93 L egal _____ _____________ $ 4,300 47 Assessm ents on s t o c k _____ 11,251.71 Adm inistration __________ Taxes, Insurance ________ 1,395.27 1,311.62 Other C o lle c tio n s ________ Other Expenses _________ 1,244.11 Bills P a y a b le ____________ 24,637.40 Preferred C la im s ________ 23.13 Dividends ______________ 43,261.92 Offsets _________________ 2,122.73 Cash on hand Dec.31, 1935__ 6,453.37 Surplus and Int. P d . ______ 19,795.46 $103,698.26 Total CONDENSED STATEM EN T R esou rces OF Total C O N D IT IO N $103,698.26 DECEM BER L ia b ilitie s 31, 1933 Loans and D isco u n ts-----------$ 31,604.00 C a p it a l_________________ $ 9,697.15 Deposits and C la im s ______ B anking House and F. and F. 5,000.00 Stock A sse ssm en ts________ Other Real E s t a t e ------------5,625.35 Bonds and Other Securities— Cash on hand and due from 6,453.37 banks _________ ______ 10.50 A ll other resources -----------Surplus ---------------------------- 20,783.90 Total .$ $ 79,174.27 Total https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 15,000.00 52,922.56 11,251.71 79,174.27 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis O F F IC IA L S O F B A N K S Banks by Location and Name, Alphabetically Arranged, with Officers and Directors 16 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 242 REPORT OF THE COMMISSIONER OF BANKING ABLKM AN F a r m e r s S ta te B a n k Wm. Stoeckmann, Pres. Ern st Dettmann, Y. Pres. H. J. Chard, Cash. Reuben Black, A. Cash. Directors: Wm. Stoeckmann E rn st Dettmann John W. Hindes W. C. Holtz W. J. D w ars A rthur A. Meyer John Redman ADAMS A d a m s C o u n ty S ta te Bank R. B. Wood, Pres. 0 E. Whitcomb, Vice Pres. C. W. Wood, Cash. D irectors: Edw. Koerth B. J. McBride Geo. P o livka O. E. Whitcomb R. B. Wood ADELL A d e ll S ta te B a n k M. C. Plekenpol, Pres. G. W. Bates, Vice Pres. W alter J. Lau, Cash. D irecto rs: M. C. Plekenpol G. W. Bates W alter J. Lau P. W. Tempas Wm. Zuengler ALBANY B a n k o f A lb a n y S. J. Morgan, Pres. Wm. F. Hein. Vice Pres. P. H. Flood, Vice Pres. E. F. Graves, Cash. Jessie Peckham , A. Cash. G. R. Phelps, A. Cash. Directors: S. J. Morgan Wm. F. Hein P. H. Flood J. F. Litel E. F. Graves ALGOM A C o m m u n ity S ta te B a n k E. J. Kerscher, Pres. F ran k Jansky, Vice Pres. H. N. Nelson, Cash. X avier H. Naze, A. Cash. Leo W. Buege, A. Cash. Directors: E. J. K erscher F ra n k Jansky E. W. A nderegg Em il V. Knospe F ran k Lohrey John G. Maedke W. W. W itcpalelc ALLENTON A lle n to n S ta te B a n k Chas. F. Steinberg, Pres. G. W eninger, Vice Pres. J. P. W eninger, Cash. Ray R. Umbs, A. Cash. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis D irecto rs: Chas. F. Steinberg G. W eninger J. P. W eninger Joseph Umbs John J. Hess A rthur O. Puls Mich L. W eis ALM A T h e A m e r ic a n B ank Chas. A. Kirchner, Pres. Valentine Thoeny, V. Pres. W. F. Kirchner, Cash. J. R. Lindrud, A. Cash. D irecto rs: Chas. A. K irchner Valentine Thoeny W. F. K irchner P. E. Ibach M. L. F ugin a Oscar Florin James A. K irchner ALM OND T h e P o r ta g e C o u n ty B a n k 0. A. Crowell, Pres. E. G. Crowell, Vice Pres. Geo. G. Crowell, Cash. D irecto rs: O. A. Crowell E. G. Crowell G. G. Crowell G. K. Crow ell C. R. Crowell AM ERY U n io n S t a t e B a n k J. G. Burman, Pres. V. H. Christensen. V. Pres. O. M. Erickson, Cash. C. M. Olson, A. Cash. D irecto rs: J G. Burman C. A. Nelson Elm er M ekkelson E. H. Porter V. H. Christensen AM HERST T h e I n te r n a tio n a l B a n k o f A m h erst E. N. Wold, Pres. C. H. Cashin, Vice Pres. Harry B. Pomeroy, Cash D irectors: E. N. Wold C. H. Cashin Ole Borgen P. E. Boynton C. F. H aertel Otto Dusel Wm. W eller A M H E R S T J U N C T IO N T h e S e c u rity S ta te B a n k M. K. Hanson, Pres. H. N. Nelson, Vice Pres. O. A. Nelson, Cash. Myron K jer, A. Cash. Directors : M. K. Hanson H. N. Nelson Chas. E. Smith M. P. A xtell O. A. Nelson A N T IG O F id e lit y S a v in g s B a n k B. H. Diercks, Pres. Anton Molle, Vice Pres. M. K. Lamont, Cash. A. L. Mazanec, A. Cash. R. H. James, A. Trust. D irecto rs: Fred L. Berner R. C. W illott F. C. K e stly C. N. M elgaard M. F. Oik B. H. D iercks Anton Molle M. K. Lamont APPLETON T h e A p p le to n S ta te B a n k B. J. Zuehlke, Pres. A. H. Krugm eier, V. Pres. M. A. Schuh, Cash. Tim Sauer, Jr., A. Cash. E. F. Semrow, A. Cash. L. F. Schreiter, A. Cash. & Trust Officer D irecto rs: B. J. Zuehlke M. A. Schuh A. H. K rugm eier A. F. Zuehlke Herman W. W ieckert Thos. Flan agan Seymour Gmeiner APPLETON F i r s t N a tio n a l B a n k R. S. Pow ell, Pres. M. D. Smiley, Vice Pres. Robt. W. Ebben, Cash. Peter J. Goerl, A. Cash. Geo. W. B arry, A. Cash. D irecto rs: Chas. S. Boyd G. E. Buchanan C. B. Clark F. J. Harwood C. L. Marston R. S. Pow ell F. J. Sensenbrenner M. D. Smiley Wm. C. W ing APPLETON F ir s t T r u st A p p le to n Com pany of R. S. Pow ell, Pres. M. D. Smiley, Vice Pres. W. A. Strassburger, Sec’yTreas. G. W. Barry, A ss’t Sec’y M. E. Rahn, A ss’t Treas. D irecto rs: F. J. Harwood G. E. Buchanan C. L. Marston R. S. Pow ell F. J. Sensenbrenner M. D. Smiley Wm. C. W ing APPLETON O u ta g a m ie C o u n ty B a n k Fred Stoffel, Pres. John Morgan, V. Pres. Joseph Dohr, Cash. O. A. Hansen, A. Cash. REPORT OF THE COMMISSIONER OF BANKING D irectors: Fred Stoffel John Morgan Joseph Dohr O. A. Hansen Nie. Dohr F. V. Hauch E arl Wichmann Directors— continued A. E. Pagenkopf W alter A. Lange A. G. Brendemuehl Benjamin Gauerke A R C A D IA S ta te R a n k o f A r c a d ia Henry Schwert, Pres. Nels E. Ledin, Vice Pres. W. E. Nyhus, Vice Pres. Roy H. Klein, Cash. G. O. Samuelson, A. Cash. N. A. W arren, A. Cash. A lf C. Elm, A. Cash. E. Huunn, A. Cash. H. J. Axness, A. Cash. C. F. Peterson, A. Cash. Directors: F ran k Heiderer, Jr. Wm. G. Fordyce Phil Stoltz C. W. Lockhart C. A. Poundstone Wm. N yback M. L. Ensinger G. A rthur Johnson Henry Schwert Nels E. Ledin H. J. Axness Emil Maurer, Pres. W. E. English, Vice Pres. H. F. Reuschle, Cash. It. E. Pahl, A. Cash. D irecto rs: Elm er E. Barlow A. C. Foster J. C. G aveney J. J. Schneider Carl Schultz W. E. English Emil Maurer ARENA A r e n a S ta te B a n k T. G. Cretney, Pres. Wm. G. Orht, Vice Pres. H. E. W oit, Cash. Merton Harrop, A. Cash. D irecto rs: T. G. Cretney S. W. Dawson Wm. G. Orht Mrs. L. Hamilton ARGYLE S ta te B a n k o f A r g y le C. G. Uren, Pres. Jesse J. Uren, Vice Pres. A. P. Larson, Cash. Olaf I. Paulson, A. Cash. Geo. M. Aim, A. Cash. D irecto rs: Peter P. Aim J. R. Arnot A. P. Larson C. G. Uren Jesse J. Uren A R L IN G T O N A r lin g to n S ta te B a n k John C. Young, Pres. O. G. K leinert, Vice Pres. C. B. Smith, Cash. Nellie Mae Smith, A. Cash. D irectors: S. C. Nelson F ra n k Lyon W. W. Schultz A lbert Lerch Casper B urke John C. Young O. G. K lein ert AUGUSTA P e o p le s S ta te B a n k ASHLAND N o rth e rn S ta te B a n k ASHLAND T h e U n io n N a tio n a l o f A s h la n d B ank F elix Penn, Pres. W. J. Hodgkins, Vice Pres G. A. Carlson, Vice Pres, and Cash. W illis S. W elker, A. Cash D irectors: Thomas Bardon G. C. Bielenberg G. A. Carlson W. J. Hodgkins B. H. Metternich F elix Penn W. J. Tucker D. F. W elker ATHENS T h e B a n k o f A th e n a Wm. L. Erbach, Pres. John Braun, Vice Pres. Geo. T. Fulmer, Cash. M. L. Schriefer, A. Cash. D irecto rs: Wm. L. Erbach John Braun Geo. T. Fulm er Reinhold Paersch Geo. A. Schlegel A. C. Rietbrock H. B. Esselman AUBURNDALE A S H IP P U N T h e B a n k o f A s h ip p u n John Maasch, Pres. C. F. F ranke, Vice Pres. Geo. Copithorn, Vice Pres. Benjam in Gauerke, Cash. Agnes Gauerke, A. Cash. D irecto rs: John Maasch C. F. Franke Geo. Copithprn https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 243 A u b u r n d a le S ta te B a n k J. C. Kieffer, Pres. R. J. Bestul, Cash. E lla M. Greunke, A. Cash. D irecto rs: J. C. Kieffer, Sr. A. J. Friedrich W. F. Berdan Joe Baierl Michael Brandi H arry Engeldinger Chas. Livesey, Pres. F. H. Randall, Vice Pres. L. H. R ockw ell, Cash. Susie G. Thw ing, A. Cash. D irectors: Fred B arka R. W. Bowen Chas. Livesey J. C. Miller F. H. Randall R. B. W ashburn B A L D W IN F ir s t N a t io n a l B a n k Geo. B. Heebink, Pres. R. R. Rudesill, Vice Pres. A. A. W illin k, Cash. C. Kessenich, A. Cash. Directors: Geo. B. H eebink R. R. Rudesill Wm. E. H aw ley F ran k Guiser W. H. Guiser A. W illin k B A L D W IN S e c u rity S ta te B a n k L. Snoeyenbos, Pres. A. J. Nyman, Vice Pres. Joe Huenink, Vice Pres. Carl O. Dahl, Cash. D irecto rs: L. Snoeyenbos A. J. Nyman Joe Huenink Carl O. Dahl Joseph Yoerg Joe Te Hennepe Peter Hansen BANCROFT B a n c r o ft S ta te B a n k L lew ellyn W alker, Pres. Jesse L. Judd. Vice Pres. Jesse L. Judd, Cash. H arry Manley, A. Cash. D irecto rs: L lew ellyn W alker Jesse L. Judd E tta Morgan H arry Manley C. R. George BANGOR F a rm e rs S ta te B a n k E. V. Mengel, Pres. Hugo Hussa, Vice Pres. Adolph Toepel, Cash. John C. Bedessem, A. Cash. Directors: E. V. Mengel Hugo Hussa John Griffith John Brand Harrison P faff M. J. Humphrey BANGOR F i r s t N a tio n a l B a n k L. J. Roberts, Pres. Andrew W olf, Vice Pres. E. J. Wiles, Cash. E. A. Merlo, A. Cash. A. R. Aichele, A. Cash. 244 REPORT OF THE COMMISSIONER OF BANKING Directors: L. J. Roberts Andrew W olf E. J. W iles L. A. Smith F ritz Schroeder Robert Davis George W olf L. A. Gilfillan W. H. W. Page D irecto rs: Ed. A. Erickson C. C. Post S. E. Severson Chas. A. T aylor T. J. Thompson BARRON T h e N orm ann a B EAVER DAM F a r m e r s S ta te B a n k S a v in g s B ank BARABOO B an k o f B araboo D. S. Van Orden, Pres. T. F. R isley, Vice Pres. H. J. Steeps, Cash. Geo. A. W eber, A. Cash. D irecto rs: Li. S. Van Orden T. F. R isley H. J. Steeps E. P. M cFetridge F ran k Morley Norman Quale W. E. Baringer BARABOO T h e F i r s t N a tio n a l B a n k o f B araboo J. M. Sullivan, Pres. Chas. Shewmon, Cash. H. G. Gasser, A. Cash. D irectors: Chris Dyrud Otto Timme R. J. K a sisk a Rollo M orley W. H. Ode J. M. Sullivan BARNEVELD B a r n e v e ld S t a t e B a n k Jerome J. Jones, Pres. J. B. W atkins, Vice Pres. Anton S. Arneson, Cash. Joseph Lauber, A. Cash. Directors: Jerome J. Jones Anton S. Arneson John B. W atkin s Dave B aum gartner Mrs. Am elia Jones BARRON B an k o f B arron F. L. Van S'ckle, Pres. J. Bowen, Vice Pres. Jalm er Viitanen, Cash. L. B. Thompson, A. Cash. D irecto rs: Geo. R. Borum F. Li. Van Sickle J. E. Bowen C. C. Coe H. Raderm acher T. J. Thompson BARRON F i r s t N a tio n a l B a n k o f B arron Chas. A. Taylor, Pres. S. E. Severson, Vice Pres. K. E. Thompson, Cash. Otis SkogStad, A. Cash. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis A. Briese, Pres. C. J. Schoenfeld, Vice Pres Wm. H. Hall, Cash. H. C. Reckner, A. Cash. Directors: Li. A. Briese J. W. Deniger E. H. G utgesell Wm. H. H all H. C. Reckner Anton K u cku k C. J. Schoenfeld Chas. Waddell Li. F. S. Woodard, Pres. M. N. Rockman. V. Pres. J. C. Rockman, Cash. M. B. Johnson, A. Cash. D irectors: F. S. Woodard P. A. Moe J. C. Rockman M. N. Rockman M. B. Johnson BARTON B a rto n S ta te B a n k J. J. Vogelsang, Pres J. A. K ircher, Vice Pres. B. G. Kircher, Cash. Directors: J. J. V o gelsan g J. A. K irch er A. J. K ap fer Jos. Van Beek E. Schulze E. G. K ircher M J. Dunn, Jr. B A Y C IT Y B a y C ity S ta te B a n k Paul Hortenbach, Sr., Pres. G. A. Ulvin, Vice Pres. A. E. Feldman, Cash. L. B. Disney, A. Cash. Directors : Paul Hortenbach, Sr. G. A. Ulvin A. E. Feldman E. O Feldman Paul Hortenbach, Jr. BEAVER DAM T h e O ld N a t i o n a l B a n k A. B. Chandler, Pres. W. D. M cKinstry, V. Pres. George H ickey, Vice Pres. H. R. Vetter, Cash. K. S. Fisher, A. Cash. A. L. Bedker, A. Cash. D irecto rs: A. B. Chandler W. D. M cK instry George H ickey R. T. M cLaughlin H. F. Schemmel H. R. V etter B E L L E V IL L E B e lle v ille S ta t e B a n k C. B. Minch, Pres. P. A. Genin, Vice Pres. Fred W. Brunner, Cash. M yrtie B. Harmon, A. Cash D irecto rs: C. B. Minch P. A. Genin Fred Wild M. B ecker Fred W. Brunner Joe E. Zw eifel E. J. Henry H arley Rasmussen H enry Ross B A Y F IE L D F ir s t N a tio n a l B a n k B E L L E V IL L E Roy H. Okerstrom, Pres. J. R. Sayles, Vice Pres. J. R. Sayles, Cash. Agnes M. Nelson, A. Cash. D irecto rs: Roy H. Okerstrom J. R. Sayles H. J. Wachsmuth J. P. O’Malley J. F. Hauser C it i z e n s S t a t e B a n k BEAVER DAM A m e r ic a n N a tio n a l Bank M. A. Jacobs, Pres. J. W. Miller, Vice Pres. A. J. Zander, Vice Pres A. G. Miller, Cash. E. H. Jacobs, A. Cash. D irecto rs: M. A. Jacobs J. W. Miller A. J. Zander A. G. M iller IT. R. Huth C. R. Yaum an W. C. Dickinson .T. T. Lyle, Pres. D. J. Holm, Vice Pres. O. B. Ace, Vice Pres. C. O. Scott, Cash. Linus J. Doyle, A. Cash. Directors: J. T. L yle D. J. Holm O. B. Ace Joseph B reuling O. A. Scott T. A. Gaffney G. A. Lehnherr Fred Schrepfer R. F. C lark B E L O IT B e lo i t S a v i n g s B a n k J. C. Teague, Pres. G. A. Dowd, Vice Pres. R olf Rosman, Vice Pres. E. M. Van Lone, Treas., Cash. P. L. F rederick, Sec’y., A. Cash. REPORT OF THE COMMISSIONER OF BANKING Trustees: J. C. Teague E. M. Van Lone P. L. Frederick G. A. Dowd R olf Rosman Wm. Blazer M. A. Bredesen F. E. Calland Geo. B. Ingersoll Dana Peet R. W. Schellenger E. G. Smith B E R L IN F ir s t N a t io n a l B a n k W. N. Craw ford, Pres. J. M. O’Connell, Vice Pres. J. H. Pickert, Cash. R. G. Lannin, A. Cash. A. R. Schwantes, A. Cash. D irecto rs: W. N. Crawford S. B. Stedman W. A. Grota J. M. O’Connell F. W. W right J. H. Pickert B E L O IT T h e B e lo i t S t a t e B a n k B IG FALLS H. A. von Oven, Pres. B ig F a lls S ta te B a n k R. K. R ockw ell, Vice Pres. Henry Behrent, Pres. A. R. Dahms, Vice Pres. E. E. Carr, Vice Pres. W. J. Baker, Vice Pres. L. C. Arndt, Cash. C. S. Renier, Cash. E. A. Leffingwell, T rust Off. Directors: A. G. Arndt. G. F. Franz, A. Cash. Henry Behrent J. H. Hayes, A. Cash. E. E. Carr A. B. Adams, A. Cash. L. C. Arndt D irectors : Edwin Chapin H. A. von Oven R. K. Rockw ell A. R. Dahms B IR C H Y V O O D W. J. B aker C it i z e n s S t a t e B a n k H. C. Freeman Jos. W DeKeyser. Pres. R. E. Freeman E. S. W ells, Vice Pres. F. A. Meech M. R. Newherg, Cash. E. H. Neese D irectors: Jos. W. D eK eyser B E L O IT E. S. W ells Henry K napm iller T h e S e co n d N a t io n a l B a n k N. F. Catman B. P. Eldred, Pres. L. H. DeLong T K . Munn. Vice Pres. B. P. Eldred, Jr., Vice Pres. B IR N A M W O O D R ussell V. Mason, Cash. Directors: T h e B a n k o f B ir n a m w o o d B. P. Eldred A. M. Duescher, Pres. B. P. Eldred, Jr. Wm. Beversdorf, Vice Pres L. W. M iller John Perrar, Cash. G. F. Moran J. B. Rundhammer, A. Cash L. K. Munn D irectors: A. M. Duescher Wm. Beversdorf BENTON John Perrar T h e B en to n S ta te B a n k John KruH J. A. W inskell, Pres. Jos. Rundhammer R. E. W ilkinson, Vice Pres. E. H. Julius J. G. Beck, Vice Pres. H. C. Boettcher R. A. Coulthard, Vice Pres. B ert K etter, Cash. BLACK CREEK P. J. Latham, A. Cash. D irectors: B a n k o f B la c k C r e e k J. A. W in skell B. J. Zuehlke, Pres. R. E. W ilkinson Peter Ryser, Vice Pres. J. G. Beck G. H. Peters, Cash. R. A. Coulthard B. A. Rideout, A. Cash. P. J. Latham Directors: J. W. G rotkin B. J. Zuehlke T. W. W ilkinson Peter R yser G. H. Peters B E R L IN W. A. Strassburger M. A. Schuh T h e B e r lin S ta te B a n k Chas. Hagen C. T. Harding, Pres. C. M. Boettge, Vice Pres. BLACK EARTH George R. Peck, Cash. H arry J. K ujaw a, A. Cash. T h e B la c k E a r t h S ta te D irecto rs: B ank C. M. Boettge A. B. Thorsrud, Pres. E. G. Bunce Howard Sebert, V. Pres. F. C. Frisbie Olaf Hagene, Cash. C. T. H arding K enneth W. Voss, A. Cash. F. P Sonbie https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 245 D irectors: A. B. Thorsrud Howard Sebert James McCue Leonard Moe Jacob W. Ripp B. J. Stupfel Fred H. T urk B L A C K R IV E R F A L L S J a c k so n C o u n ty B a n k Jno. H. Mills, Pres. H. H. Richards, Vice Pres. R. E. Gile, Vice Pres. D. P. Hoffman, V. Pres. Warren H. Jones, Cash. L. McDirmid, A. Cash. A. W. H elwig, A. Cash. P. B. Mills, A. Cash. Lulu Thompson, A. Cash. Emma Brevig, A. Cash. Julia W right, A. Cash. J. R. Bolger, A. Cash. Directors: B. L. Van Gorden Jno. H. Mills H. H. Richards R. E. Gile D. P. Hoffman W arren H. Jones L. McDirmid A. W. H elw ig E. S. Jedney B L A IR U n io n B a n k o f B l a i r Thomas Mattison, Pres. Chas. J. Gibson, Vice Pres. Wm. H. Melby, Cash. Robert G ilfillan, A. Cash. Directors: Thomas Mattison Chas. J. Gibson Anton O. Melby H. E. Stumpf Ole J. Eggum V ictor A. Thompson B. L. Van Gordon B L A N C H A R D V IL L E F ir s t N a tio n a l B a n k M. F. Stuessy, Pres. (Deceased) Harold Ostrum, Vice Pres. Harold Ostrum. Cash Curtis R. Ingw ell, A. Cash. D irecto rs: L ester Martin E. Gabriel P erry Jackson Harold Ostrum (M. F. S t u e s s y D e ceased) Vacancy un filled until A n n u a l Meeting. BLOOM ER P e o p le s S ta te B a n k J. A. Morrison, Pres. G. A. M arquardt, Vice Pres. M. M. Barlow, Cash. Christine Hassemer, A. Cash. E lsa Dallmann, A. Cash. D irecto rs: W E. B erg O. E. Hanson 246 REPORT OF THE COMMISSIONER OF BANKING Directors— continued E. L. Henderson G. A. Marquardt J. A. Morrison J. W. W erner M. M. Barlow B L O O M IN G T O N T h e B lo o m in g t o n S ta te B ank Oscar Knapp, Pres. Henry W alz, Vice Pres. V ialis P. W alz, Cash. E. H. Sprague, A. Cash. D irecto rs: Henry E. W alz Oscar Knapp P. B. Porter Ora Hatch A. J. Hamer B L O O M IN G T O N T h e W ood h ou se & B a r t le y B ank L. P. B artley, Pres. J. P. Martin, Vice Pres. P. L. B artley, Cash. J. T. Garner, A. Cash. Directors: .T. P. Martin P. L. B artley .1. T. Garner L. P. B artley B L U E R IV E R B lu e R i v e r S t a t e B a n k J. Robert Coumbe, Pres. A. C. Godager, V. Pres. J. Hobt. Coumoe, Jr., Cash. A. C. Godager, A. Cash. D irectors: J. Robert Coumbe W. R. Coumbe W. H. Dooley A. C. Godager J. Robert Coumbe, Jr. BONDUEL B o n d u el S ta te B a n k Fred Freim uth, Pres. R. J. Woldt, Vice Pres. C. A. Teschke, Cash. H. W. Sohr, A. Cash. D irecto rs: Fred Freim uth R. J. Woldt C. A. Teschke W alter C. Bleick Robert Specht A lw in W. K allies John W estphal BOSCOBEL B o seoh cl S ta te B a n k C. W. Menkhausen, Pres C. S. Hayman, Vice Pres. John P. Ruka, Cash. R. J. Morrison, Jr., A. Cash. H. L. Blake, A. Cash. D irecto rs: C. W. Menkhausen C. S. Hayman John P. Ruka Robt. J. Morrison, Jr. T E. Barnett Maud B. Kronshage https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis B O Y C E V IL L E B a n k o f B o y c e v ille W. Zabel, Pres. Wm. Schlough, Vice Pres. Chas. H. Zabel, Cash. L illian Retz, A. Cash. A. C. Hewitt, A. Cash. D irectors: W. R. Zabel Chas. H. Zabel C. W. Hayes Wm Schlougti A. C. H ew itt BO Y U S ta te B a n k o f B oyd George Lotz, Pres. W. A. Kleiner, Vice Pres. Jno. W. Meyer, Cash. Carl Luebstorf, A. Cash. D irectors: George Lotz W. A. K leiner Jno. W. Meyer Jake E slinger A lbert G. Keehn Ed. J. H ofkes L. M. E slinger BRANDON T h e F o ste r B a n k J. W. Foster, Pres. E. F. Foster, Vice Pres. F. R. Schwandt, Cash. G. W. Schwandt, A. Cash. D irectors: J. W. Foster E. F. F oster G. F. Mengel F. R. Schwandt G. W. Schwandt B R IL L B r ill S t a t e B a n k B. J. H erricks, Pres. Ralph Hugdahl, Vice Pres. B. C. Leonard, Cash. D irectors: B. J. H erricks Ralph Hugdahl B. C. Leonard F ran k J. H avelka C. J. W estby B R IL L IO N C a lu m e t C o u n t y B a n k Henry Becker, Pres. Chas. Nass, 2nd Vice Pres. A. C. Schroeder, 1st Vice Pres, and Cash. Jos. W. Binsfeld, A. Cash. D irectors: Henry Becker A. C. Schroeder Chas. Nass A lvin C. W olfm eyer Otto Piepenburg Henry C. Horn Jos. W. Binsfeld B R IL L IO N F a rm ers and B ank M e rch a n ts A. F. Paustian, Pres. Hugo Muehlbach, V- Pres. George E. Dawson, Cash. Clemens P. Wolf, A. Cash, D irectors: A. F. Paustian Hugo Muehlbach George E. Dawson A. B. Haese Kosm as Miller W illiam Abel Charles F. P ritzl BRODHEAD B a n k o f B rodh ead C. J. Coldren, Pres. B. J. Gardner, Vice Pres. D. L. Amerpohl, Vice Pres. G. E. Broughton, Cash. H. V. Hartman, A. Cash. Directors: Roy K. Stephens B. J. Gardner S. J. Stair C. J. Coldren D. L. Amerpohl Leo Scheberle M. J. Condon G. E. Broughton BRODHEAD G reen C o u n ty B a n k B. H. Roderick, Pres. J. B. Pierce, Vice Pres. Edw. H. Cole, Cash. G. N. Swartz, A. Cash. D irecto rs: B. H. Roderick J. B. Pierce Chas. Zuercher, Sr. Edw. H. Cole W. L. Stephenson J. C. Timm Chas. W. F leek H. C. Broughton E. J. Mitchell B R O O K F IE L D B r o o k f i e ld S t a t e B a n k R. T. A. Nixon, Pres. Julian Ries, Vice Pres. N. A. W hite, Cash. R ay Basting, A. Cash. D irecto rs: R. T. A. Nixon Julian Ries N. A. W hite A. B. Kehl Chas. W andsnider Chas. G rapengieser Geo. L illy (Deceased) BROOKLYN B r o o k ly n S ta te B a n k C. P. Morgan, Pres. F. H. Anderson, Vice Pres. P. A. W ackm an, Cash. D irecto rs: C. P. Morgan F. H. Anderson P. A. W ackm an E. E. Roberts Fred Chapin B R O W N S V IL L E B r o w n s v ille S ta te B a n k P. H. McCarty, Pres. C. F. Kuen, Vice Pres. Otto Ruedebusch, Cash. D, F. McCarty, A. Cash. 247 REPORT OF THE COMMISSIONER OF BANKING Directors: C. F. Kuen E. F. Lerch W. E. Bloohm R. G. Raymond P. H. M cCarty Hy. Rosenkranz Otto Ruedebusch BRUCE D a ir y la n d S ta te B a n k W. T. Doar, Pres. L. W. Ham, Vice Pres. W. C. Bender, Cash. E velyn R. A lvey, A. Cash. H. O. W hittem ore, A. Cash. H. B. Cox, A. Cash. C. T. Brastad, A. Cash. Directors: W. T. Doar L. W. Ham W. J. Peterson A. A. Veness O. J. F alg e H. H. Houdek H. B. Cox C. M. Sanford W. F. Dietlein BURNETT B u r n e tt S ta te R a n k A. F. Hammann, Pres. F. G. Schmidt, Vice Pres. H. H. Hilgendorf, Cash. H. G. Dehne, A. Cash. D irectors: A. F. Hammann F. G. Schmidt H. H. H ilgendorf F. E. Moul R. O. Woock W. A. Puls Mrs. F. B. Schwantz CADOTT C it i z e n s S t a t e B a n k John Dietrich, Pres. Louis Goetz, Vice Pres. Fred Goetz, Cash. E arl Liddell, A. Cash. W. J. Griffith, A. Cash. Directors : John Dietrich Louis Goetz I- red Goetz Ben Dietrich A. J. Dietzler H. P. Landry Paul Lotz C A M B R ID G E T h e I n te r n a tio n a l C a m b rid g e B ank E arl H. Munson, Pres. H arry C. May, Vice Pres. Oscar H. Severson, Cash. D irecto rs: E arl H. Munson H arry C. May Oscar H. Severson Emil Febock J. B. Turnbull CAM ERON B ank o f C am eron C. H. Museus, Pres. E. C. Schultz, Vice Pres. G. B. Peterson, Cash. S. H. K rantz, A. Cash. D irectors: C. H. Museus E. C. Schultz Guy Speirs M. M. Sargent W. W. Pieper C A M I* B E L L S P O R T T h e F ir s t S ta te B a n k F ran k J. Bauer, Pres. F. L. Scheid, Vice Pres. Simon Strachota, V. Pres. F. P. Thiel, Cash. C. Roy McCanna, Pres. S. J. Schlaefer, A. Cash, C A M B R I A S. M. Reinardy, Vice Pres. Directors: G. A. Uebele, Vice Pres. B a n k o f C a m b r ia F ran k J. Bauer Fred W. New, Cash. D. M. Rowlands, Pres. F. L. Scheid H. J. Heidermann, A. Cash. E. M. Rowlands, Vice Pres. Simon Strachota Directors: C. A. Scott, Cash. O. F. Guenther C. Roy McCanna R. L. Missell, A. Cash. John J. Terlinden S. M. Reinardy I. W. Rohde, A. Cash. Leo J. Uelmen John L. M cCarthy C. P. Schill D irectors: E. C. Johnson B. F. Dodge James H. Murphy D. M. Rowlands CANTON George A. H arper E. M. Rowlands G. A. Uebele F a r m e r s S ta te B a n k M. J. Rowlands W. G. Malcolm, Pres. C. A. Scott R. E. Malone, Vice Pres. B U R L IN G T O N Guy Stearns, Cash. T h e B u r lin g t o n N a tio n a l D irecto rs: C A M B R IA W. G. Malcolm B ank C a m b r ia S ta te B a n k R. E. Malone George W. W aller, Pres. H. F. Schemmel, Pres. Guy Stearns Wm. G. Rasch, Vice Pres. A. G. Hopkins, Vice Pres. Verne Marsh Uouis Rhodes, Vice Pres. O. I. Jones, Cash. Henry Manke H. A. Moussa, Cash. D. C. Roberts, A. Cash. H. C. W iger J. A. Mangold, A. Cash. A. L. Jones, A. Cash. A. O. W hite D irecto rs: Directors : W'm. G. Rasch H. F. Schemmel C A R O L IN E Louis Rhodes O. I. Jones H. J. Runkel C a r o l in e S t a t e B a n k Wm. E. W illiam s Joseph Toelle F. R. Buss, Pres. A. G. Hopkins George W. W aller C. O. Felts, Vice Pres. J. E. Roberts Wm. S. Wilson W. A. H erzfeldt. Cash. F. F. Scharf H. A. Moussa H. C. Kloth, A. Cash. D. C. Roberts Directors : F. R. Buss B U R L IN G T O N C. O. F elts C A M B R ID G E M e i n h a r ilt B a n k E. W. F ra ilin g B a n k o f C a m b r id g e W. A. H erzfeldt A. Meinhardt, Pres. A. R. Amundson, Pres R. A. Jantz S. L. Dudley, Vice Pres. John W. Porter, Vice Pres. Eda Meinhardt, Cash. Ray D. Spiegelhoff, A. Cash. A. E. Melster, Cash. CASCADE Directors: Directors: S ta te B a n k o f C a sca d e A. R. Amundson A. Meinhardt L. A. Moll, Pres. John W. Porter S. L. Dudley F ran k Pietsch, Vice Pres. A. E. Melster Eda Meinhardt Ralph Kohlman, Cash. K a rl K. Amundson Ray D. Spiegelhoff E lfrida Timm, A. Cash. Chris Legreid A. M. Fuiton B U R L IN G T O N B a n k o f B u r lin g t o n https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis of 248 REPORT OF THE COMMISSIONER OF BANKING Directors: L. A. Moll F ran k Pietsch Ralph Kohlman John Meilahn John Melius Leo B. Gill CASCO B a n k o f C asco H. J. Noel, Pres. Thos. Drury, Vice Pres. Lee W. Metzner, Cash. D irecto rs: D. J. Burke H. A. D vorak CASH TON B a n k o f C a sh to n Wm. P. Marx, Pres. P. E. Mitby, Vice Pres. H. E. Strand, Cash. P. J. Hegge, A. Cash. D irecto rs: Fred Degenhardt L. A. Hansen O. R. Lee Wm. P. Marx P. E. Mitby Jacob Seitz L. O. Thorson CASS V IL L E B a d g e r S ta te B a n k K. L. Kieinpell, Pres. Fred C. Mink, Vice Pres. H. C1. Schweppe, Cash. Noah Brinkm ann, A. Cash. D irecto rs: K. L. K ieinpell Fred C. Mink Louie Klein Chris Breuer Fred Clauer F. E. Blackbourn A. T. Finney CATAW BA T h e C a ta w b a S ta te B a n k F. A. Schubel, Chr. Board F. W. G arluck, Pres. F. A. Schubel, Vice Pres. Frances S. Gruber, Cash. Directors: F. A. Schubel F. W. G erluck F ran k A yres Louis W eyers CATO The F arm ers S ta te B a n k Jos. H. Brennan, Pres. A. H. H uinker, V. Pres. Edw ard J. Kirch, Cash. D irectors: Jos. Reitm eyer P. J. Scanlan Jos. Zahorik John A. P ritzl John M. Haas Ferd. Lem berger Blase Riederer https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis C A Z E N O V IA S t a t e B a n k o f C a z c n o v ia John W alsh, Pres. E. A. Lee, Vice Pres. E. L. Collins, Cash. Beatrice M. Kredl, A. Cash. O. P. Olson, A. Cash. D irecto rs: John W alsh E. A. Lee P. N. Bauer F ran k Walsh E. L. Collins D irecto rs: Geo. J. Berger Edw ard Bonk R. C. Hugo A. C. K ingston John N. L an dgraf A. J. Pfeffer W. F. Schafer Jos. Schm idlkofer C H IL T O N S t a t e B a n k o f C h i lt o n L. P. Fox, Pres. A. B. Connell, Vice Pres. A. B. Connell, A. Cash. Directors: Herman Bocher, Pres. L. P. Fox E. C. Peterm an, Vice Pres. A. B. Connell O. H. Zahn, Cash. Cornelius Leahy Directors: Em il H. Schmidt Em il Schmidt J. J. Grimm, Jr. P. J. W inter J. L. Rollmann H enry E negl C H IP P E W A F A L L S C E C IL , S t a t e B a n k o f C e e il CEDARBURG C e d a rb u rg S ta te B a n k Theo. F. W ittenberg, Pres. E. H. Roth, Vice Pres. M. P. Becker, Vice Pres. P. J. W irth, Cash. D irectors: Theo. F. W ittenberg E. H. Roth P. J. W irth John F. Nieman W. H. W iesler John B lank O. J. Hurth C E K T U R IA S ta te B a n k o f C e n tn r in W. T. Doar, Pres. R. A. Peabody, Vice Pres. Oscar W. Peterson, Cash. Joe L. Rogers, A. Cash. D irectors: W. T. Doar R. A. Peabody Oscar W. Peterson John Peterson C. P. Peterson CHASEBURG C h a se b u rg S ta te B a n k Wm. H. Remer, Pres. Herman Schroeder, V. P. J. W. Lowe, Cash. Sam Johnson, A. Cash. A lvin O. Dummer, A. Cash. Directors: Wm. H. Remer Herman Schroeder Robert Lam prich Otto Schock J. W. Lowe C H IL T O N T h e C o m m e r c ia l B a n k R. C. Hugo, Pres. A. C. Kingston, Vice Pres. John N. Jaeckels, Cash. Irm a E. Sontag, A, Cash. T h e F i r s t N a tio n a l B a n k o f C h ip p e w a F a ll s Orrin H. Larrabee, Pres. Chas. H. Liehe, Vice Pres. G. O. Thorpe, Cash. L. J. Larson, A. Cash. Norman Deuel, A. Cash. D irecto rs: Chas. Henneman Chas. H. Liehe Orrin H. Larrabee A rthur A. McLeod John J. Phalen G. O. Thorpe A lexander W iley C H IP P E W A F A L L S L u m b e r m e n ’s N a tio n a l Bank A. A. McDonell, Pres. W. T. Sullivan, Vice Pres. F. G. Martin, Cash. T. W. Jennings, A. Cash. V. H. Johnson, A. Cash. Directors : C. A. Mandelert F. G. Martin A. A. McDonell J. D. McRae J. B. Piotrow ski W. T. Sullivan C H IP P E W A FALLS N o rth w e ste rn S ta te B a n k Otto C. Dettloff, Pres. C. E. Rinehard, Vice Pres. A. W. L an gill, Cash. R. P. Bartz, A. Cash. R. B. Hanson, A. Cash. D irecto rs: Otto C. Dettloff Clarence E. Rinehard H. V. B artlett N. A. Anderson John F. K e lly C. E. Stiles O liver F. Trueblood John Zecherle A. W. L an gill REPORT OF THE COMMISSIONER OF BANKING Max Stieg, Cash. W. H. Shultz, A. Cash. John Buehrens, A. Cash. A. N. Damon, Pres. E Voelz, A. Cash. Otto Mesenbring, Vice Pres. Ddgar irectors: N. C. Eklund, Cash. Chas. Bohn D irecto rs: J. A. Perkins W. G. Paulson H. A. Rindt A lice Damon W. J. K ru eger W alter Glowe Henry K n itt Richard Schoepke CLEAR LAK E Geo. J. Long CLAYTON C itize n s S ta te B a n k B a n k o f C lea r L a k e A. N. Nelson, Pres. G. A. Sandberg, Vice Pres. A. E. Reed, Vice Pres. O. E. Linderson, Cash. E. G. Hallen, A. Cash. D irecto rs: A. N. Nelson G. A. Sandberg A. E. Reed O. E. Linderson H. M. T raiser W. T. Doar CLEVELAND C lev e la n d S ta te B a n k John Lorfeld, Pres. Jos. Stein, Vice Pres. C. E. W itte, Cash. H. J. Lorfeld, A. Cash. D irecto rs: John Lorfeld Jos. Stein Wm. Kammann Oscar Schmidt Bruno Zill C. F. Ileckm ann Charles Lorfeld C L IN T O N C itize n s S ta te B a n k Ed. Hahn, Pres. Jesse DeLong, Vice Pres. A. A. W agner, Cash. M. C. Broaden, A. Cash. Frances Conley, A. Cash. D irecto rs: Ed. Hahn Jesse DeLong A. J. Jenson Geo. H. Graves L. A. Shattuck W. H. Cheesman A. V. Peters C L IN T O N V IL L E T h e C lin to n v ille N a tio n a l Bank R. H. Schmidt, Pres. D. J. Flanagan, Vice Pres. W. T. Luedke, Cash. C. J. Laux, A. Cash. D irectors: C. W. Binder D. J. F lanagan R. H. Schmidt Rudolph Schmiedeke H attie Schroeder A lbert V ollbrecht C L IN T O N V IL L E D a ir y m a n ’s S ta te B a n k Chas. Bohn, Pres, J. A. Perkins, Vice Pres. H. A. Rindt, Vice Pres. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis CLYM AN F a n n e r s S ta te B a n k H. J. Stueber, Pres. Chas. Weber, Vice Pres. W. H. Kuenzi, Cash. S. M. Kuenzi, A. Cash. D irectors: H. J. Stueber Chas. W eber W. H. Kuenzi S. M. Kuenzi F. K la tt COBB Cobb State B a n k O. Knudson, Pres. H. C. Nagel, Vice Pres. A. F. Kram er, Cash. D irecto rs: O. Knudson A. E. Thomas Fred Novak Phil Novak H . G. Nagel C. W. Schuelke A. P. Kram er C O C H ltA .Y E F a rm e rs »& M e rc h a n ts B ank John Meili, Pres. II. <). Stein, Vice Pres. A. W. Hofer, Cash. John R. Meili, A. Cash. R. A. G uettinger, A. Cash. D irectors: John Meili H. O. Stein A. W. Hofer Della Gilberg A. E. G uettinger COLBY C o lb y S ta te B a n k K. Andrews, Pres. J. F. Steinwand, Vice Pres R. G Salter. Cash. M. J. Tennis, A. Cash. D irectors: K. Andrews J. F. Steinwand Paul A. Waech H. H. Christofferson R. G. Salter COLBY S e cu rity S ta te B n nk A. M. Steinwand, Pres. Ed. Brehm, Sr., Vice Pres. A rthur R. Hemmy, Cash. Herb. Steinwand, A. Cash. 249 D irecto rs: A. M. Steinwand Paul F irn stahl George J. Ley E. A. Fleischauer Ed. Brehm, Sr. Louis F. Frome Edwin Zillmann Arthur R. Hemmy COLEM AN C o le m a n S ta te B a n k Chas. A. Wunderlich, Pres. F. Rose, Vice Pres. E. F. Pelkey, Cash. E. B. Thibodeau, A. Cash. D irecto rs: Chas. A. W underlich F. Rose E. F. P elkey E. B. Thibodeau P. Burschinger COLFAX P eop les S ta te B a n k G. J. Johnson, Pres. W. E. Van Brunt, Vice Pres. C. L. Christensen, Cash. Leon Dunbar, A. Cash. D irectors: G. J. Johnson W. E. Van Brunt C. L. Christensen Sam K. Iverson George De Laitsch J. S. Klund CO L L IN S C o llin s S ta te B a n k L. T. Voigt, Pres. A u gu st Born, Vice Pres. A. G. W endorf, Cash. Ella Born, A. Cash. Directors: L. T. V o igt A u gu st Born H enry Schmahl H. A. Schulz H. A. Olm J. A. H ecker Elmer T. V o igt COLOM A Colom n S ta te B a n k H. F. Bartz. Pres. A. J. Uher, Vice Pres. Wm. W ichner, Vice Pres. Alan A. Gibbs, Cash. D irecto rs: H. F. Bartz A. J. Uher Wm. W ichner Alan A. Gibbs D. H. Koplein COLOM A T h e P e o p le ’s B a n k Darwin F ollett, Pres. S. C. Runnels, Vice Pres. Roy Drew, Cash. W. B. Roblier, A. Cash. D irecto rs: V ilas F ollett Darw in F o llett S. C. Runnels Roy Drew W. B. Roblier 250 REPORT OF THE COMMISSIONER OF BANKING COLUM BUS F a r m e r s & M e rc h a n ts U n ion B a n k W. Li. F ritz, Pres. W. P. M ulligan, Ex. Mgr. T. B. Thomas, Cash. D irecto rs: W. L. F ritz C. S. W alker A. H. Proctor Law rence Holsten COLUM BUS F ir s t N a tio n a l B a n k F. A. Chadbourn, Pres. Wm. Mair, Vice Pres. F. G. Holtz, Vice Pres. C. A. Miller, Cash. H. J. Koch, A. Cash. D irecto rs: F. A. Chadbourn Wm. Mair F. G. H oltz C. A. Miller O. J. Albrecht It. C. Chadbourn D irecto rs: Henry M. Zander F ran k J. Saeman E n gelbert Boehnen Ambrose V. Bronner Monroe L. Tubbs C U B A C IT Y C uba C ity S ta te B a n k W. H. Thomas, Pres. L. W. Porter, Vice Pres. G. T. Calvert, Vice Pres. W. G. VVimmer, Cash. Bertha Heitkam p, A. Cash Ed Schmieder, A. Cash. D irectors: W. H. Thomas D. W. Porter G. T. Calvert George F. Heil Nick Simon C U R T IS S C u rtiss S ta te B a n k H. H. Christofferson, Pres. F. W. Laabs, Vice Pres. A. M. Erickson, Cash. D irecto rs: F ran k K rau t John T. M iller Then. Thompson R. G. Salter H. H. Christofferson F. W. Laabs A. M. Erickson DALE F a r m e r s & M e rc h a n ts B a n k A. F. Zuehlke, Pres. Fred Kaufm an, Vice Pres. H. A. Steinberg, Cash. E. P. Sherburne, A. Cash. N. O. Helterhoff, A. Cash. E. W. Kuether, A. Cash. D irectors: CUDAHY A. F. Zuehlke Fred K aufm an C u d ah y M u tu a l S a v in g s M. A. Schuh Bank John H. Leppla Chas. O’Hara, Pres. John M. Schmit COON V A L L E Y Richard Schoenborn, V. P. E. W. Breyer L. J. Huebler, Jr., Sec’y T h e Coon V a lle y State B. J. Zuehlke E. F. Law ler, Treas. A. H. K rugm eier Bank A. E. Cadwell, A. Sec’y & George M. Lonkey T. J. Moilien, Pres. I. E. Bauer A. Treas. F ran k Schaper, Vice Pres. Trustees: J. M. Yankee I. N. Knutson, Vice Pres. A. E. C'adwell & Cash. W. L. O’Dell C. O. Veldey, A. Cash. Richard Schoenborn DALLAS D irecto rs: J. K. Stark B a n k o f D a lla s T. J. Moilien M. E. Griem Axel Jorstad, Pres. F rank Schaper Ed. Raasch Gust W introne. Vice Pres. I. N. Knutson H. F. Adlam P. V. Nicklow, Vice Pres. K. T. Dindevig Michael K osciesza C. L. Oman, Cash. A. G. Chapiew sky Chas. O’H ara P. E. W interwerber, A. C. J. C. Hecker D irecto rs: J. L. Crittenden COTTAGE GROVE A xel Jorstad Richard L ang C o tta g e G ro v e S ta te B a n k C. L. Oman E. F. L aw ler John Schultz, Pres. Gust W introne W. J. Wambac.h C. H. Struckm eyer, V. Pres. A lbert Borgen L. J. Huebler, Jr. ¿ rank Pyburn, Cash. P. V. N icklow H. R. Gruenwald L. R. Shaffer, A. Cash. D irecto rs: John Schultz D A R IE N C U D A I IY C. H. Struckm eyer T h e F a r m e r s S tate B a n k C u d ah y S ta te B a n k F ran k Pyburn R. S. Young, Pres. Chas. A. Nicolaus, Pres. Geo. M itchell B. J. B lakely, Vice Pres. Otto Frank. Vice Pres. Lester Galvin W alter Larson, Cash. R. M. Rosenheimer, Cash. I. J. W itte D irecto rs: Laura E. Roth, A. Cash. M. E. Brinkhoff R. S. Young D irecto rs: B. J. B lakely Chas. A. Nicolau? CRANDON Henry Frank Otto Frank C ran d on N a tio n a l B a n k H. A. Dodge Herman Prange A. C. Luthey, Pres. F loyd H. Young R ussell D. L. W irth P. D. Flanner, Vice Pres Ralph M. Rosenheimer P. M. Smith, Cash. D A R L IN G T O N A lthea Thompson, A. Cash. CUM BERLAND D irectors: C itize n s N a tio n a l B a n k A. C. Luthey N o r th w e ste r n S ta te B a n k N. W. Bower, Pres. G. M. L uthey B. B. McGreane, Vice Pres. G. A. Grinde, Pres. F. H. Himes Geo. W. Martin, Cash. Charles Renstrom, V. Pres. A. W. Schmutzer L. H. W ilson, A. Cash. A. J. Quinn, Cash. P. M. Smith D irecto rs: E arnest W ick, A. Cash. N. W. Bower D irecto rs: CR OSS P L A IN S B. B. McGreane G. A. Grinde S tate B a n k o f C ross P la in s F. E. W est Chas. Renstrom J. L. McGrath Henry M. Zander, Pres. A. J. Quinn D. K. Schreiter F rank J. Saeman, Vice Pres Peter Knutson Geo. W. Martin Monroe L. Tubbs, Cash. S. O. Lund J. F. Collins John A. Baer, A. Cash. E arl L. RisJjerg https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis REPORT OF THE COMMISSIONER OF BANKING D A R L IN G T O N F ir s t N a tio n a l B a n k at D a r lin g to n H. O. Shockley, Pres. H. H. Lane, Vice Pres. Louis K n ellw o lf, Cash. Ernest Ruf, A. Cash. D irectors: H. O. Shockley H. H. Lane Edw ard Bell C. H. Barlow C. F. McDaniel F ran k Parson DELAVAN W is c o n s in S tate B a n k D E SOTO De Soto S ta te B a n k F. G. Tanck, Pres. I. B. Davies, Vice Pres. W. G. Doherty, Cash. D irectors: F. G. Tanck I. B. Davies W. G. Doherty H. S. Bowers A. A. Fenn A. S. Ryan A. R. ¡Stewart A. J. Broadhead, Pres. M. Steenberg, Vice Pres. J. C. Gillespie, Cash. J. A. Howarth, A. Cash. Directors : A. J. Broadhead M. Steenberg W. T. W hite John Y ttri Geo. Broadhead DENM ARK D E E R F IE L D B a n k o f D eerfield M. Mickelson, Pres. Chas. Schleuter, Vice Pres. Louis P. Hoyum, Vice Pres. Louie O. Neperud, Cash. 1V1. E. Legreid, A. Cash. D irecto rs: M. Mickelson Irvin T. Olson Chas. Schleuter L. P. Hoyum Miner K nilans Severt A. Lee Roy Cruger DEER PARK S ta te B a n k o f D e e r P a r k Jno. Sakrison, Pres. W. E. W ebster, Vice Pres. M argaret Setter, Cash. L. S. Hinman, A. Cash. D irecto rs: W. E. W ebster Jno. Sakrison L. S. Hinman Henry E. Fouks Wm. B. W ebster B a d g e r S tate B a n k Albert Dufeck, Pres. Nic. Knutson, Vice Pres. A. A. Maurer, Cash. D irectors: A lbert Dufeck N'c Knutson A. A. Maurer A lbert Skornichka Edward Schuster H arry H. Hansen Chas. Skornichka DENM ARK D e n m a rk S ta te B a n k Geo. G. DeBroux. Pres Jos. F. Konop, Vice Pres. Wm. J. Noel, Cash. Directors : Geo. G. DeBroux Jos. F. Konop Henry F. W ittig John O Jo-gensen A. P. Erickson F. H. K ellner Ed. Pelishek John Conrad Michael Scanlan DE P E R E B ank o f W e s t D e P ere Max L. Franc, Pres. E. J. McGeehan, Vice Pres .T. C. Stengel, Cash. W. L. Baeten, T eller O. J. Boehm. Pres. D irectors: A u gu st H. Junge, V. Pres. Max L. F ranc A. J. Mell, Vice Pres. E. J. McGeehan R. J. Kuhlm an, Cash. Emil Jacobsen M arguerite Moran, A. Cash. Leland A. W ells D. A. W ishart D irecto rs: Martin Albers E rick Esse John W illem s O. S. D aley W. H. Paulman Wm. W angerin DE PER E D eFO R E ST D e F o r e s t - M orrison v ille Bank S tate B a n k o f D e P ere DELAVAN C itize n s B a n k o f D e la v a n W. R. Topping, Pres. L. H. W illiam s, Vice Pres. & Cash. J. J. Kemmett, A. Cash. R. C. Besw ick, A. Cash. D irectors : W. R. Topping L. H. W illiam s J. J. Kem m ett W. F. Fernholz D. E. L aB ar J. J. Phoenix https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 251 DODGE F ir s t S ta te B a n k J. B. L iterski, Pres. Stanley Losinski, V. Pres. E. J. Altmann, Cash. Henry S. Brom, A. Cash. Directors: J. B. L iterski Stanley Losinski F ra n k J. Toshner Jos. J. K ulas Jos. Kram er J. F. Brom D O D G E V IL L E F ir s t N a tio n a l B a n k J. M. Reese, Pres. Edw. L. Reese, Vice Pres. P. J. Peterson, Cash. Directors: J. M. Reese Edw. L. Reese John I. Hahn H. R. Hymer D O D G E V IL L E S tro n g s B a n k T. M. Strong, Pres. H. C. Strong, Cash. Arthur Strong, A. Cash. Directors: T. M. Strong H. C. Strong A rthur Strong C. H. Cox E. O. H algrim D O RCH ESTER T h e D o r c h e s te r S ta te B a n k F. V. Hiebsch, Pres. H. Marquardt, Vice Pres. M. S. Sorenson, Cash. L. D. Sorenson, A. Cash. D irecto rs: H. Marquardt Martin Papesch Wm. Kuehl Dr. A. W. Schief E. G. Beisner M. F. L aw rie F. V. Hiebsch R C. French, Pres. Wm. Calnan, Vice Pres. Carl G. Scott, Cash. DO U SM AN C. H. Carlson, A. Cash. T. A. Jacobs, Branch Mgr. D o u sm a n S ta te B a n k L. J. Bischel, Pres. D irecto rs: F. E. Hill, Vice Pres. R. C. French Elmer G. Leon. Cash. Wm. Calnan Erna L. Schneider, A. Cash. R ay F. Zimdars Directors: F ran k Schumerth L. J. Bischel John A. K uypers W. R. Notbohm, M.D. C. A. Osen F. E. Hill Robert Ryan J. G. W illiam s John Jacobs Elm er G. Leon George Ford 252 REPORT OF THE COMMISSIONER OF BANKING Charles P. Maier, Cash. Paul B. Larsen, A. Cash. D irecto rs: P. H. B artlett, Pres. Edward B. Rohleder C. S. Bostw ick, Vice Pres. Charles P. Maier C. A. Christianson, A. Cash. Benita B. Henry D irectors: Rena D. Rohleder P. H. B artlett Ann Maier C. S. B ostw ick C. A. Christianson O. A. G lassow E A U C L A IR E Edw ard Girard DRUMMOND S ta te B a n k o f D ru m m o n d DURAND R a n k o f D u ra n d A. W. Crippin, Pres. H. P. Nicklas, Vice Pres. Chas. P. Bauer, Cash. J. E. Bauer, A. Cash. C. K. Brainard, A. Cash. D irectors: A. W. Crippin H. P. N icklas M. H. Carroll Wm. E. Thurston Joseph W eber Henry H artun g John W. H arris A m e ric a n N a tio n a l R a n k & T r u s t Co. R. J. Lew is, Pres. Ole Harstad, Vice Pres. W. A. K aiser, Vice Pres. E. M. Peterson, Cash. N. A. Schaaf, A. Cash. C. J. Danielson, A. Cash. D irecto rs: R. J. Lew is Ole H arstad W. A. K a iser E. M. Peterson E. W. K aiser R. J. Sullivan H. Geo. Peterson D irecto rs: A. W. Puchner C. C. DeLong E. W. P fran g O. G. Fehlhaber Wm. C. Seim EDGERTON T h e N a tio n a l B a n k o f E d g e r to n J. W. Menhall, Pres. Weetman Dickinson, V. P. H. M. Petersen, Cash. D irecto rs: A. McIntosh P. M. Ellingson J. W. Menhall Weetman Dickinson E. Z. Menhall EDGERTON T obacco E xch a n ge B ank Elm er T. Ebb.ott, Pres. P. L. K ellog g, Vice Pres. C. A. Hoen, Vice Pres. Wm. C. Buchholz, Cash. Directors: D. A. McCarthy, Chr. DURAND E A U C L A IR E J. H. Coon S e c u rity N a tio n a l R a n k Em il Dorow Union N a tio n a l R a n k John Brunner, Jr., Pres. Elm er T. Ebbott John Engeldinger, V. Pres. Geo. B. W heeler, Chr. John O. E llickson H. J. Engeldinger, V. Pres. Geo. C. Dreher, Pres. C. A. Hoen M. B. Syverson, V. Pres. G. C. Schiefelbein, Cash. P. L. K e llo g g Knute Anderson, Vice Pres. A. J. Oesterreicher, Lars O. Lein, Jr. Chas. A. Bugher, V. Pres. A t?Vi Martin H. Oberdeck J. W. Selbach, Cash. R. E. K eeler, A. Cash. P. E. Shearer B. G. W eizenegger, A. Cash D irecto rs: Clarence Kappers, A. Cash. John Brunner, Jr. ELCHO R. V. W ilcox, A. Cash. John Engeldinger S ta te B a n k o f E lc h o E. J. Oien, A. Cash. H. J. E n geldinger G. N. Sperstad, A. Cash. John P. Singer, Pres. John X. Bauer D irecto rs: Paul J. Dailey, Vice Pres. E. S. Pattison Knute Anderson Geo. H. Bauer, Cash. Anton W eiss Geo. L. Blum Directors: Chas. A. Bugher John P. Singer EAGLE Geo. C. Dreher Paul J. D ailey R a n k o f E a g le R osw ell H. Hobbs Julius Follstad H. M. Loibl, Pres. Ralph W. Hutchens Eugene Palm er F. Kloppenburg, V. Pres. Herman T. Lange Geo. H. Bauer L. H. Lins, Cash. Benedict R. Schwahn I. H. Engebretsen, A. Cash. W illiam L. Seyberth ELDORADO D irecto rs: Martin B. Syverson E ld o ra d o S tate B a n k H. M. Loibl Geo. B. W heeler J. H. Nolan, Pres. L. H. Lins Roy P. W ilcox P. K loppenburg Chas. Behrns, Vice Pres. A. J. Henning, Cash. H arry Smart C. A Kem nitz. A. Cash. E. B. Abendroth EDEN Lulu O’Shea, A. Cash. E d e n S ta te B a n k D irecto rs: E A G L E R IV E R H. A. Kaeding, Pres. J. H. Nolan F ir s t N a tio n a l B a n k G. H. Flood, Vice Pres. Chas. Behrns E. W. Ellis, Pres. John Hillebrand, Cash L. G. Sch w ertfeger A lex H iggins Vice Pres. A ubrey Kaeding, A. Cash. C. J. H enning D irectors: P ra n k A. H all, Vice Pres. A. J. Henning Geo. Esbensen, Cash. H. A. K aedin g G. H. Flood Thos. MacQuaker, A. Cash. ELKHART LAKE John Hillebrand C. A. Myers, A. Cash. B a n k o f E lk h a r t L a k e D irectors: Aubrey K aeding Robert Horneck, Pres. .T, P. Grahl E. W. E llis Dr. A. Loos, Vice Pres. P. O. B riggs A lex H iggins J. K. Johnson, Cash. Monroe Smith P ran k A. H all D irecto rs: Thos. M acQuaker Robert Horneck Geo. Esbensen Dr. A. Loos EDGAR Herbert Horneck EAST TROY R ank of E dgar V ictor .Teanty S ta te B a n k o f E a s t T r o y A. W. Puchner. Pres. Milton Jung Edw ard B. Rohleder, Pres. C. C. DeLong, Vice Pres. Jake Strub Charles P. Maier, V. Pres. Wm. C. Seim, Cash. A. J. Zorn https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis REPORT OF THE COMMISSIONER OF BANKING ELKHORN T h e F ir s t N a tio n a l B a n k o f E lk h o r n W. C. Norton, Pres. A. C. Desing, Vice Pres. George E. Hart, Cash. W. R. Opitz, A. Cash. Directors: W. C. Norton A. C. Desing Jas. L. H arris Wm. Opitz Geo. E. Potter E L I iH O R N S tate B a n k o f E lk h o r n Geo. Hutton, Pres. Ben Bachhuber, Vice Pres. K. P. Goodrich, Cash. W. H. Lean, A. Cash. Directors: Geo. Hutton Ben Bachhuber Geo. P. Peck A. T. Thorson W. H. Lean ELLSW ORTH B a n k o f E lls w o r th F. G. Magee, Pres. W. L. Oltman, Vice Pres. J. T. Beddall, Vice Pres. L. R. Cadwell, Cash. J. G. Hagestad, A. Cash. G. B Reed. A. Cash. James F. Hines, A. Cash. D irecto rs: F. G. Magee W. L. Oltman J. T. Beddall L. R. Cadw ell J. G. H agestad H. R. Huber S. E. Moen ELMW OOD F ir s t S tate B a n k O. W. Groot, Pres. J. A. Mulhollam, Vice Pres. F. A. Springer, Vice Pres. E. J. McKernon, Cash. F. J. Thompson, A. Cash. Paul Zeug, A. Cash. Directors : O. W. Groot. J. A. Mulhollam F. A. Springer E. J. McKernon Paul F eiler F. G. Holt L. E. W ild ELROY B a n k o f E lr o y Carl C. Vogel, Pres. R. E. Gibbens, Vice Pres. H. P. Davis, Cash. G. H. Stahler, A. Cash. D irectors: Carl C. V ogel R. E. Gibbens G. H. Stahler O. W. Neuman H. C. Rowan Ferd A. Steffen A lfred Zeise https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis EM BARRASS E m b a r r a s s S tate B a n k T. H. Buntrock, Pres. A lbert Korth, Vice Pres. Wm. Anton, Cash. Abner Anton, A. Cash. Directors: Julius Utke Chas. Fandrey A lbert Korth T. H. Buntrock Chas. Gehrt Emil Korth A rthur K oeller E T T R IC K E ttr ic k S tate B a n k H. F. Claussen, Pres. A. C. H agestad, Vice Pres. J. A. Kamprud, Cash. V. L. Thompson, A. Cash. Directors: H. F. Claussen Maurice Casey A. J. Brovold A. J. Ekern B. I. Enghagen A. C. H agestad L. K. Underheim E V A N S V IL L E F a rm e rs & S tate B a n k Leonard P. Eager, Pres. E. E. Denison, Vice Pres. F orrest T. Durner, Cash. Directors: Leonard P. E ager E. E. Denison F orrest T. Durner H. F. Brunsell E. H. Libby 253 F E N N IM O R E T h e F ir s t N a tio n a l B a n k in F e n n im o r e Geo. F. Frantz, Pres. John W. K reul, Vice Pres. A. R. Cotherman, Cash. A. K enneth Kern, A. Cash. Directors: Geo. F. F rantz John W. K reul A. R. Cotherman R. J. Campbell Ed. Heathcote Wm. G. Hudson F E R R Y V IL L E F e r r y v ille S tate B a n k Fred Copsey, Pres. Edw. Emerson, V. Pres. F. R. Garvey, Cash. Edna L. Emerson, A. Cash. Directors: Fred Copsey Edw. Emerson John Churness M. R. Munson P. N. Smith FLORENCE S tate B a n k o f F lo r e n c e E. W. Peterson, Pres. C. R. Tiderman, Vice Pres. R. C. Lindberg, Cash. D irectors: E. W. Peterson C. R. Tiderman O. G. Johnson Richard Peterson F. J. Law rence A rthur M. Sells FOND DU LAC F ir s t F o n d du L a c N a tio n a l B a n k Ernest J. Perry, Pres. C. J. Breitzm an, Vice Pres. E. A. Kenney, Cash. J. A. Pfeil, A. Cash. Chas. H otaling. A. Cash. W. H. F raw ley, Pres. J. W. Jagdgeld, A. Cash. J. O. Ziemann, Vice Pres. D irectors: C. W. Voechting, Cash. C. J. Breitzm an Gertrude Ziemann, A. Cash. T. L. Doyle Ralph H. Wise, A. Cash. C. L. Gloyd D irectors: E. D. Jones Henry Bruesew itz A lex Leonard W. H. F raw ley Ernest J. P erry C. W. V oechting M. E. W est Ralph H. W ise L. A. W illiam s J. O. Ziemann FALL CREEK T h e S tate B a n k o f F a ll C reek F A LL R IV E R R io —F a ll R iv e r U n ion B a n k C. A. W right, Pres. Joseph Steel, Vice Pres. C. C. Frederick, Cash. A. C. Brossard, A. Cash. Directors: C. A. W right Joseph Steel C. C. Frederick H. H. H u ggett Russell Moore Edith E n gleke E. J. Morrison E arl Henton P. F. Breen FOND DU LAC N a tio n a l E x c h a n g e B a n k John P. K alt, Pres. Wm. Mauthe, Vice Pres. F. H. Boyle, Vice Pres. W. A. Sanders, Cash. E. W. McKeough, A. Cash. D irectors: John P. K a lt Wm. Mauthe F. H. Boyle A. H. Lange J. E. McNeany H. E. Tw ohig H. H. Boyle Anton J. Loehr A. J. Pullen 254 REPORT OF THE COMMISSIONER OF BANKING F O O T V IL L E T h e F o o tv ille S ta te B a n k C. H. W hitmore, Pres. F. R. Low ry, Vice Pres. W. A. Canary, Cash. V. E. Houston, A. Cash. Directors : F ran k Bennett W. A. Canary Lloyd Dohs M. E hrlinger J. R. H arvey F. R. Low ry C. H. Whitmore F O R E S T J U N C T IO N F o r e s t J u n c tio n S tate Bank John Seybold, Pres. G. H. Schmitt, Vice Pres. Otto Schley, Cash. A nthony Schwabenlender, A. Cash. D irecto rs: John Seybold G. H. Schmitt Otto Schley M. P. W iechman John F. Otto W. R. Dwyer S. E. Jansch F O R E S T V IL L E S tate B a n k o f F o r e s tv ille H. J. Teske, Pres. W. H. Bastar, Vice Pres. W. H. Bastar, Cash. L. J. Gerondale, A. Cash. Directors: H. J. Teske W. H. B astar George Schmitz L. J. Gerondale Nestor Englebert M. S. T lachac F O R T A T K IN S O N C itize n s S ta te B a n k T. B. Royce, Pres. J. A. Caswell, Vice Pres. Edwin Hedberg, Cash. J. T. F arrell, A. Cash. D irectors: T. B. Royce Edwin Hedberg E. R. K la ssy M. C. Carpenter J. A. Caswell F O R T A T K IN S O N T h e F ir s t N a tio n a l B a n k J. F. Schreiner, Pres. A. R. Hoard, Vice Pres. L. B. Caswell, Jr., Cash. C. H. A spinw all, A. Cash. D irecto rs: J. F. Schreiner A. R. Hoard L. B. Caswell, Jr. C. H. A spinw all H. H. Curtis J. E. Mack C. B. Rogers https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis F O R T A T K IN S O N F o rt A tk in s o n S a v in g s Bank O. W. Donkle, Pres. C. Eugene Ward, V. Pres. G. E. Ward, Cash. L. R. Donkle, A. Cash. D irecto rs: O. W. Donkle C. Eugene Ward G. E. Ward L. R. Donkle O. T. Olson F. N. Sontag Thos. Tessin F O U N T A IN C IT Y F ir s t S ta te B a n k C. A. Kirchner, Pres. M. L. Fugina, Vice Pres. W. F. Bohri, Cash. J. A. Kirchner, A. Cash. D irectors: C. A. Kirchner M. L. F ugin a Edw. H. K irchner W. F. Bohri O. E. Florin FOX LAK E S tate B a n k o f F o x L a k e D. C. Church, Pres. H. F. Witthun, Vice Pres. G. F. Roberts, Cash. W. H. W itthun, A. Cash. D irectors: D. C. Church H. F. W itthun G. F. Roberts W. C. O’Connell John Hughes H. E. Adams J. W. H obkirk F R A N C IS C R E E K S tate B a n k o f F ra n c is C reek John Ewen, Pres. Jos. J. Gruber, Vice Pres. F. C. Baugniet, Cash. W. L. Ewen, A. Cash. D irectors: F. C. Baugniet A lbert Bleser John Ewen Jos. J. Gruber Robert Hessel Joseph Koehly A lbert Rezba W. H. Spencer James J. Zahorik F R A N K S V IL L E B a n k o f F r a n k s v ilie W. G. Shumway, Pres. L. C. Christensen, V. Pres. A. C. Haertel, Cash. M arshall E. Lee, A. Cash. D irecto rs: W. G. Shum way L. C. Christensen A. C. H aertel H. P. Gast Geo. T. G illett Herman Funk Thos. H. Skewes M. E. W alker F R E D E R IC F a r m e r s S tate B a n k C. W. V. Peterson, Pres. A. O. Dahlberg, Vice Pres. F. D. W itucki, Cash. Phem ia Holcomb, A. Cash. Directors: C. W. V. Peterson F. D. W itucki A. O. D ahlberg G. Robt. Grimh A. W. Blom gren F R E D O N IA S ta te B a n k o f F re d o n la E. L. Rosenheimer, Pres. Joseph W. Schmit, V. Pres. H. W. W itt, Cash. Wm. J. Neuens, A. Cash. D irectors: E. L. Rosenheimer Ralph M. Rosenheimer N. J. Paulus Joseph W. Schmit H. W. W itt FREEDOM F re e d o m S tate B a n k Ed. J. Murphy, Pres. Jos. W. Appleton, V. Pres H. J. Behling, Cash. D irecto rs: Ed. J. Murphy Jos. W. Appleton Jos. H. Geenen John Schommer E. J. McGeehan F R IE S L A N D F r ie s la n d S tate Bank E li Cupery, Pres. J. F. Burbach, Vice Pres. Rink Cupery, Cash. Merle Froelich, A. Cash. Directors: E li Cupery J. F. Burbach H. C. Sauer Fred Posthuma A lbert Froelich Dow G. Tillem a W illiam Tessmann G A L E S V IL L E B a n k o f G a le s v ille J. F. Cance, Pres. Leonard Larson, Vice Pres. J. A. Hammer, Cash. R. E. Mossberg, A. Cash. D irecto rs: J. F. Cance Leonard Larson Ben W. Davis F. A. K ellm an W. S. W adleigh J. A. Hammer H. A. Jegi G A Y S M IL L S B a n k o f G a y s M ills O. A. Sherwood, Pres. Ole Fortney, Vice Pres. G. T. Atwood, Vice Pres. H. H. Sherwood, Cash. L. L. Sherwood, A. Cash. REPORT OF THE COMMISSIONER OF BANKING D irecto rs: O. A. Sherwood G. T. Atwood C. H. Norwood Ole Fortney T. N. Nelson H. E. Roth H enry Munson G ENESEE DEPOT S ta te B a n k o f G en esee D epot Directors: J. A. H elf Jos. Plain A. A. Zippel James Sorensen A lbert Zenk G IL M A N S tate B a n k o f G ilm a n John Slota, Pres. B. W. Mayborne, V. Pres. V ictoria Slota, Cash. D irectors: H oward T. Greene, Pres. B. W. Mayborne A rthur Richards, Vice Pres. John Slota A rthur Richards, Cash. V ictoria Slota Newell Parker, A. Cash. H. W. O gurek Elm er F rank, A. Cash. John K apszukiew icz W alter Plass, A. Cash. Directors: Howard T. Greene G IL M A N T O N A rthur Richards G ilm a n to n S ta te B a n k J. G. Pronold C. D Loomis, Pres. L. F. Heintz Dr. A. D. Smith, Vice Pres. H. R. H urst Danford C. Loomis, Cash. A. D. W ilson Mabel C. Loomis, A. Cash. J. F. F ran k D irectors: C. D. Loomis Dr. A. D. Smith GENOA Danford C. Loomis G enoa S ta te B a n k Mabel C. Loomis A. Tulloch, Pres. W. G. Goodermote Aug. B. Zabolio, Vice Pres. Ferd Steiner G. C. Loefflad, Cash. D. A. Whelan G. M. Downey, A. Cash. Directors: GLEASON A. Tulloch Aug. B. Zabolio G leaso n S tate B a n k G. C. Loefflad Jacob G. Callsen, Pres. Fred Morelli Harry G. Doering. V. Pres. Tony Levi C. C. Millenbah, Cash. Edw ard L. Smith, A. Cash Directors: G E N O A C IT Y Jacob G. Callsen C itize n s S ta te B a n k H arry G. Doering C. C. Millenbah R. P. Guptill, Pres. Wm. D. Rice H. D. C. Bannister, Y. Pres. John Callsen H. O. Erickson, Cash. D irecto rs: L. O. Smith GLENBEULAH J. L. W illiam s T h e G le n b e u la h S ta te B a n k Max Miller R. P. Guptill R. B. Melvin, Pres. H. D. C. Bannister A. W. Stannard, Vice Pres. E. L. Arnold, Cash. Alma A. Arnold, A. Cash. GERM ANTOW N D irectors: T h e G e rm a n to w n S tate R. B. Melvin Bank A. W. Stannard E. L. Arnold Emma D uerrw aechter, Pres. T. H. T h ackray Geo. Diefenbach, V. Pres. F. A. Baumann Clarence E. Schramm, Cash. D irectors: Emma D uerrw aechter G L E N W O O D C IT Y George Diefenbach F ir s t S ta te B a n k o f Clarence E. Schramm G len w oo d Fred Van Rhienen Lena Gehl M. F. Baker, Pres. H enry Suelflow James Jensen, Vice Pres. Carl Schwartz H. L. Payne, Cash. Edw ard Gavic. A. Cash. Anna Legier, A. Cash. G IL LE T T Directors: G illett State Bank M. F. B aker James Jensen J. M. Ankerson, Pres. H. L. Payne N. O. Sorensen, Vice Pres. Edw ard G avic C. H. Ebenreiter, Cash. Jessie A. Beebe A. E. Hanstedt, A. Cash. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 255 GOODM AN C itiz e n s B a n k o f G oo d m an G. W. D’Amour, Pres. David W all, Vice Pres. G. H. Swope, Cash. Directors: G. W. D’Amour G. A. Houghton W. E. Hoyt F. A. Sinkula G. H. Swope David W all GRAFTON G r a fto n S ta te B a n k Louis L. Zaun, Pres. Wm. H. Hovener, Vice Pres. Robt. P. Zaun, Cash. Em ily Zaun, A. Cash. Directors: Otto K ohlw ey Anton Rausch Fred A. Scheer GRAND M ARSH G rand M a rsh S ta te B a n k L. Patrick, Pres. Friedrich Kloss, Vice Pres. H. O. Spindler, Cash. M. E. Spindler, A. Cash. Directors : L. P atrick Friedrich K loss John W agner O. C. Burgdorff H. O. Spindler GRANTSBURG F ir s t B a n k o f G r a n ts b u r g J. R. Cassel, Pres. V. E. H aw ley, Vice Pres. W alter Jensen, Cash. Directors: J. R, Cassel W alter Jensen V. E. H aw ley Byron Selves J. E. Spangberg G RANTSBURG T h e F ir s t N a tio n a l B a n k o f G r a n ts b u r g H. A. Anderson, Pres. J. A. Larson, Vice Pres. C. J. Fossum, Cash. A. V. Sandberg, A. Cash. Directors: H. A. Anderson J. A. Larson C. J. Fossum A. V. Sandberg C. M. Anderson G R A T IO T G ra tio t S ta te B a n k H. W. Burm eister, Pres. R. F. Burm eister, Vice Pres E. L. Geach, Cash. H. L. Geach, A. Cash. D irecto rs: H. W. Burm eister L. J. Burm eister R. F. Burm eister E. L. Geach H. L. Geach 256 REPORT OF THE COMMISSIONER OF BANKING GREEN BAY B a n k o f G reen B a y H. R. Erichsen, Pres. W. T. Hagen, Vice Pres. A lbert K aap, Cash. C. L. Cavil, A. Cash. P. VandenBusch, A. Cash. D irectors : H. R. Erichsen W. T. Hagen A lbert K aap W. L. Evans J. H. Servotte E. H. M anger Fred P. Cross A. B. Turnbull GREEN BAY The F arm ers E xch an ge Bank E. N. Murphy, Pres. J. V. Micksch, Sr., V. Pres. A. A. Reimer, Vice Pres. R. W. Smith, Cash S. M. Greiling, A. Cash. D irecto rs: E. N. Murphy J. V. Micksch, Sr. A. A. Reimer S. A. Johnson J. C. Basten Joseph Clusman R. W. Smith GREEN BAY K e l l o g g —C itize n s N at. B a n k John Rose, Pres. A. E. W inter, Vice Pres. F. O. Schuette, Cash. O. D. Stew art, A. Cash. A. N. Larsen, A. Cash. E. T. Berceau, A. Cash D irectors: John Rose A. E. W inter Nic Bur V. I. Minahan P. J. B. Duchateau W. E. Fairfield W. B. Gueinzius E arle M urray C. R. Phenicie GREEN BAY N o rth e rn T r u s t C o m p a n y o f W is c o n s in Robert L. Cowles, Pres. E. W. Lawton, Vice Pres. W. Thomas Hundley, Sec’y Directors: Robert L. Cowles E. W. Law ton Milton P. Smith W. H. B astar E. H. M anger O. W. Brightm an W. L. Evans GREEN BAY P e o p le s T r u s t <fr .Savings Bank Dr. J. R. Minahan, Pres. Leon Pindeisen, Vice Pres. R. T. Bennie, Cash. R. M. Tetzlaff, A. Cash. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis D irecto rs: Dr. J. R. Minahan Leon Pindeisen L. A lbert K arel C. R. Phenicie A. B. Turnbull R. C. Minahan J. M. Conway R. T. Bennie GREEN BAY T h e W e s t Si«le S ta te B a n k Directors: Adolph Schwarze Wm. C. Steiger Robt. Zetsche A. C. Buker H enry A we H enry V ollrath P. W. H untzicker GRESHAM S ta te B a n k Peter Platten, Pres. P. J. B. Duchateau, V. Pres. C. C. Marcott, Cash. E. M. Kreuser, A. Cash. D irectors: Peter Platten P. J. B. Duchateau W ill J. Platten A. VandenW ym elenberg John Rose Chas. Mathys C. C. Marcott E arl A. Stier, Pres. John Tischhauser, V. Pres. A. W. Schweppe, Cash. Directors: C. J. Ebert John Peters O. E. Morgan A. P. Ruhbusch R. O. K rebs L. S. Hoffman Ken T raeger John Tischhauser E arl A. Stier GREEN LAK E G reen L a k e S tate B a n k H ALES CORNERS S tate B a n k , H a ie s C o rn ers I. O. Sherwood, Pres. H arry Morris, Vice Pres. L. H. Burling, Cash. D irecto rs: I. O. Sherwood H arry Morris L. H. B urling W alter Smith Geo. E. Baldwin A. D. Carew GREENLEAP S ta te B a n k o f G re e n le a f L. P. Fox, Pres. P ran k P. P alck, Vice Pres. J. B. Platley, Cash. R. M. Prust, A. Cash. Directors : L. P. Pox Prank P. F alck R. M. Prust Jacob B rittnacher D. C. P la tley James E. C lark J. B. P la tley GREEN VALLEY S ta te B a n k o f G reen V a lle y W. H. Bocher, Pres. Mark Valentine, V !ce Pres John H. Kuehl, Cash. D irecto rs: W. H. Bocher Mark Valentine D. J. M cllree W. H. Jahnke Ernest Pautz Emil Birr F elix P aw elczyk GREENW OOD F a r m e r s & M e rc h a n t* Bank Adolph Schwarze, Pres. Wm. C. Steiger, Vice Pres. Robt. Zetsche, Vice Pres. A. C. Buker, Cash. I. W. Stafford, A. Cash. R. W. Holz, Pres. Henry Conrad, Vice Pres. Reuben Bartsch, Cash. Garland Strandt, A. Cash. D irectors: E. W. Bosch H enry Conrad Joseph Dineen W. A. Getzel Eim er J. Godsell Ernest C. Holz R. W. Holz A. P. Horn Charles M iller HAM M OND H a m m o n d S ta te B a n k P. E. H artw ig, Pres. H. B. Olsen, Vice Pres. P. L. Anderson, Cash. A. R. Shannon, A. Cash. D irecto rs: T. J. W ilford C. G. Staab H. B. Sandfort Ned E. Nelson J. E. Hanson Theo. Thorson P. E. H artw ig H. B. Olsen P. L. Anderson HANCOCK B ank o f H ancock M. S. W alker, Pres. M. E. W alker, Vice Pres. L. J. W alker, Cash. Directors: M. S. W alker M, E. W alker R. E. W alker R. P. W alker L. J. W alker HARTFORD F ir s t N a tio n a l B a n k A. J. Jordan, Pres. E. W. Sawyer, Vice Pres. J. A. Becker, Vice Pres. 257 REPORT OF THE COMMISSIONER OF BANKING R. W. Bailey, Cash. D irecto rs: H. L. Radke, A. Cash. A. C. Davis R. E. W interhalter, A. Cash. Mrs. H. J. Fecht D irectors: A rthur J. Fecht J. A. B ecker M agdalene M. Fecht A. J. Jordan O. P. K issel H IL B E R T W. B. Place J. H. Portz Stnte B a n k o f H ilb e r t E. W. Saw yer M. A. Schuh, Pres. A. V ogelsan g Anton Loehr, Vice Pres. F ran k E. Pieper, V. Pres. HARTFORD W alter Glowe, Cash. Oliver J. Madler, A. Cash. H a r tfo r d E x c h a n g e B a n k D irectors: E. T. Monroe, Pres. M. A. Schuh Henry H. Esser, Vice Pres. Anton Loehr F. S. Clausen, Cash. F ra n k E. Pieper J. F. Schaefer, A. Cash. L. F. Stark Directors: W. F. Christel E. T. Monroe N. E. Ziskind Henry H. Esser Joe Thiel F. S. Clausen E. O. Christenson A. A. Hauser H IL L S B O R O A. J. Portz F a rm e rs S tate B a n k J. G. Young H enry Z iegler R. Richards, Pres. Bert Hofm eister, Vice Pres B. P. H ealy, Cash. HARTLAND A. E. Shebeck, A. Cash. B a n k o f H a r tla n d Directors: H. G. B. Nixon, Pres. R. Richards Geo. J. F redrick, V. Pres. Bert H ofm eister F. W. Irish, Cash. Otto Zastrow J. G. Parker, A. Cash. Adolph L isker D irectors: W. O. Shear H. G. B. Nixon Fred W opat F. W. Irish Edw ard W olf Geo. J. F redrick D. A. K err C. H. W itten berg HOLM EN HAYW ARD T h e P e o p le s N a tio n a l B a n k Thomas McClaine, Pres. Li. S. Robbins, Vice Pres. Oscar Lindholm, Cash. Alvin Madson, A. Cash. D irectors Thomas McClaine L. S. Robbins A lvin M. Johnson F. R. Nash W alter J. Duffy A. R. Schmidt Wm. A lexander E. J. Collett Adolph W illiam s H E L E N V IL L E T h e B a n k o f H e lc n v llle H. W. Reul, Pres. A. C. Gruennert, V. Pres. Roy Muck, Cash. D irectors: H. W. Reul A u gu st C. Gruennert Roy Muck F. W. Boehm H. L. Bornheimer H IG H L A N D H ig h la n d S ta te B a n k B a n k o f H o lm e n John S. Coady, Pres. V. S. Keppel, Vice Pres. Harold Johnson, Cash. Even E. Solberg, A. Cash. D irectors: Julius O. B erg John S. Coady K. O. Gaarder Harold Johnson V. S. Keppel W alter Ofstedahl Martin Volla H O R IC O N H o ricon S ta te B a n k R. A. W ilcox, Chr. of Board Charles H aw ks, Pres. F. H. Clausen, Vice Pres. H. G. Diekelmann, Cash. E. E. Beyer, A. Cash. Directors: Russell A. W ilcox Charles H aw ks F. H. Clausen F ra n k Bodden H. G. Diekelmann HOW ARDS GROVE Stn te B a n k o f H o w a r d » G ro ve A. C. Davis, Pres. Mrs. H. J. Fecht, Vice Pres Wm. Eickhoff. Pres. A rthur J. Fecht, Cash. Louis W. Dreier, Vice Pres, John O. Boeldt, Cash. M agdalene M. Fecht, A. Cash. | A lfred Bitter, A. Cash. 17 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Directors: Wm. Eickhoff Louis W. Dreier John O. Boeldt A lfred B itter Cornelius Brass W alter F. Pfeiffer John M. Henning HUDSON T h e F ir s t N a tio n a l o f H u d so n Bank S. C. Phipps, Pres. E. H. Nagel, Vice Pres. Joseph Yoerg, Vice Pres. & Cash. John Dorwin, A. Cash. J. A. Johnson, A. Cash. C. E. Day, A. Cash. Directors: S. C. Phipps E. H. Nagel Joseph Y oerg L. H. A shley C. E. D ay E. A. H arding A. R. Schultz HURLEY Iron E x c h a n g e B a n k E. S. Hagen, Pres. M. F. Reid, Vice Pres. C. H. Sealy, Cash. M. V. Young, A. Cash. H. F. Davia, A. Cash. Directors: O. M. Schaus L. E. D ick J. C. K yle E. S. Hagen, Chr. of Bd. M. F. Reid C. H. Sealy H U S T IS F O R D H u s tis fo r d Stnte B a n k Roland R. Radloff, Pres. Joseph Gillich. Vice Pres. W. E. Kohn, Cash. W. E. Zilisch, A. Cash. Directors: Roland R. Radloff Joseph Gillich Aug. E. Roeseler E. E. Randall H. C. Ryder H USTLER H u s tle r —C am p D o u g in s Bank Chas. O. Cron, Pres. Edw ard Moe, Vice Pres. C. V. Fitch, Cash. M. C. Albertson, A. Cash. D irectors: Chas. O. Cron Edw ard Moe A T Pitel Chas. H. Seibold Elm er Von Haden Otto Steinbach L. H. Temte IN D E P E N D E N C E S ta te B a n k o f In d ep en d en ce Anton Senty, Pres. W alter E. Sprecher, V. P. Otto A. Sprecher, Cash. 258 REPORT OF THE COMMISSIONER OF BANKING D irecto rs: Anton Senty W alter E. Sprecher Otto A. Sprecher John F. K u lig John A. Markham R. C. W arner IO L A F ir s t S ta te B a n k n i lo ia S. M. Myhre, Pres. Gunder Bergen, Vice Pres. O. C. Leean, Cash. S. J. Leean, A. Cash. Directors: S. M. Myhre Gunder Bergen N. O. Bidney O. J. Aasen John S. Olson Adolph L istul A. G. W illiam s IR O N R ID G E C o m m e rc ia l S ta te B a n k Peter K loeckner, Pres. E. E. Schwandt, Vice Pres. J. M. Dusel, Cash. Melvin Ringle. A. Cash Martin McCollow, A. Cash. Directors: Peter K loeckn er E. E. Schwandt J. M. Dusel H. J. Cundy A u gu st Hildebrandt I X O N IA Ix o n ia S ta te B a n k E. G. K rueger, Pres. Alb. Jaeger, Vice Pres. H. E. Pugh, Vice Pres. Otto R. Buelter, Cash. D irectors : E. G. K ru eger Alb. Jaeger H. E. Pugh R. J. Schwefel H ubert Jaeger Harold Else John Degner JACKSON B a n k o f J a c k so n O. F. Hoge, Pres. C. A. Boesew etter, V. Pres. E. L. Rosenheimer, Cash. D irectors: O. F. Hoge C. A. B oesew etter George H. F ran k Ralph M. Rosenheimer E. L. Rosenheimer J A N E S V IL L E T h e F ir s t N a tio n a l B a n k o f J a n e sv ille H. S. H aggart, Pres. E. A. Kohler, Vice Pres. Wm. McCue, Cash. W. E. Hyzer, A. Cash. E. W. Litts, A. Cash. D irectors: H. S. L ovejoy N. L. Carle Wm. McCue https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Directors— continued J. A. C raig B. M. Palm er V. P. Richardson H. S. H a gg art C. A. M uggleton E. A. K ohler W. T. Sherer D irectors: George F. B ullw inkel C. Edw ard Copeland H. R. Fox Ern st Nass F. L. R itchie Carl J. Seifert Truman R. Spooner Lynn H. Smith J A N E S V IL L E M e rc h a n ts A Bank JEFFERSON T h e J e ffe rso n C o u n ty B a n k S a v in g s E. J. Haumerson, Pres. Geo. S. Parker, Vice Pres R. B. McRoberts, V. Pres. H. W. Allen, Cash. M. A. Hanson, A. Cash. Directors: E. J. Haumerson Geo. S. P arker D. W. Holmes M. O. Mouat A. Paul Owen A. H. Pember Wm. H. Ryan R. E. W isner P. J. E. Wood J A N E S V IL L E R o c k C o u n ty Bank N a tio n a l F. H. Jackman. Pres Thos. S. Nolan, V. Pres. J. M. Beck, Vice Pres. C. S. Jackman. Cash. E. T. Brown, A. Cash. T. C. Cullen, A. Cash. Directors: F. H. Jackm an Thos. S. Nolan J. M. Beck C. S. Jackman H. H. Bliss .T. L W ilcox W illiam M cVicar J A N E S V IL L E R o c k C o u n ty S a v in g s A T ru st Company F. H. Jackm an, Pres. J. M. Beck, Vice Pres. George DeBruin, Sec’y F. E. Connors, A. Sec’y Directors: F. H. Jackman J. M. Beck G eorge DeBruin E arl T Brown Wm. M cVicar J. H. M cVicar H. H. Bliss J. L. W ilcox Thos. S. Nolan C. S. Jackm an JEFFERSON T h e F a r m e r s & M e rc h a n ts B a n k o f J e ffe rso n Lynn H. Smith, Pres. C. E. Copeland, Vice Pres. H. R. Fox, Cash. W. S. Kispert. A. Cash. C. C. Frohm ader, A. Cash. Lucille Langer, A- Casjfi. W. S. Henry, Pres. Wm. C. Mayer, Vice Pres. Robert K. Henry, Cash. V. A. Beischel, A. Cash. Directors: L. J. Mistele Wm. C. Mayer Joseph Stoppenbach Benj. R. Schw eiger Irvin g J. Hibbard John A. Prust N. J. Braun A lfred W. Heilemann W. S. Henry JOHNSON C R E E K M n nsfleld s S ta te B a n k Fred C. Mansfield, Pres. C. L. Hubbs, Vice Pres. George O. W olf, Cash. Lester A. Haas, A. Cash. Directors: Fred C. Mansfield C. L. Hubbs George O. W olf L ester A. Haas Homer W. Henke JCDA T h e B a n k o f Juda John K ryder, Pres. J. S. Bradley, Vice Pres. C. O. Brunkow, Cash. Directors: J. H. Grenzow F. F. H artw ig A. B. H artw ick Judd D avis B. H. Roderick C. A. Newman F ra n k H. M iller J U N C T IO N C I T Y J u n c tio n S ta te B a n k Henry Martens. Pres. W. G. Berdan, Vice Pres. S. J. Sebora, Cash. L. J. Sebora, A. Cash. Directors: H enry Martens Dr. G. W. Reis Matt D. M arty Theodore Dim ka W. G. Berdan H. J. B ecker Jos. Prausa Theodore D ickrell JUNEAU C itiz e n s B a n k o f J u n e a u L. C. Pautsch, Pres. Paul A. Hemmy, Vice Pres. Chr. Indermuehle, V. Pres. W. E. Rohde, Cash. A. H . P luckhan ; A- Cash. REPORT OF THE COMMISSIONER OF BANKING D irecto rs: L. C. Pautsch Paul A. Hemmy Chr. Indermuehle W. E. Rohde Geo. M. Illig KAUKAUNA The Bank of K aukauna J. P. Kline, Pres. G. J. F lanagan, Vice Pres. Chas. D. Tow sley, Cash. G. S. Mulholland, A. Cash. B arbara M. Kram er, A. Cash. D irectors: J. P. Kline G. J. F lan agan Ben G. Prugh Geo. A. Kline H. T. Runte J. S. Wynboom L. A. Gerend Chas. D. T ow sley KAUKAUNA F a r m e r » an d M e rc h a n ts Bank B. F. Nelson, Pres. Peter Renn, Vice Pres. John Coppes, Vice Pres. H. W. Olm, Cash. John Van De Loo, A. Cash. Geo. F. Dogot, A. Cash. D irecto rs: Jul. J. Martens L. F. Nelson P eter Renn John Coppes H. W. Olm E. G. Haas J. L. Coonen F. J. B algie Chas. Appleton H. E. Thompson A. M ankosky Jos. L eF evre KENDALL F a r m e r s and M e rc h a n ts B a n k o f K e n d a ll Wm. Dw yer, Pres. O. F. Schroeder, V. Pres. K. Posselt, Cash. J. B. G allagher, A. Cash. R. J. Jirschele, A. Cash. D irectors: Jas. Milne H. A. Dorns Wm. M. Gleiss Wm. D w yer O. F. Schroeder J. B. G allagher K . Posselt KENOSHA T h e B r o w n N a tio n a l B a n k o f K e n o sh a Lynn T. Hannahs, Pres. C. C. Allen, Vice Pres. Wm. Thurn, Vice Pres. E. Haubrich, Cash. F. W. W ight, A. Cash. W alter A. Hess, A. Cash. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis D irecto rs: C. C. Allen Lynn T. Hannahs J. F. H astings Edmund Haubrich A. H. Lance A. M Neergaard Chas. H. P fenn ig Wm. Thurn K ENOSHA T h e F ir s t N a tio n a l B a n k of K e n o slia C. C. Allen, Chr. of Brd. J. T. Wilson, Chr. of Exec. Comm. L. T. Hannahs, Pres. J. W. Blair, Vice Pres. M. G. Boerner, Cash. Bruce Eastman, A. Cash. Paul Zielenski, A. Cash. H. C. Stine, A. Cash. V. A. Nelsen, A. Cash. W. C. Gitzlaff, A. Cash. C. W. Allen, A. Cash. D irecto rs: C. C. Allen J. W. B lair R. P. Cavanagh • L. T. Hannahs A. H. Lance E. H. M cCarty J. T. W ilson KENOSHA T h e N o r th w e ste r n L oan and T r u s t C o m p a n y Wm. C. Crosby, Chr. of the Board Wm. Thurn, Pres. C. C. Allen, Vice Pres. Lynn T. Hannahs, V. Pres. Wm. Thurn, Treasurer Marie M. Ludw ig, Sec’y Leo M. B rickley, A. Sec’y H arry N. Swenson, A. Treasurer D irecto rs: C. C. Allen Richard P. Cavanagh Wm. C. Crosby Lynn T. Hannahs A. H. Lance • Charles H. P fen n ig Wm. Thurn James T. W ilson 259 Directors: George A. D uvall Chas. J. Burm eister Ben W aegli Dr. D. B. Dana Anton W. K ie w e g Julius P. Stangel Herman Griese Edw. F. Schwantes W illiam L azan sky W illiam Giese KEW AUNEE U n ion S ta te B a n k L. W. Bruemmer, Pres. W. J. K ow alke, Vice Pres. J. G. W alecka, Cash. E. F. Shimek, A. Cash. D irectors: Fred A rians Wm. B elter L. W. Bruemmer O. H. Bruemm er H. A. D vorak Geo. Erichsen Henry Graff W. J. K o w alke P. L. G. R einke W. M. W ochos K IE L C itize n s S ta te B a n k D. F. Nauth, Pres. Otto Stoelting, Vice Pres. M. C. Timm, Cash. H arry J. Roeck, A. Cash. D irecto rs: D. F. Nauth Otto Stoelting M. C. Timm F. P. K n au f Edw. Gutenkunst Theo. W. Schreiber H arry H. Klemme K IE L S ta te B a n k o f K ie l W allace R. Johnson, Pres. Rud. Greve, Vice Pres. E arl Lehner, Cash. C. A. K anske, A. Cash. D irecto rs: W allace R. Johnson Rud. Greve A lfred H ingiss KEW ASKUM J. B. Laun C. J. M eiselwitz B ank of K ew asku m Theo. B rill A. L. Rosenheimer, Pres. H. J. D uecker N. W. Rosenheimer, V. Pres. M. W. Rosenheimer, Cash. H. A. Remmel, A. Cash. K IM B E R L Y D irectors: K im b e r ly S tate B a n k A. L. Rosenheimer, Sr. M. D. Smiley, Pres. N. W. Rosenheimer S. F. Shattuck, Vice Pres. A. W. Koch I. C. Clark, Cash. L. P. Rosenheimer H. A. Van Himbergen, A. L. Rosenheimer, Jr A. Cash. M. W. Rosenheimer Directors: S. F. Shattuck KEW AUNEE Fred K roenke S ta te B a n k o f K e w a u n e e Martin W ydeven L. A lbert K arel, Pres. Jacob Lam ers V. H. Janda, V. Pres. C. G. Maes L. A lbert K arel, Jr., Cash. I. C. Clark John W. Hostak, A. Cash. M. D. Sm iley 260 REPORT OF THE COMMISSIONER OF BANKING K IN G S T O N K in g s t o n —D a lto n H ank S tate W. F. Lueptow, Pres. J. T. Shaw, Vice Pres. E. D. W illiam s, Cash. H. Volkmann, A. Cash. Reuben C’r uckson, A. Cash. D irecto rs: W. F. Dueptow J T. Shaw E. D. W illiam s H. Volkm ann Edw. Murphey E. E. Dalton Wm. Murphey KNOWLES K n o w le s S ta te B a n k H. A. Kaeding, Pres. Peter Sterr, Vice Pres. O. A. Kuhn, Cash. A. P. Sterr, A. Cash. D irecto rs: H. A. K aedin g Peter Sterr O. A. Kuhn A. P. Sterr A ugu st Nast F. W. Thomas Chas. Jandrey L A CROSSE B a ta v ia n N a tio n a l B a n k H. O. Klein, Pres. G. Van Steenw yk, V. Pres. A. J. Capellen, Cash. C. J. Johnson, A. Cash. N. M. Elstad, A. Cash. D irecto rs: Edw in Erickson A. S. Funk H. O. K lein Andrew Lees D. G. MacMillan A. L. Miller Gust F. Sexaurer F ran k E. Smith G. Van Steenw yk L A C R O SSE E x c h a n g e S ta te B a n k .Tos. P. Gohres, Pres. H arry Spence, Vice Pres. W. J. Low ry, Cash. D irecto rs: •Tos. P. Gohres H arry Spence F. L. Pierce H. G. McCabe W. J. L ow ry L A CROSSE L a C rosse T r u s t C o m p a n y G. van Steenw yk, Pres. H. K. Holley, Vice Pres. L. F. Robinson, Sec’y Directors: G. van Steenw yk J. C. Burns C. F. Michel H. K. H olley L. F. Robinson https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis L A C R O SSE T h e N a tio n a l B a n k o f La C rosse W. C. Hinterman, Pres. F. H. Hankerson, Vice Pres. Geo. A. M acLachlan, Cash. P. L. Ciiley, A. Cash. J. W. Dockendorff, A. Cash. I. E. R uggles, A. Cash. D irectors: Chas. E. Colman Geo. H. Gordon H enry Gund Chas. A. Hoeschler C. F. Michel P. M. Pam perin F. W. Pitm an F. W. Sisson W. C. Hinterman F. H. H ankerson L A CROSSE S ta te B a n k o f L a C rosse John C. Burns, Pres. J. M. Holley, Vice Pres. R. J. Ray, Cash. A. H. Erickson, A. Cash. D irectors: J. M. H olley J. C. Burns R. J. Ray A. T. Holmes N. Nustad H arry W atkin s L A D Y S M IT H T h e P io n e e r N a tio n a l B a n k o f L a d y s m ith Directors— continued R ay Melvin Norval Norris G. E. Southworth F. A. Vitcenda LAKE GENEVA T h e F ir s t N a tio n a l B a n k o f L a k e G en eva Jas. G. Allen, Pres. W. L. Smith, Vice Pres. F. A. Briegel, Cash. J. E. Russell, A. Cash. D irecto rs: Chas. S. French, Chr. Bd. Jas. G. Allen H arry N. Gifford Chas. A. K aye W. L. Smith L A K E M IL L S B a n k o f L a k e M ills Wm. A. Engsberg, Pres. W. E. Tyler, Vice Pres. Emil H. Neupert, Cash. Wm. G. Korth, A. Cash. D irecto rs: Wm. A. E n gsberg W. E. T yler J. C. Murphy J. L. Hooper Emil H. Neupert L A K E M IL L S T h e G re e n w o o d ’s S tate Bank L. M. Lundmark, Pres. R. J. Coon, Vice Pres. B. A. W ickstrom , Vice Pres. B. A. W ickstrom , Cash. E. W. Pagel, A. Cash. D irectors: L. M. Lundm ark R. J. Coon B. A. W ickstrom E. W. P a gel W. D. Morgan A. W. Greenwood, Pres. G. B. Greenwood, Vice Pres. R. C. Greenwood, Vice Pres. O. A. Wodke, Cash. F. C. Greenwood, A. Cash. A. H Baumann, A. Cash. D irecto rs: A. W. Greenwood G. E. Greenwood O: A. Wodke F. C. Greenwood H. J. Setz L A D Y S M IT H S e c u rity S ta te LANCASTER L a n c a s te r S tate B a n k Bank R. J. Clark, Pres. F ran k Hein, Vice Pres. H. D. Michael, Cash. R. C. Mertens, A. Cash. D irecto rs: R. J. C lark F ra n k Hein H. D. Michael O. J. F alge E. P fe ife r T. Ditmanson Phil Christman George E. Beck, Pres. T. C. W elsh, Vice Pres. M. W. Irgens, Cash. A. C. Thiel, A. Cash. D irectors : George E. Beck T. C. W elsh J. C. Vesperman E. G. Schmidt C. M. DuHamel LA P A R G E L a F a r g e S ta te B a n k F ran k C. Meyer, Pres. John M. Pink, Vice Pres. C. E. H alferty, Cash. Andrew W. Jerrett, A. Cash. Directors : F ran k C. Meyer John M. Pink J. J. Seipp C. E. H alferty Andrew W. Jerrett Ham Cowan, Pres. Norval Norris, Vice Pres. John W. L an gley, Cash. Clyde F. Green, A. Cash. D irecto rs: E. O. Adams Ham Cowan John W. L an gley LANCASTER U n ion S tate B a n k REPORT OF THE COMMISSIONER OF BANKING LAONA L aon a S ta te B a n k W. D. Connor, Jr., Pres. E. G. Ovitz, Vice Pres. P. P. Aschenbrener, Cash. Clara Bradle, A. Cash. D irecto rs: R. M. Connor W. D. Connor, Jr., A. F. Evans L. P. M allow E. G. Ovitz Anton Schiesl Wm. Stenerson LARSEN T h e F a r m e r s S ta te B a n k E lias Sorenson, Pres. C. S. H allock, Vice Pres. B. O. Halverson, Cash. Directors: E lias Sorenson C. S. H allock J. M. Johnson Chas. D. Cross B. O. Halverson LEBANON L eb a n on S tate B a n k Aug. H. Raether, Pres. Gust H. Uttech, V. Pres. E rn st H. W inter, Cash. Gladys E. K rueger, A. Cash. D irecto rs: A u g H. R aether Gust H. Uttech Ern st H. W inter John Brendemuehl H enry Schuett Emil Nass A lbert B raunschw eig L E O P O L IS L e o p o lis S tate B a n k C. O. Felts, Pres. Adam Grosskopf, V. Pres. A. N. Brunner, Cash. V. D. Sousek, A. Cash. D irecto rs: C. O. F elts Adam Grosskopf A. N. Brunner J. C. R utte A lfred D. Schmidt L IM E R ID G E T h e S ta te B a n k o f L im e R id g e F. L. Ward, Pres. F. Prouty, Vice Pres. E. A. Prouty, Cash. Wm. M. Wood, A. Cash. Directors: F. L. W ard F. Prouty E. A. Prouty B. C. Bohn H. O. W arren L IT T L E CH U TE B a n k o f L ittle C hute P. A. Gloudemans, Pres. Wm. Geenen, Vice Pres. H. J. Stark, Cash. E. J. Mollen, A. Cash. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Directors: P. A. Gloudemans W illiam Geenen J. H. Doyle, M.D. H enry W. Bongers H. J. Stark L IV IN G S T O N L iv in g s to n S ta te B a n k T. O. Gundlach, Pres. W esley Watson, Vice Pres. M. F. Olafson, Cash. Irene Livingston, A. Cash. Directors : Martin Allen W. B. Alton Louis Cordts T. O. Gundlach L. J. LaCourt H arry M arshall W esley W atson LODI S tate B a n k o f L odi J. S. Clow, Pres. Roy M cFarlane, Vice Pres. T. R. Maney, Cash. L. C. Haberman, A. Cash. H. L. Gesell, A. Cash. D irectors: J. S. Clow Roy M cFarlane W. A. Packham R. J. Groves C. W. Chrisler T. F. Bannon W. T. Sparks L O G A N V IL L E L o g a n v ille S ta te B a n k John R iggert, Pres. C. Koenig, Vice Pres. Martin P. Roewer, Cash. Directors: John R ig g ert C. K oenig Martin P. Roewer James H. H ill H. W. R ig gert LONE R O C K F arm ers B ank L. O. Brainard, Pres. James K erbaugh, V. Pres. J. F. Brace, Vice Pres. Donald O. Brace, Cash. Clara Simonson, A. Cash. M. H. Moore, A. Cash. Bernadett McGill, A. Cash. Directors : L. O. Brainard J. F. Brace Louise Brainard D. O. Brace H. D. Brainard LONE RO CK S ta te B a n k o f L on e R o c k John Mullen, Pres. F ran k W. Wonn, V. Pres. M argaret Gilbertson, Cash. L uella Moore, A. Cash. O. C. Arneson, A. Cash. 261 D irecto rs: J. D. Brophy N. L. Carsw ell W. J. Dolan T. W. K in g Dennis Shannon F ran k W. Wonn John Muilen LOYAL C itize n s S tate B a n k o f Loyal J. M. Philpott, Pres. Dr. H. H. Christofferson, Vice Pres. Thos. Froeba, Vice Pres. J. R. Colby, Cash. L ester Schultz, A. Cash. Directors: J. M. Philpott H. H. Christofferson Thos. Froeba W. J. Rush G. V. W eyhm iller Geo. Schoch C. B. Esselmann M. Degenhardt Fred L ako sky LUCK F id e lity S ta te B a n k Anton Laursen, Pres. Andrew Aim, Vice Pres, and Cash. Carl R. Thye, Vice Pres. Andrew Aim, Cash. H. H. Lindgren, A. Cash. W. J. Anderson, A. Cash. L. C. Lawson, A. Cash. Directors: Andrew Aim H arry D. B aker Marius Dueholm Nels E dlin g Anton Laursen O. W. Lund Carl R. Thye LUXEM BURG B ank of L u xem bu rg L. A lbert K a re l (D), Prep Chas. L. Peters (D), V. I ’. Clem Rass, Vice Pres. Carl W. Andre, Cash. Richard Seidl, A. Cash. D irectors: Michael Arendt H. Boncher Jos. J. Jonet L. A lbert K arel Dr. J. R. Minahan Law rence R ueckl Chas. L. Peters A ugu st Spitzer L Y N D O N S T A T IO N L yn d o n S ta te B a n k R. H. Laabs, Pres. D. J. Costigan, V. Pres. Edmund E. Hart, Cash. D irectors: R. H. Laabs D. J. Costigan Wm. T aylor R. J. Doyle G. Arens 262 REPORT OF THE COMMISSIONER OF BANKING LYONS L y o n s S ta te B a n k D irecto rs: Solomon Levitan A. O. Paunack S. L. Goldstine Mortimer Levitan George Rentschler A. C. Larson T. W. Torm ey Directors— continued Wm. Laub A. L. Stone R. T. H arris C. P. Juckem R. W. H am m ersley John L. Colby Chas. F. Schinke, Pres. F ran k Brickner, Vice Pres. W. P. Craw ford, Cash. & Vice Pres. L au retta Heck, A. B. Cash. D irecto rs: M A D IS O N G. F. Batchelet M A D IS O N F. J. Brickner S e c u rity S ta te B a n k W. P. C raw ford T h e F ir s t N a tio n a l B a n k Thomas E. Coleman, Pres. John H eck L. L. Lunenschloss, V. Pres. o f M a d iso n J. S. Malsch A lf. Peterson, Cash. & V. P. T. R. H efty, Pres. C. F. Schinke Otis Simley, A. Cash. J. H. Coe, Vice Pres. John V o gt R ay F. Sennett, A. Cash. J. H. Stephan, Vice Pres. Chris Ethun, A. Cash. H. C. Jamieson, V. Pres. D irecto rs: R. H. Marshall, Cash. M cF a r l a n d Thomas E. Coleman O. B. Lovell, Com ptroller L. L. Lunenschloss M c F a r la n d S ta te B a n k C. J. K e llo g g A. Cash. A lf. Peterson V. F. Brown, A. Cash. John M. Anderson, Pres. S. G. Scanlan D. A. Kerth, A. Cash. O. T. Olson, Vice Pres. H enry V ogts J. Edw. O’Connell, A. Cash. Homer L. Vick, Cash. Charles H. Tenney D irecto rs: D irectors: A. C. Breuch John M. Anderson M A D IS O N J. E. Doyle O. T. Olson T. R. H efty H. C. K leine S ou th Side S ta te B a n k Louis H irsig John Holscher N. T. Gill, Pres. H. S. Johnson John P. Gumm S. H. Goodnight, V. Pres. W. H. K iekh o fer Homer L. V ick A. C. Holscher, Cash. D. W. Mead R. P. Thorhang, A. Cash. J. F. O’Connell D irecto rs: Benj. S. Reynolds M A D IS O N N. T. Gill John St. John S. H. Goodnight T h e A m e r ic a n E x c h a n g e Magnus Swenson D. E. K e lly Bank J. H. Stephan H. G. W aterm an F. W. Suhr, Pres. Wm. W halen M A D IS O N John Suhr, Vice Pres. H. A. Smith Edmund Suhr, Cash. P. E. Stark M ad iso n T r u s t C o m p a n y Wm. S. Hobbins, A. Cash. H. L. Garner A. O. Paunack, Pres. D irecto rs: W. T. Lindsay Fred Holmes, Vice Pres. F. W. Suhr George Gregg, Vice Pres. John Suhr M A D IS O N J. O. W allestad, Sec’y & Edmund Suhr Treas. U nion T r u s t C o m p a n y Wm. S. Hobbins Stella Severson, Asst. Emma Suhr C. F. Schwenker, Pres. Sec’y. & Asst. Treas. L. D. Atkinson, Vice Pres. O. L. Fredrickson, Asst. T. E. W iedenbeck, V. Pres. Sec’y. Wm. A. Hobbs, A. Cash. M A D IS O N D irecto rs: A. M. Johnson, A. Cash. A. O. Paunack T h e C e n tra l W is c o n s in D irecto rs: Solomon Levitan T ru st Com pany J. W. Jackson Fred Holmes Emerson E la L. M. Hanks, Pres. George G regg Geo. K. McConnell C. E. K ara, Vice Pres. Berthold Sauthoff H. H. Steensland E. W. Schenck, Vice Pres. George Rentschler S. P. Starks C. R. A cly, Vice Pres. Fred R isser W. A. Devine M. O. Tuhus, Secretary H. J. L ow ry F. C. Blied R. A. Black, Treasurer N. T. Gill R. J. Neckerman D irecto rs: S. H. Chase F. W. H oyt S. B. Schein J. B. Ram say J. J. Gerhardt M A ID E N R O C K H arry Moseley S. L. Goldstine B a n k o f M aid e n R o c k R. H. Jackson A. G. Michelson F. W. Carpenter, Pres. S. A. Oscar R. C. Buerke C. W. Carpenter, Cash. B. F. Mautz A. C. Larson R. H. Carpenter, A. Cash. A. W. Schulkamp Mortimer L evitan D irecto rs: H. L. French J. J. F itzp atrick F. W. Carpenter Oscar Rennebohm N. M. Carpenter L. M. H anks M A D IS O N R. H. Carpenter C. E. K arn R a n d a ll S ta te B a n k E. R. Carpenter E. W. Schenck Victor E. Albright, Pres. C. W. Carpenter Thos. D. W illiam s, V. P. F. E. Carpenter Geo. H. Schroeder, V. Pres. M A D IS O N Wm. Laub, Cash. M A ID E N R O C K C o m m e rc ia l S ta te B a n k E. W. Roddan, A. Cash. T h e F ir s t N a tio n a l B a n k Directors: A. O. Paunack, Pres. J. R. Garber, Pres. V ictor E. A lb righ t S. L. Goldstine, Vice Pres. A. E. Carmichael, Vice Pres. Thomas D. W illiam s W. T. Cullinan, Cash. Chas. Peroutky, Vice Pres. George H. Schroeder E. H. Pauli, A. Cash. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis REPORT OF THE COMMISSIONER OF BANKING W. F. Julian, Cash. A. E. Larson, A. Cash. Directors: J. R. Garber A. E. Carm ichael Chas. Perou tky C. E. Mathys J. A. Jorgensen H. R. Schuette, Cash. Edwin K rueger, A. Cash. W ilm er Haese, A. Cash. D irecto rs: Louis Schuette Edwin Schuette Henry Detjen H. R. Schuette Edw in K ru eger Wilmer Haese 263 M A R IN E T T E F a r m e r s an d M e rc h a n ts Bank G. J. Reinke, Pres. H. C. Anderson, Vice Pres. H. C. Anderson, Cash. A. W. Jackson, A. Cash. Einar Orsett, A. Cash D irecto rs: MANAWA G. J. Reinke F. E. Noyes F a r m e r s S ta te B a n k Tobias Kirm se M A N IT O W O C W. Irvine, Pres. Samuel Clements F. R. M eiklejohn, V. Pres. M a n ito w o c T r u s t Co. Loren S. M iller J. C. Kinsman, Vice Pres. D. C. Bleser, Pres. A. J. R ettke C. E. Hoffmann, Cash. F ran k H. Gehbe, Vice Pres. H. C. Anderson Directors: Edw ard M. Benishek, Sec.L. W. E astlin g Treas. M A R IN E T T E A rthur Sturm D irectors: Fred. J. Gehrke, Jr. F ir s t N a tio n a l B a n k of D. C. Bleser H. A. Voss Dr. F ran k H. Gehbe M a rin e tte F. W. W eisbrod W. C. Protz Deceased, Pres. Dr. H. W. A ldridge A. J. W hitford, V. P. & C. Edw ard M. Benishek M A N IT O W O C L. R. Simon, A. Cash. E a s t W is c o n s in T ru ste e Directors: W . C. Campbell Co. M ARATHON C. J. Lauerman Em il Baensch, Pres. M e rc h a n ts «& F a r m e r s F. J. Lauerm an Louis Schuette, Vice Pres. A. J. W hitford S ta te B a n k Oscar A. Alter, Secy., Treas. F ra n k Tadych, Asst. Sec’y. H erbert Fromm, Pres. M A R IN E T T E Robert Rux, Vice Pres. D irecto rs: R. M. H alweg, Cash. Em il Baensch T h e S tep h en so n N a tio n a l V ilas Rux, A. Cash. Louis Schuette Bank Directors: Oscar A. A lter H. J. Brown, Pres. H erbert Fromm G. R olf Ristad H. L. H aslanger, Vice Pres. Robert Rux F ran k Tadych G. W. Stephenson, Cash. R. M. H alw eg W. L. Nelson, A. Cash. Fred A. Steidinger M A N IT O W O C D irecto rs: F. X. Schilling F ir s t N a tio n a l B a n k in H. J. Brown Herman Hornung, Sr. H. L. H aslanger Edwin Stieber M a n ito w o c F J. Lauerman, Jr. M. H. Dempsey, Pres. E. W. LeRoy F. T. Zentner, Vice Pres. E. A. Mundt M ARATHON W. H. Pauly, Vice Pres. T h e S tate B a n k o f E. L. Pleuss, Cash. M A R IO N E. J. Swanke, A. Cash. M a ra th o n C ity G. O. M axfeldt, A. Cash. F ir s t N a tio n a l B a n k in Carl Hilber, Pres. E. H. Benishek, A. Cash. M arion Ernst Ringle, Vice Pres. D irecto rs: Geo. E. R itger, Vice Pres. E. S. Byers, Pres. M. H. Dempsey Geo. E. R itger, Cash. F. H. U ttorm ark, Vice Pres. F. T. Zentner A. H. Schneiders, A. Cash. J. E. Arndt. Cash. W. H. P auly D irecto rs: H enry E. Braun, A. Cash. E. L. Pleuss Carl Hilber L. E. Fox, A. Cash. C. E. Brady Ern st R ingle D irecto rs: Thos. H iggins Em il Dern Anton M alueg O. A. R ichter J. M. Vogedes C. H. Mees F. C. Schoch Paul R ajek P. C. Rogers A. G. Stangel Fred A. Menzner E. S. Rogers Geo. E. R itger Wm. E. W olf M A N IT O W O C E. S. Byers M a n ito w o c N a tio n a l B a n k F. H. U ttorm ark M A B IB E L D. C. Bleser, Pres. M arib el S ta te B a n k Geo. I. Gibbs, V. Pres., Cash. M ARKESAN Edw. M. Benishek, Pres. G. R. Rahr, Vice1 Pres. F a r m e r s S ta te B a n k Jos. J. Hurka, Vice Pres. E. J. Zankle, A. Cash. C. A. Dillie, Pres. L. H. Rabenhorst, Cash. D irecto rs: Ed. W. Laper, Vice Pres. Paul R. Schley, A. Cash. D. C. Bleser R. J. Connolly, Cash. Jos. S. H urka, A. Cash. Chas. K uln ick H. B. Dillie, A. Cash. D irecto rs: Ge.o., I. Gibbs F. L. Friday, A. Cash. Edw. M. Benishek W. C. Protz D irecto rs: Milo Dushek G. R. Rahr W. H. Ames John C. D vorak F. E. Cable Jos. J. H urka M A N IT O W O C C. A. Dillie Herman Kohn M a n ito w o c S a v in g s B a n k PI. B. Dillie Geo. W. K iel Ed. W. Laper Louis Schuette, Chairman Anton Rozum A. W. Menke W alter M. Touhey Edwin Schuette, Pres. C. P. W hitenhouse Peter W itak Henry Detjen, Vice Pres. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 264 KEPORT OF THE COMMISSIONER OF BANKING M ARKESAN M a rk e sa n S ta te B a n k Ira W. Parker, Pres. Wm. Sink, Vice Pres. A. S. Densmoor, Cash . Ralph W. Clark, A. Cash. C. F. Mielke, A. Cash. Directors : Geo. C. Johnson Guy M iller A lex McDonald Ira W. P arker Wm. Sink W. G. Stoddart A. M. W illiam s M A R S H F IE L D T h e C itize n s N a tio n a l B a n k o f M arsh field L. A. H artl, Pres. W. E. Deming, V. Pres. J. L. Stauber, Cash. J. Leinwander, A. Cash. M. A. Hansen, Jr., A. Cash. D irecto rs: L. A. H artl W. E. Deming E. P. Umhoefer E. M. Lee A ugu st Mews M ARYTOW N F a r m e r s it M e rc h a n ts Bank Joseph Neis, Pres. Anton Schiller, Vice Pres. A. F. Baus. Cash. Elsie Mueller, A. Cash. D irecto rs: Edw. S. Knaus H ubert B artel John W inkel John L. Steffan M ATTOON M a tto o n S tate B a n k W. F. Meagher, Pres. W. R. Kram ar, Vice Pres. W. B. Kram ar, Cash. A. T. P rast, A. Cash. D irecto rs: W. F. Meagher W. B. Kram ar A. T. P rast Mary K. K ram ar Geo. E. Proper MATJSTON B a n k o f M a u sto n Edw. J. Otto, Pres. C. L. Behnken, Vice Pres. E. P. Kuehn, Cash. R. H. Hale, A. Cash. D irectors: Edw. J. Otto C. L. Behnken E. P. Kuehn R. H. Hale John Ensch Theodore P faff John Seitz https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis M AYV1LLE T h e F ir s t N a tio n a l B a n k in M a y v ille E. H. Naber, Pres. Carl Engel, Vice Pres. F. P. Bernard. Cash. (Miss) A. M. Ruedebusch, A. Cash. D irectors: E. H. Naber Carl Engel B. P. Bernard Em il Steinberg' John M. D ihring M ENASH A B a n k o f M ennslia R. J. F iew eger, Pres. Ben Plow right, Vice Pres. F ran k Pankratz, Cash. D irectors: R. J. F iew eger Ben P lo w righ t F ran k P an kratz F. E. Sensenbrenner Paul Strange D. L. K im berly A. F. W eber M A Y V IL L E S ta te B a n k o f M a y v ille M EN ASHA T h e F ir s t N a tio n a l B a n k R. F. Ruedebusch, Pres. Peter Buerger, Vice Pres. A. M. Schreiner, Cash. L. A. Bachhuber, A. Cash. R. N. Bachhuber, A. Cash. D irecto rs: Marie R ingle F ran klin Koch M. A. B ussew itz John A. Thiel L. A. Bachhuber R. F. Ruedebusch Peter Buerger Carlton R. Smith. Pres. Geo. Banta, Jr., Vice Pres. T. D. Spalding, Vice Pres. H. E. Landgraf, Cash. V. C. Suess, A. Cash. D irecto rs: Geo. Banta, Jr. Anton Bruehl R. M. Sensenbrenner Carlton R. Smith John Stevens, Jr. Hugh Strange F. B. W h itin g M A Z O M A N IE T h e P e o p les S ta te B a n k M ENOM ONEE FA LLS J. P. Hudson, Pres. F a rm e rs & M e rc h a n ts Abr. L. Parman, Vice Pres. Bank N. C. Kirch, Cash F. J. Schwalbach, Pres. P earl W inch, A. Cash. Leo Eckhardt. Vice Pres. Directors: Edward Puehler, Vice Pres. J. P. Hudson W. S. Goode, Cash. Abr. L. Parman K. A. Eckhardt, A. Cash. N. C. K irch B. W. Beilin, A. Cash. Thos. Coldwell D irectors: L. C. Scheel F. J. Schwalbach Edward Puehler M EDFORD Leo E ckhardt S tate B a n k o f M ed fo rd A rthur G. K raem er W esley S. Goode Chas. A. Flem ing, Pres. John D. Ohrt C. F. Luepke, Vice Pres. K. A. E ckhardt V. A. Hirsch, Cash. E. G. Bizer, A. Cash. F. E. Long, A. Cash. Directors : M E N O M O N IE Chas. A. Flem ing B a n k o f M e n om on ie Geo. Hy. E lvis A. R. V ogtsberger, V. Pres. V. A. Hirsch R. J. Bressler, Cash. W. H. K oehler C. A. Shern, A. Cash. C. F. Luepke Directors: Martin Mueller E. C. Q uilling R. H. Musselman F. F. B rew er A. R. V ogtsberger M ELROSE H. W. Rudow R a n k o f M e lro se E. J. Bressler C. J. H ogg, Pres. J. D. Patterson, Vice Pres C. S. Hogg, Cash. M E N O M O N IE T. J. Hogg, A. Cash. T h e F ir s t N a tio n a l B a n k B. G. Hogg, A. Cash Directors : Geo. M. Hovlid, Pres. Andrew Heineck J. H. H ickey, Vice Pres. E. P. Olson O. C. Kausrud, Cash. Wm. J. Herman II. C. Olson, A. Cash. Oscar F lugstad D irectors: F. H. Smith Geo M. Hovlid R oy Lutz J. H. H ickey W. A. Jessie O. C. Kausrud J. D. Patterson H. C. Olson C. J. H ogg C. V. Porter REPORT OF THE COMMISSIONER OF BANKING M E N O M O N IE T h e K r a f t S ta te B a n k Directors: L. M. Babcock H. B. Crandall L. A. Babcock J. H. Coon F. H. Holmes W. E. Rogers Wm. F. K ra ft, Pres. W. R. K ra ft, Vice Pres. Carl Olson, Vice Pres. R. A. Rommelmeyer, Cash. H. B. Hendrickson, A. Cash. Directors: Al C. Anderson M IL T O N J U N C T IO N Wm. F. K ra ft R. A. Rommelmeyer The F arm ers B ank John Cramer, Jr. J. A. Paul, Pres. Chas. Schabacker A. M. Paul, Cash. Carl Olson J. A. Paul, Jr., A. Cash. Ole Halvorson D irectors: J. A. Paul A. M. Paul M E R R IL L A. P. Owen J. A. Paul, Jr. C itize n s A m e ric a n B a n k M. C. Paul Geo. L. G ilkey, Pres. Edw ard Fromm, V. Pres. F. C. H. Doepke, Cash. M IL T O N J U N C T IO N W. H. Beine, A. Cash. Emil M. Krembs, A. Cash. T he State B a n k D irecto rs: J. Milton Clarke, Pres. F. C. H. Doepke Wm. A. Dodd, Vice Pres. Geo. P. E w in g W. H. Gates, Cash. E. O. F ärber Directors : Edw ard Fromm Alexander Shuman Geo. D. G ilkey H enry A ltvater L. J. O’R eilley J. M. Clarke A. P. Schewe W. H. Gates F. J. Smith Wm. A. Dodd C. B. W urster M E R R IL L L in coln C o u n ty B a n k Wm. J. Tesch, Pres. Chas. J. Kinzel, Vice Pres. C. H. Stange, Vice Pres. H. F. Tewes, Cash. Edw. F. Moyer, A. Cash. D irectors : Wm. J. Tesch Chas. J. K inzel C. H. Stange H. F. Tew es J. A. Em erich A. B. Nelson Paul Gebert, Sr. A. A. W enzel Max Van Hecke M ID D L E T O N B a n k o f M id d leto n Chas. F. Allen, Pres. Louis W atzke. Vice Pres. A. C. Utter, Vice Pres. A. J. V iktor, Cash. M. C. Haberland, A. Cash. D irecto rs: Chas. F. Allen A. J. V ikto r M. C. Haberland A. C. U tter John G. Hoffman Joseph C. Adler M IL T O N B a n k o f M ilto n L. H. J. L. M. B. H. A. Babcock, Pres. Crandall, Vice Pres. Coon, Cash. Babcock, A. Cash. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis M IL W A U K E E A m e ric a n S ta te B a n k Wm. Geo. Bruce, Pres. H. W. Zummach, V. Pres. John S. Stefanez, V. Pres. A. W. Bickier, Cash. Directors: Wm. Geo. Bruce H ugo Deuster Anton Butcher Clarence G erling Geo. J. Graebner Wm. J. Gronewald Leo N. L evy Chas. F. Millmann V. A. Pacbolski Dr. John S. Stefanez H. W. Zummach M IL W A U K E E B a d ger S tate B a n k A. E. Francke. Pres. C. L. Roloff, Vice Pres. Law rence Stone. Vice Pres E. J. Kuehl, Cash. R. C. Schumacher, A. Cash. Edw ard A. Jung, A. Cash. G. A. Anderson, A. Cash. Edward Ebert, A. Cash. E. H. Wendorff, A. Cash. Directors : C. F. Busacker A rthur J. Ehne A. E. F ran cke Wm. A. K rasselt J. H. Lam brecht C. L. Roloff H. C. Schumacher Law rence Stone F. J. T haringer Dr. D. P. Thill 265 M IL W A U K E E B a y V ie w S tate B a n k John H. Budzien, Pres. Edw. C. Klevenow , V. Pres. Paul A. Papke, Cash. Directors: Fred Smith H erbert Smith H erbert Lampe Fred Rucks Henry Tamms H enry Luebs James A. Book M IL W A U K E E T he C ity B a n k and T r u s t Com pany F. M. Weinhold, Pres. W. F. Jackson, Vice Pres. Chas. L. Borst, Vice Pres. Wm. B. Frank, Cash. R. H. F reitag. A. Cash. J. H. Zirbes, A. Cash. Wm. H. Sullivan, A. Cash. Directors: Herman H. Bloedel Charles L. Borst H arry Christiansen Urban F. Durner W illiam B. F ran k Clarence Hill W alter F. Jackson Fred W. K rueck Otto F. Pfeil F ran k M. Weinhold John C. Zeman M IL W A U K E E T h e C o m m o n w e a lth M u tu a l S a v in g s B a n k Emil Brodde, Pres. Emil G. Rahr. Vice Pres. Gabriel Zophy, Vice Pres. 0. B. W hitnall Secy-Treas. R. G. Schuffenhauer, Asst. Secy-Treas. D irectors: Emil Brodde Emil G. Rahr Gabriel Zophy C. B. W hitnall R. G. Schuffenhauer Louis A. Arnold Paul E. Schmidt W illiam Baumann Leo W olfsohn M IL W A U K E E F irs t W is c o n s in N a tio n a l Bank W alter Kasten, Pres. W illiam T aylor, Exec. Vice Pres. Gerald B. Hadlock, V. Pres. Roy L. Stone. Vice Pres. Edwin R. Ormsby, V. Pres. George E. Campbell, V. P. Geo. E. Fleischm ann, V. P. Charles O. Thomas, V. Pres. Joseph U. Lademan, V. Pres. Edwin Buchanan, V. Pres. V G. Casper, Cash Clarence H. Lichtfeldt, Com ptroller Joseph W. Simpson, Jr., Asst. Vice Pres. 266 REPORT OF THE COMMISSIONER OF BANKING Wm. G. Brumder, A. V. P. Edw. S. Tallm adge, A. V. P. John S. Owen, Asst. Vice Pres. Nicholas Rendenbach, Asst. Vice Pres. Frederick W ergin, Asst. Vice Pres. Chester D. Raney, Asst. Vice Pres. James J. Brooks, Asst. Vice Pres. W illiam J. Klumb, Asst. Vice Pres. F ran k T. Nicolai Asst. Vice Pres. Pierre N. Hauser, Asst. Vice Pres. Law rence K. Houghton, A. Cash. Clarence Becker, A. Cash. Richard J. Law less, A. C. Donald A. Harper, A. Cash. Edward V. K aiser, A. Cash Roland R. Roehm, A. Cash. K u rt Meyer, A. Cash. A rthur H. HornefEer, A. C. D irecto rs: Dr. C. E. A lb righ t W illiam M errill Chester E. J. Dempsey A lbert C. Elser Otto H- F alk Oscar Greenwald Gerald B. H adlock W aiter K asten Gustave Pabst Cyrus L. Philipp Harold H. Seaman W illiam T aylor Charles O. Thomas H enry M. Thompson Erw in C. Uihlein Joseph E. Uihlein Robert A. Uihlein W illiam B. Uihlein Fred Vogel, Jr. S. B. W ay M IL W A U K E E F ir s t W is c o n s in Com pany T ru st Directors— continued Erw in C. Uihlein Joseph E. Uihlein Robert A. Uihlein Wm. B. Uihlein George D. Van Dyke S. B. W ay M IL W A U K E E G u ard ia n M u tu a l S a v in g s Bank George F. Staal, Pres. F ran k J. Meyer, 1st Vice Pres. Edwin I. Goodman, 2nd Vice Pres. R. A. Hibbert, Sec. & Treas. R. P. Schommer, Asst. Sec. & Treas. D irectors: George F. Staal F ran k J. Meyer Edwin I. Goodman R. A. H ibbert R. P. Schommer A. J. Elblein Otto A. Dittm er F ran k J. Stepanek E. A. P e ttin g ill M IL W A U K E E H o lto n S tre e t S ta te B a n k Henry Vetter, Pres. R. J. Pozorski, Vice Pres. N. M. Sinske, Cash. R. O. Gaulke, A. Cash. D irecto rs: F. J. L eszczyn ski R. J. Pozorski N. M. Sinske Theo. A. Trapp H enry V etter E. H. W illiam s A ugu st Zam ka, Jr. M IL W A U K E E H o m e S a v in g s Bank M IL W A U K E E L a y to n P a r k S tate B a n k E. H. Mayer, Pres. Edward Furru, V. Pres. Louis Burm eister, V. Pres. F. C. Quaden, Cash. Leo Betanski, A. Cash. Norwood Retzlaff, A. Cash. Directors: E. H. Mayer Edward Furru Louis Burm eister Michael Schneider H. J. Gram ling Joseph Bunzel Fred A. W iese N. A. Jaeger M IL W A U K E E L in coln S tate B a n k A. Szczerbinski, D, Pres. M artin J. Daly, D, V. Pres. S. E. Urbaniak, Cash. D irecto rs: E u g en e D rzycim ski B. A. D z ie n n ik A nton H au erw as John L e sz czy n sk i T h o m a s SzewczykOAVSki M IL W A U K E E M arine N a tio n a l E x c h a n g e Bank A rthur H. Lindsay, Chr. of Bd. G. W. A ugustyn, Pres. Ed. H. W illiam s, Vice Pres. E liot G. Fitch, Vice Pres. Michael B. W ells, V. Pres. George D. Prentice, Cash. H enry H. Van Male, A. p o oh W alter John, A. C. Frederick V. Allen, A. C. Joseph L. Kennedy, A. C. Directors: G odfrey W. A ugustyn F ran k R. Bacon John L. Barchard H arry J. Brown E liot G. Fitch Grant F itch Theodore Friedlander Robert E. Friend W illiam O'. Goodrich Robert E. H ackett A lfred F. James A rthur H. Lindsay Richard S. Pow ell W illiam B. Strong George Uihlein Wm. D. Van Dyke, Jr. Michael B. W ells Edw ard H. W illiam s Fred Froede, Pres. Carl Prinz, Vice Pres. Geo. E. Trupke, Cash. W alter Kasten, C'h. of B. Leonard A. Meyer, A. Cash. George B. Luhman, Pres. H ugh W. Grove, Vice Pres. Erna A. Groechel, A. Cash D irecto rs: & T ru st Officer Charles M. Morris, V. Pres Fred E itel Fred Froede W. I. Barth, Sec’y & Treas. Chas. Hess O. O. Barth, Asst. Sec'y E rw in K a n t John W. Campbell, A. Secy. Carl Prinz W alter H. Dietz, A. Treas. F ran k Skobis, Jr. Robt. W. Janssen, A. Secy. George H. G illies, A. Secy. M. B. W ells Leon F. Reed, A. Treas. D irecto rs: M IL W A U K E E Dr. C. E. A lb righ t K iib o u r n S ta te B a n k Robert Camp M IL W A U K E E Wm. M. Chester J. H. Weber. Pres. M a rs h a ll & I ls le y B a n k E. J. Dempsey Jos. Miller. Vice Pres. Charles F. Ilsley, Chr. of A lbert C. E lser F. E. W allber, Cash. Otto H. F alk the Board Edw in J. Schulz, A. Cash. A. S. Puelicher, Pres. Oscar Greenwald Erich J. Harder, A. Cash. G. A. Reuss, Vice Pres. W alter K asten Directors: J. H. D aggett, Vice Pres George B. Luhman J. H. W eber Joseph C. Moser, Vice Pres. Charles M. Morris F. E. W allber & T ru st Officer G ustave Pabst Jos. M iller Carl R. Jeske, Vice Pres. & Cyrus L. Philipp Chas. Sommerfield Mgr. South Side Office Harold H. Seaman H. F. Koerble John E. Jones, Cash. H enry M. Thompson F ran k F rentz https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis REPORT OE THE COMMISSIONER OF BANKING A. B. Nichols, A. Vice Pres. Edw ard J. Bauer, A. V. P. Edw ard Schroeder, A. V. P. Gertrude M. Jacobs, A. C. Joseph L. McGrath, A. Cash. A lfred G. Trim berger, A. C. Jacobus Kruyne, A. Cash. Chas. N. Christiansen, A. C. A lfred Scott, A. Cash. Directors: W. W. Coleman J. H. D aggett J. O. F ran k Edwin A. Gallun Charles F. Ilsley W illiam S. M arshall W alter S. Ott A. S. Puelicher Louis Quarles G. A. Reuss Emmet L. Richardson G. W. Van Derzee A. P. Woodson D irecto rs: W. C. Skillicorn G ilbert A. B aker F. A. Ross, Pres. L. K. Peterson M. M. Meyer, Cash. L. N. Reddell R. C. Dannenhauer, A. Cash. H. A. W atkin s Directors: Carl G. Hayssen M IN O CQ .U A L. E. Meodinger S e c u rity S ta te B a n k Merwin M. Meyer Carl W. Moebius A. O. Dorwin, Pres. Leo F. Nohl Milan M. Dorwin, Vice Pres. Richard Phillipson S. R. Close, Cash. Robert J. P ittelk o w Ruth M. F arrell, A. Cash. Floyd A. Ross D irecto rs: Richard A. Rybold A. O. Dorwin Charles F. Smith Milan M. Dorwin Hampton H. Thomas C. J. Coon Theo. Medenwaldt S. Christopherson M IL W A U K E E Carl Rochow T e u to n ia A v e n u e S tate M IL W A U K E E S ta te B a n k o f M ilw a u k e e Bank H arry C. Stock, Pres. H. E. Pressinger, V. Pres. M IL W A U K E E J. P. Mueller, Cash. M itc h e ll S tre e t S ta te B a n k A. W. Baivier, A. Cash. J. M. Schneider, Pres. Directors: A. P. Kunzelmann, V. Pres. L. ,T. Best S. J. W abiszew ski, V. Pres. F ran k Hushek Richard C zajkow ski, Cash. F ra n k Spewacheck A. A. Zaffrann, A. Cash. E. H Lichtenberg J. A. Radke, A. Cash. Ed. K autz D irecto rs: George S. Patterson J. M. Schneider H arry C. Stock A. P. Kunzelm ann H. E. Pressin ger S. J. W abiszew ski J. P. M ueller Richard C zajkow ski M IL W A U K E E J. T. E sser J. F. Schneider W e s t Side B a n k F ran k W abiszew ski Chas. J. Kuhnmuench, Pres. Michael Schneider H erbert Feerick, Vice Pres. H enry J. B all Wm. P. Backes, Cash. John J. Dietz, A. Cash. M IL W A U K E E Eiirectors: Henry N. Bills N orth M ilw a u k e e S ta te H erbert Feerick Bank Fred Gettelman Henry Roettgers, Pres. Chas. J. Kuhnmuench A. A- Koch, Vice Pres. John A. Schwalbach J. D. Morris, Vice Pres. Henry J. Steinman, Jr. J. F. Maertz, Vice Pres. W alter A. Zinn E. H. Amacher, Cash. D irecto rs: M IL W A U K E E H enry R oettgers W is c o n s in S ta te B a n k A. A. Koch C. Glaus, Pres. J. F. M aertz H. S. Piggin s, V. Pres. J. D. Morris Wm. H. Hasse, Cash. C. F. H ackbarth, Jr. C. A. Kambe, A. Cash. E. F. Hintz D irectors: O. G. Storck John P. Bruemmer C. Glaus M IL W A U K E E AVm. H. Hasse P a r k S a v in g s B a n k Julius P. Heil F. G. Exner, Pres. E. J. Leiser Robert Reinhold, V. Pres. H. W. Noll Edw. Schildknecht, V. Pres. John H. Paul P. H. W endt, Cash. H arry S. Piggin s D irecto rs: Edw. E. Plaum F. G. Exner Herman T. Rediske Robert Reinhold Aug. C. Sehrt Edw. Schildknecht P. H. W endt M IN E R A L P O IN T S. P. Croft F a r m e r s S a v in g s B a n k R. S. W itte W. C. Skillicorn, Pres. Em>l Priebe G ilbert A. Baker. V. Pres. W illiam Esser L. K. Peterson, Cash. Wm. C. F eerick H. J. Beck, A. Cash. Peter K otvis Bertha Anderson, A. Cash. Henry Hunholz https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 267 M ONDOVI F ir s t N a tio n a l B a n k S. B. Lockwood, Pres. D. A. Whelan, Vice Pres. Edwin J. Larkin, Cash. Oscar F. Tanz, A. Cash. Edw. M. Johnson, A. Cash. D irectors: S. B. Lockwood D. A. Whelan E. W. Fisher Zeno Canar Chas. E. Vincent Oscar B. Slettland N ick Larson M ONDOVI T h e M o n d o v i S ta te B a n k Henry Moy, Pres. E. L. Erickson, Vice Pres. W ayne Canar, Cash. F. J. Bauer, Jr., A. Cash. Directors: Henry Moy E. L. Erickson G. L. Broadfoot Ole H ageness J. W. Trow bridge Bert Deetz A ugust Schreiner M ONROE T h e C itize n s B a n k A dolf Abplanalp, Pres. R. F. Burm eister, V. Pres. O. N. Johnson, Cash. G. E. Zuercher, A. Cash. D irecto rs: A. Abplanalp Roy F. Burm eister O. N. Johnson L. A. Moore H. B. Caradine P. S. Solomon John Deininger W. A. Loveland M ONROE T h e C o m m e rc ia l * Bank S a v in g s C. W. Bennett, Pres. R. H. W enger, Vice Pres. H. C. Roth, T ru st Officer & Cash. H. W. Gordon, A. Cash. H. J. Elmer, A. Cash. 268 REPORT OF THE COMMISSIONER OF BANKING D irectors: C. VV. Bennett R. H. W enger E. T. Kundert Em il Escher John H. Elmer A. P. Benkert R. L. Rote R ay F itzgibbons Bruce M. Blum MONROE T h e F ir s t N a tio n a l B a n k o f M onroe F. B. Luchsinger, Pres. Paul T. Schulze, Y. Pres. John T. iiuter, Vice tTcs. F. J. Blumer, Vice Pres. R. W. Prien, Cash. R. E. Erickson, A. Cash. D irectors: F. B. Luchsinger John T. E tter F. J. Blumer F ra n k A. Shriner W illis Ludlow M ONTELLO T h e M o n te llo S ta te B a n k M. M. Smart, Pres. A. H. W etlaufer, V. Pres. L. W. Shurpit, Cash Charlene B arry, A. Cash. D irecto rs: M. M. Smart A. H. W etlaufer John W incell John E. Gardner K. J. Callahan W. A. F re ita g L. W. Shurpit M ONTFORT C itize n s S ta te B a n k Herman Trankle, Pres. David James, V. Pres. H arvey DiVall, Cash. R. W. Neuendorf, A. Cash. D irecto rs: Herman T rankle David James John Kram er John R. Draves A. W. DiVall M O N T IC E L L O (la n k o f M o n tic e llo J. C. F reitag, Pres. W. A. Loveland, Vice Pres. J. W. Barlow, Cash. Frieda Benkert, A. Cash. D irecto rs: J. C. F re ita g W. A. Loveland John Dick G errit Kooreman Nie F re ita g J. W. Barlow J. C. Steinman, Sr. M O S IN E E F a r m e r s S ta te B a n k H arris B. Hanna, Pres. Robert W. Monk, V. Pres. F. B. Helbach, Cash. Clayton Shimek, A. Cash. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Directors: H arris B. Hanna Robert W. Monk F. B. Helbach John Belohlavek M. J. Cepress M O S IN E E S tate B a n k o f M osin e e M. H. A ltenburg, Pres. A. G. Kernin, Vice Pres. A. A. Lindner, Vice Pres. Orin Boeyink, Cash. Directors: M. H. A ltenburg A. G. Kernin A. A. Lindner Ray M aguire Ed. O’Connor James B aravetto Howard D essert MT. C A L V A R Y M t. C a lv a r y S ta te B a n k Albert W agner, Pres. Arthur H. Seibel, Vice Pres. M. H. Haberman, Cash. J. L. Rieden, A. Cash. R ay W agner, A. Cash. D irectors: A lbert W agner A rthur H. Seibel Louis Seibel Henry Steffes A. C. K a rst S. M. G uelig J. E. Hennen »IT. IIO R E B T h e S ta te B a n k o f M ou n t H o re h Andrew Hoff, Pres. R. E. Beat, Vice Pres. I. Fosshage, Cash. C. P. Brechler, A. Cash. D irectors: Geo. F. Harmon Andrew Hoff I. Fosshage R. E. Beat C. P. Brechler MUKW ONAGO C itizen s B a n k o f M ukvvonago Chas. F. H unter (D e ceased), Pres. Chas. E. Wood (Deceased), Vice Pres. J. C. Harland, Vice Pres. Floyd S. McKenzie, Cash. ■ T. Leo Mitten, A. Cash. D irectors: Chas. F. Hunter, deceased Chas. E. Wood, deceased J C. Harland Floyd S. McKenzie J. Leo Mitten L ,T. Swan H. F. Hoffman A. O. B ayley H. C. Greeley VECEDAH T h e N e ce d ah B a n k C. C. Fuller, Pres. Roy L. W are, Vice Pres. A. W. Sorensen, Cash. A. M. K ucirek, A. Cash. Directors: C. C. F uller Roy L. W are J. C. Rattunde A. M. K ucirek A. W. Sorensen NEENAH F ir s t N a tio n a l B a n k F. E. Ballister, Pres. C. A. Babcock, Vice Pres. Ad. Hennig, Cash. Ambrose Owen, A. Cash. E. J. Schultheis, A. Cash. D irectors: C. A. Babcock J. N. Bergstrom D. K. Brown C. B. C lark Ernst Mahler F. J. Sensenbrenner F. E. B allister NEENAH T h e N a tio n a l M a n u fa c tu r ers B a n k o f N eem ih S. F. Shattuck, Pres. S. N. Pickard, Vice Pres. A. C. Gilbert, Vice Pres. H. C. Hilton, Cash. J. F. G illingham , A. Cash. W. G. Brown, Chr. of the Board D irectors: W. G. Brown A. C. G ilbert H. R. Hanson E. E. Jandrey, Jr. M. W. K ru eger G ustav K alfah s S. N. Pickard S. F. Shattuck N. J. W illiam s N E IL L S V I L L E T h e F ir s t N a tio n a l a t N e ills v ilie Bank A. E. Dudley, Pres. Fred Stelloh, Vice Pres. Jas. A. Musil, Cash. W. H. Allen, A. Cash. Directors: A. E. Dudley Geo. E. Crothers Ernest Herrmann V. W. Nehs Fred Stelloh Jas. A. Musil Wm. B. T ufts N E IL L S V I L L E N e ills v ilie B a n k Mary D. Hemphill, Pres. W. J. Marsh, Vice Pres. Herman North, V. Pres. & Cash. Carl A. Juvrud, A. Cash. Directors: M ary D. Hemphill W. J. Marsh Herman North A rthur H. Im ig Wm. K urth W. J. Rush Geo. F. Zimmerman REPORT OF THE COMMISSIONER OF BANKING NEKOOSA N e k o o sa S ta te B a n k W. A. Radke, Pres. John E. Alexander, V. P. L. L. Mohlke, Cash. L. I. Konash, A. Cash. D irectors: John E. A lexander Martin Brandt F. J. M cGarigle J. J. Mlsna L. L. Mohlke M. J. Pow er W. A. Radke L. E. Smith N ELSO N F ir s t N a tio n a l B a n k Ole C. Olson, Pres. Thomas Ottesen, Vice Pres. A rthur Schilling-, Cash. D irectors : Ole C. Olson Thomas Ottesen A. H. Anderson T. J. Severson Louis Synstad L. J. Mueller Jule Reinhardt NESHKORO F arm ers E x ch a n ge B ank o f N e sh k o ro Constant Dequaine, Cash. Antone DesJardins, A. C. Directors: A. L. G reiling Joshua Bodard Constant Dequaine Theodore Dujardin Sylvan VanD risse Antone A llen W. B. Surplice N E W GLARUS T h e B a n k o f N e w G la ru s Rudolph Kundert, Pres. E. F. Kaeser, Vice Pres. E. J. Hoesly, Vice Pres. J. S. Urben, Cash. G. F. K lassy, A. Cash. J. J. F igi, A. Cash. ICltner P. F igi, A. Cash. D irecto rs: Rudolph K undert E. F. K aeser E. J. H oesly H enry Steussy Em anuel Streiffi Fred Strahm A lvin A. Ott M. K. Peters J. Jacob H efty N E W H O L S T E IN P e o p les S tate B a n k J. W. Johnson, Pres. A. C. Dahlke, Vice Pres. R ay Knutson, Cash. H ilbert K rueger, A. Cash. D irectors: J. W. Johnson A. C. Dahlke W. C. Bender Stanley Loshinski Julius E. Reetz Louis Erbe, Pres. Peter Iversen, Vice Pres. Eugene Wulff, Cash. Else Vollstedt, A. Cash. D irectors: Otto T agge O. H. Leverenz H. C. Timm Fred W oelfel, Sr. Jac. Krupp D. F. K aiser H. C. Krohn N E W AUBURN B ank of N ew Auburn N E W L IS B O N N ew L isb o n S ta te B a n k J. Edw. Erickson, Pres. H. McCormick, Vice Pres. Leroy Abrahamson, Cash. Directors: J. Edw. Erickson H. McCormick Leroy Abrahamson G. W. Engebretson C. P. Hansen O. E. Hanson H enry Engebretson H. J. Mortensen, Pres. W. H. F arley, Vice Pres. H. J. Gibson, Cash. Ida Hayes, A. Cash. Directors: H. J. Mortensen W. H. F arley Otto Gebhart W. L. Cure H. J. Gibson NEW BURG S ta te B a n k o f N e w b u r g John G. Reichl, Pres. A. E. Brott. Vice Pres. Dr. H. F. W eber, Vice Pres. F. P. Isselman, Cash. Directors: John G. Reichl A. E. Brott Dr. H. F. W eber F ran k K irst Herman W ilkens NEW FRANKEN N e w F r a n k e n S ta te B a n k A. D. Greiling, Pres. Joshua Bodard, Vice Pres. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis N E W LONDON T h e F ir s t S tate R a n k o f N e w L on don F ran k L. Zaug, Pres. G. A. Vandree, Vice Pres. A. L. Severance, Exec. Vice Pres. E. C. Jost, Cash H arvey A. Romberg, A. Cash. O. K. Ziebur, A. Cash. D irecto rs: H. B. Cristy Wm. Manske F ay R. Smith M. C. T rayser G. A. Vandree E. W. W endlandt F ra n k L. Zaug 269 N E W R IC H M O N D B a n k o f N e w R ic h m o n d M. H. McNally, Pres. W. T. Doar, Vice Pres. F. H. Bixby, Vice Pres. G ilbert Nelson, Vice Pres. C. H. Sperbeck, Cash. D irectors : M. H. McNally W. T. Doar F. H. B ixby G ilbert Nelson Adolph Anderson H artford Anderson W. H. Casey Lizzie R. McCoy Ruth J. McCoy Otto A. Olson A. Tobin Geo. Oakes H. M. T raiser C. H. Sperbeck N E W R IC H M O N D T h e F ir s t N a tio n a l B a n k W. E. Greaton, Pres. Mike Tanney, Vice Pres. Matt L yngaas, Vice Pres. H. T. Soderberg, Cash. W. B. Greaton, A. Cash. Directors: W. E. Greaton Mike Tanney M att L yn gaas H. T. Soderberg C. V. Pearson NEW TON N e w to n S ta te B a n k Edw ard Rohde, Pres. Wm. Belitz, Vice Pres. E rw in Bruckschen, Cash. Directors: Edw ard Rohde Wm. Belitz E rw in Bruckschen Otto Schmitz F ran k O’Neil, Jr. Wm. Stock Jacob P. Zych N IA G A R A F ir s t N a tio n a l B a n k R. S. Pow ell, Pres. S. F. Shattuck. Vice Pres. A rthur Lundahl, Cash. Oscar Durand, A. Cash. D irecto rs: Anton Hohol C. J. Jansen A rthur Lundahl R. S. Pow ell S. F. Shattuck E. W. Stridde F. X. W allen fan g A. W. W ilson John Zaidel N IC H O L S S ta te B a n k o f N ic h o ls A. A. Fraser, Pres. Fred Drephal, Vice Pres. Jacob Hahn, Cash. 270 REPORT OP THE COMMISSIONER OP BANKING D irectors: A. A. F raser Fred Drephal Jacob Hahn H. W. Tuttrup A. Vande W alle Louis Tackm an Emil Mueller NORTH FOND DU L A « T h e F ir s t W is c o n s in B a n k S. D. W yatt, Pres. H. M. W yatt, Vice Pres. A. M. Plath, Cash. Directors: S. D. W y a tt H. M. W yatt P. B. Haber A. J. Pullen J. E. Koepenick O. E. W odsedalek NORTH FR E E D O M B a n k o f N o r th F re e d o m R. B. Dickie, Pres. W illiam Dickie, Vice Pres. R. S. Lange, Vice Pres. W. F. Greenhalgh, Cash. M ary Moll, A. Cash. D irectors: R. B. Dickie W illiam Dickie R. S. L ange W. F. Greenhalgh Conrad E gerer P. D. Stackm an R. M. Spaulding NORTH L A K E B a n k o f N o rth L a k e Burton M. Smith, Pres. Dr. F. J. Donnelly, V. Pres. Phares Peterson, Cash. G. M. Reynolds, A. Cash. L aVerne W ienefeld, A. Cash. D irectors: Burton M. Smith Dr. F. J. Donnelly Christen Sorensen Rev. Louis N. Zirbes F ra n k J. Janda NORWALK C o m m u n ity S ta te B a n k F ran k W artm an, Pres. R osalia V. Goetz, Vice Pres. C. F. Hornung, Ex. V. Pres. M. O. Heffernan, Cash. D irectors: F ra n k W artm an R osalia V. Goetz C. F. Hornung M. O. Heffernan Geo. A. W alz Wm. F. Vieth F ran k E. F alk e O A K F IE L D B a n k o f O akfield D irecto rs: C. Henningsen Mabel E. Barber F. J. Carpenter F. L. Culver A u gu st Kolterm an K. A. Morgan OCONOMOWOC B a n k o f O con o m ow oc E. S. Thompson, Pres. J. A. Peacock, Vice Pres. F. J. Preston, Vice Pres. C. A. Frank, Cash. M. L. Heider, A. Cash. H. E. Timmel, A. Cash. D irectors: E. S. Thompson J. A. Peacock F. J. Preston C. A. F ran k A. D. Shannon Geo. Lawson C. L. Petersen A. G, T ravis W. H. Brooks C. M. Lower, Pres. G. C. Devine, Vice Pres. Ira C. K ritz, Cash. Directors: C. M. Low er G. C. Devine A. F. Luetke J. S. Resch J. H. Timmerman J. F. Sullivan F. J. Rice OCONOM OW OC O con o m ow oc N a tio n a l Bank OO STBU RG O o s tb u r g S ta te B a n k George C. Johnson, Pres. F. W. Mouso, Vice Pres. W. J. Counsell, A. Cash. W. O. Clausen, A. Cash. D irecto rs: Frederic E. Adler N. W. Evans George C. Johnson A. D. L yk e F. W. Mouso Grove E. Palm er E. C. Theobald Jos. B. W eix J. F. W ilkinson OCONTO F ir s t N a tio n a l B a n k R. G. Flanders, Pres. F. J. Lauerman, Jr., V. Pres. T. G. Bailey, Cash. H. H. M ayberry, A. Cash. D irecto rs: T. A. Pamperin W. M. Comstock R. G. Flanders Louis Amore F ra n k J. Lauerman, Jr, O CONTO F A L L S O conto C o u n ty S ta te B a n k John Liegeois, Pres. W. A. F latley, Vice Pres. Edd Speaker, Cash. C. V. M orrissey, A. Cash. D irectors: John Liegeois W. A. F la tle y F. J. Huss Fred L. Koehne A. J. Peterson Gust F a lk Wm. C. F eldt OM RO C. Henningsen, Pres. F a r m e r s B a n k o f O m ro Mabel E. Barber, V. Pres. H. B. W inslow, Pres. K. A. Morgan, Cash. A gnes A. H uenerberg, A. C. C. E. Jones, Vice Pres. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis A. J. Marble, Cash. L. E. Shelp, A. Cash. R. A. Diestler, A. Cash. D irecto rs: H. B. Winslow C. E. Jones A. J. Marble L. E. Shelp C. E. K in g O. H. W agner C. I. Smith O N T A R IO B a n k o f O n ta rio John Brethouw er, Pres. B. Brethouw er, Vice Pres. James De Munck, Cash. H arvey B rill, A. Cash. Directors : John Brethouw er B. Brethouw er James De Munck Ed. Faas M atthew Daane Ed. Daane L. B. Grotenhuis J. W. H esselink Isaac Le Mahieu OREGON B a n k o f O regon R. R. Pease, Pres. E. F. Kram er, Vice Pres. O. E. Richards, Cash. D irecto rs: W. J. A llan N. T. Ames Duane Bowman E. F. K ram er R. R. Pease O. E. Richards F. R. Sweeney O R F O R D V IL L E F a r m e r s & M e rc h a n ts B a n k o f O rfo r d v ille O. A. Peterson, Pres. P. E. Gaarder, Vice Pres. A. C. Gaarder, Cash. Alice Rossiter, A. Cash. Cora C. Rime, A. Cash. Directors: O. A. Peterson A. C. Gaarder P. E. Gaarder Cora C. Rime L. M. Cleophas A. S. Peterson F. E. Gaarder REPORT OF THE COMMISSIONER OF BANKING Directors: George Hilton R. A. Brauer H enry C. Oakey, Pres. Robert Brand B. J. Zimmerman, Y. Pres. Theodore R. Frentz P. W. Gruenewald, Y. Pres. Chas. M. Boiler Iver M. Hagen, Cash. T. G. Brown Eugene Beyl, A. Cash. Ed. T. Cole D irecto rs: A. H. Gruenewald H enry C. Oakey E. J. Haase B. J. Zimmerman P. H. Hull P. W. Gruenewald Hugo Merk Iver M. H agen L. O. Simenstad W illis P. Koch OSCEOLA B a n k o f O sceola OSH KOSH F ir s t N a tio n a l B a n k in O sh k o sh OSHKOSH T h e O sh k o sh N a tio n a l Bank A. C. K ingston, Pres. A. A. Abraham, Vice Pres. Dr. C. J. Combs, V. Pres. Louis Schriber, Pres. E. R. W illiam s, Vice Pres. Henry Zentner, Cash. E. R. Dickmann, Vice Pres. D irecto rs: O. J. Hardy, Chairman Edw. H eisinger, Cash. A. C. K ingston H. A. Pokrandt, A. Cash. A. A. Abraham E. H. Becker, A. Cash. Dr. C. J. Combs Miss E. M. Steinke, A. Cash. P. B. K eefe Directors: H enry A uler R. P. Boardman P. L. Conroy Charles P. B ray P. M. Spellman D. N. Cameron P. J. Sullivan C. A. Carver E. J. Dempsey Geo. L. G ilkey OSHKOSH Wm. H. H atten S e c u rity B a n k o f O sh k o sh R. A. H ollister J. E. Morgan M. C. Mertz. Pres. J. G. Morris L. A. Gunz, V. Pres. & Cash. Phil. H. Saw yer E. A. Binder, A. Cash. Louis Schriber H. A. Zw eifel, A. Cash. P. C. W aite D irecto rs: J. H. W all O. C. Laabs E. R. W illiam s P. S. Menzel E. M. Schneider Ernst Raddatz E. S. Baranow ski OSHKOSH P. W. Mueller F ir s t T r u s t C o m p a n y in M. C. Mertz O slikosli L. A. Gunz Louis Schriber, Pres. R. P. Boardman, V. Pres. George Greeley, Secy.— OSSEO Treas. B a n k o f O sseo M artha Mack, Asst. Secy. E. Hagen, Pres. D irectors: O. C. Nessa, Vice Pres. C. P. B ray T. S. Hulberg, Cash. D. N. Cameron S. T. Thompson, A. Cash. C. A. Carver E. A. Nelson, A. Cash. E. J. Dempsey M. E. Skogstad, A. Cash. Geo. L. G ilkey R. E. Gilbert, A. Cash. W. H. H atten Directors: R. A. H ollister T. R. Dean J. E. Morgan E. Hagen J. G. Morris T. S. H ulberg Louis Schriber H. A. Indrebo H arry W all Fred Johnson Philip C. W aite Nels L. Johnson E. R. W illiam s R. N. Leasum R. P. Boardman O. C. Nessa H. A. Stubbe OSH KOSH T h e N e w A m e ric a n B a n k George Hilton, Pres. R. A. Brauer, Vice Pres. Robert Brand, Vice Pres. Theodore R. Frentz, Cash. H. D. W itzel, A. Cash. Theo. G. Prentz, A. Cash. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis PALMYRA P a lm y r a S ta te B a n k E arl Garbutt, Pres. P. H. Meister, Vice Pres. W. R. Norris, Cash. Ada Seamon, A. Cash. 271 D irectors: E arl G arbutt P. H. M eister W. R. Norris R. W. B artholf Melvin Mason W. J. K etterhagen A. J. Steinhoff PAR K FALLS T h e F ir s t N a tio n a l B a n k Guy Waldo, Pres. Jake Rabenowich, V. Pres. E. O. Gehrman, Cash. Jos. J. Stauber, A. Cash. D irectors: Guy W aldo Jake Rabenowich L. W. Buboltz John E sterl John K indinger J. B. Saunders Aug. Schmidt PAR K FALLS P a r k F a lls S ta te B a n k A. E. K aiser, Pres. G ilbert L. Nordal, V. Pres. B. J. Aschenbrener, Cash. S. A. Erdman, A. Cash. D irecto rs: A. E. K aiser G ilbert L. Nordal Dr. J. D. Leahy A lbert Steinacker L. J. Aschenbrener S. A. Erdman P E S H T IG O P e s h tig o N a tio n a l B a n k S. D. Woodward, Pres. J. H. Stibbe, Vice Pres. Oscar J. Bartels, Cash. E. L. LeBlond, A. Cash. D irecto rs: S. D. W oodward J. H. Stibbe A. G. F ow ler Fred Peterson Albin Peterson P E S H T IG O P e s h tig o S tate B a n k Morris R. Smith, Pres. W illard J. Harper, V. Pres. R. J. Rabe, Cash. D irectors : Morris R. Smith W illard J. Harper E. A. Meyer Christ Thompson Herman H artw ig Fred Sweningson Seward Skowlund PEW AFKEE P e w a u k e e S ta te B a n k J. B. Ely, Pres. Otto C. Laabs, Vice Pres. Edwin B. Stillman, V. P. Wm. P. Evert, Vice Pres. C. R. Richardson, Cash. R etta S. Larson, A. Cash. P. A. Staus, Pro. Cash. 272 REPORT OF THE COMMISSIONER OF BANKING D irecto rs: J. B. E ly Otto C. Laabs Edwin B. Stillman Wm. F. E vert M. D. B arry PHELPS P h e lp s S ta te B a n k C. M. Christiansen, Pres. E arl A. Korth, Vice Pres. Elm er A. Olson, Cash. D irectors: C. M. Christiansen E arl A. K orth Chas. E. Hazen K. Martin Thompson Elm er A. Olson P H I L L IP S F ir s t N a tio n a l B a n k in P h illip s H enry Niebauer, Pres. Geo. R. Foster, Vice Pres. F. M. Linderman, Cash. D irectors: H enry Niebauer Geo. R. F oster R. I. Baumann K a rl Mess J erry Sedivy P H I L L IP S S ta te B a n k o f P h illip s N. E. Lane, Pres. G. M. Chamberlain, V. P. D. K. Tyler, Cash. B. W. Malm, A. Cash. D irectors: N. E. Lane G. M. Chamberlain J. A. DeBardeleben C. E. Tobey J. R. F arr P IC K E T T P ic k e tt S ta te B a n k J. G. Pickett, Pres. H enry Miller, Vice Pres. H. W. Dauffenbach, Cash. D irectors: J. G. P ick ett H enry M iller M. E. Mackie H. W. Dauffenbach Levi Jones J. F. Shea A. P arks P IG E O N F A L L S P ig e o n F a lls S ta te B a n k H. A. Anderson, Vice Pres. E. B. Christophersen, V. P. O. B. Sletteland, Cash. E. M. Frem stad, A. Cash. D irectors: J. J. Staff H. A. Anderson E. B. Christophersen J. F. Johnson O. B. Sletteland https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis P L A IN F IE L D W a u s h a r a C o u n ty B a n k H. E. Pratt, Pres. G. D. Sargent, Cash. F. H. W agner, A. Cash. D irecto rs: H. E. P ra tt G. D. Sargent J. W. Dunegan F. B. Rawson F. H. W agner P L A T T E V IL L E F ir st N a tio n a l B a n k o f P la tte v ille A. W. Kem ler, Pres. A. W. Kopp, Vice Pres. O. E. Gray, Cash. C. A. Alexander, A. Cash. F. O. W hitcher, A. Cash. Directors : O. E. G ray A. W. K em ler A. W. Kopp F. W ienbergen W. N. Smith Geo. S. W hitcher W ilson Cunningham P L A T T E V IL L E M ound C ity B a n k W. F. Knebel, Pres. H. R. Andrew, Vice Pres. Hal Murley, Cash. H. C. Steffens, A. Cash. D irecto rs: W. F. Knebel H. R. Andrew J. W. Burris, Jr. R. S. Heer H arry Mueller A. E. Rundell E. H. Steffens F. E. Stephens Geo. Thomas P L A T T E V IL L E S ta te B a n k o f P la tte v ille W. H. Doyle, Pres. John K ettler, Vice Pres. M. J. Kam la, Cash. Ira O. Poller, A. Cash. W. A. Bentz, A. Cash. D irecto rs: R. E. B alliette W. A. Bentz W. H. Doyle George Harms John K e ttle r Amos K ies Ira O. Poller B ert Reiter W. W. Shepherd PLYM OUTH P ly m o u th E x c h a n g e Bank E. A. Bruns, Pres. Geo. L. Mooney, Vice Pres. O. A. Scheibe, Cash. Edw. E. Zerler, A. Cash. D irectors: E. A. Bruns Geo. L. Mooney Edw. E. Zerler Directors— continued J. H. Peters Emil T itel Jay Eastm an H. F. Deicher PLYM OUTH S ta te B a n k o f P ly m o u th G. W. Brickbauer, Pres. A. H. Vick, Vice Pres. O. Hoeppner, Cash. W. L. K aestner, A. Cash. D irecto rs: G. W. Brickbauer A. H. V ick O. Hoeppner W. L. K aestner Henry A lves J. M. Doesburg R. H. H anke George Jurss George Kappelm an Henry Ott POPLAR P o p la r S tate B a n k Robert Olson, Pres. W illiam Lundberg, V. P. C. R. Olson, Cash. Marion Lundberg, A. Cash. Directors: Robert Olson C. R. Olson C. T. Peterson Edw. Niemi Wm. Lundberg PORTAGE C ity B a n k o f P o r ta g e Wm. LI. Breese, Pres. H. B. Rogers, Vice Pres. T. N. Halvorson, Cash. E. J. Crowley, A. Cash. D irecto rs: Wm. LI. Breese H. B. Rogers LI. Breese A. C. T aylor John F. Carroll PORTAGE F ir s t N a tio n a l B a n k A rthur J. B atty, Pres. R. G. Stotzer, Vice Pres. R. O. K lenert, V. Pres. & Cash. E. J. Murphy, A. Cash. D irectors: A rthur J. B atty W. E. Nichols R. G. Stotzer R. O. K lenert Geo. Staudenm ayer P O R T W A S H IN G T O N F ir s t N a tio n a l B a n k o f P o r t W a s h in g t o n John E. Uselding, Pres. Norman E. Henze, V. Pres. H arry L. Lauters, Cash. W. H. K ruke, A. Cash. Ed. N. Uselding, A. Cash. REPORT OF THE COMMISSIONER OF BANKING D irectors: John E. Uselding Norman E. Henze H arry L. L auters O laf Elton Wm. J. Ubbink P O R T W A S H IN G T O N T h e P o r t W a s h in g to n State Bank Clarence Hill, Pres. O. E. Moeser, V. Pres. C. Donald H ill, Cash. Arno V. Dix, A. Cash. Adolph H. Ansay, A. Cash. POYNETTE B a n k o f P o y n e tte A. J. Jamieson, Pres. J. W. Jamieson, V. Pres. H. P. Jamieson, Cash. A. A. Jamieson, A. Cash. Directors: H. P. Jamieson A. J. Jamieson J. W. Jamieson J. R. Jamieson A rthur A. Jamieson P O Y S IP P I F a rm e r« S ta te B a n k C. W. Colt, Pres. F ran k Blaisdell, V. Pres. P O R T W IN G T. S. Jorgensen, Cash. G rant Godson, A. Cash. F ir s t S tate B a n k o f Directors: P o rt W i n g C. W. Colt S. Swanson Ogren, Pres. F ran k Blaisdell F. H. Pufahl John T. H elsing, Vice Pres. Dan J. Daly, Cash. F. W. Lindekugel Norma T. H elsing, A. Cash. T. S. Jorgensen D irectors: S. Swanson Ogren P R A I R I E D U C H IE N John T. H elsing P eop les S ta te B a n k W. T. G ruver James Fisher, Pres. S. L. Ogren J. O’Neil, Vice Pres. H arry Jardine Emmanuel Rod, Cash. Wm. H. Scheibel, A. Cash. POTOSÍ Ethel M etcalf, A. Cash. Clair Cummings, A. Cash. P o to sí S ta te B a n k D irecto rs: Adam Schumacher, Pres. James Fisher Andrew Bode, Vice Pres. J. O’Neil C. J. R agatz, Cash. T. C. Bonzer D. H. Reinecke, A. Cash. T. E. F arrell D irectors: Jos. Doll Adam Schumacher W. J. Graff C. J. R agatz A ndrew Bode P R A I R I E D U C H IE N W. A. Schumacher P ra irie C ity B a n k John Menne, Sr. A rthur Ringland W. R. Graves, Vice Pres. W illiam Zenz T. E. Gander, Cash. Jos. J. Dunne, A. Cash. Edith DuCharme, A. Cash. POTTER Directors: F a r m e r s S tate B a n k o f J. H. Peacock P o tte r F. H. Poehler Fred W. Grelle Geo. H. Duchow, Pres. Paul H. Schmidt Chas. W enzel, Vice Pres. W. R. Graves G. C. Riedel, Cash. T. E. Gander Directors: Geo. H. Duchow P R A I R I E D U SAC G. C. Riedel A. H. Schw alenberg B a n k o f P ra irie du Sac Chas. W enzel I. C. Evans, Chairman Wm. C. W unrow J. R. Carpenter, Pres. H. J. Steeps, Vice Pres. J. L. P. Accola, Cash. POUND W. A. Schreiber, A. Cash. F a r m e r s S ta te B a n k G. W interm antel, A. Cash. R. J. Brooks, Pres. Directors: A. P. Chase, Vice Pres. A. G. Accola W. A. Seils, Vice Pres. J. L. P. A ccola E. A. Kussmann, Cash. J. P. Doll L. H. Culver, A. Cash. J. R. Carpenter D irectors: I. C. Evans R. J. Brooks J. P. K indschi A. P. Chase C. H. Schoephorster W. A. Seils J. U. Schmidt Aug. Seils W. A. Schreiber E. A. Kussmann H. J. Steeps L. H. Graner A ugust Unke L. H. Culver G. W interm antel 18 https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 273 P R A IR IE F A R M F ir s t S ta te B a n k of P ra irie F a r m C. W. Mau, Pres. Geo. R. Borum, Vice Pres. W illard F. Mau, Cash. D irecto rs: C. W. Mau Geo. R. Borum W illard F. Mau F. L. Van Sickle Am elia E. Mau PRESCOTT F ir s t N a tio n a l B a n k o f P re s c o tt Edw ard Longw orth, Pres. Geo. M. Dill, Vice Pres. Anton B. Rieland, Cash. Lester Fiedler, A. Cash. D irecto rs: Geo. M. Dill Anton B. Rieland G. E. H ollister C. B. L ongw orth Edw ard Longw orth P R IN C E T O N F a r m e r s —M e rc h a n ts NatM B a n k in P rin ce ton Hyman Swed, Pres. J. B. Zodrow, Vice Pres. E. H. Mevis, Cash. C. A. Miller, A. Cash. Directors: Hyman Swed J. B. Zodrow Herman W eber Otto Zanto F. W. Schmidt P R IN C E T O N P rin c e to n S ta te B a n k F ran k L. Giese, Pres. H. J. M axw ell, Vice Pres. A. J. Beyer, Cash. Directors: F ran k L. Giese H. J. M axw ell Arnold D ahlke Dr. C. H. Affeldt Henry Prieve W alter Losinski PULASKI P u la s k i S ta te B a n k H. T. Peplinski, Pres. George Hanson, V. Pres. Tony E fta, Cash. Ed. Goska, A. Cash. B. J. L ontkow ski, A. Cash. Directors: H. T. Peplinski George Hanson J. A. Peplinski Vincent K ry g e r Herman Chlebow ski John W. Reynolds St. B aksalerski Mike Lyons Law rence Szym anski 2 7 4 RËPÔÊT ÖF THE COMMISSIONER ÔF BANKING R A C IN E A m e r ic a n B a n k an d T r u s t Com pany G. C. W eyland, Pres. A. B. Modine, Vice Pres. H. F. Johnson, Jr., V. Pres. W. G. Aschenbrener, V. P. L. S. Bowne, Cash. L. C. Rowan, A. Cash. H. J. Graham, A. Cash. G. T. Ryan, A. Cash. D irectors: D. M. A verill P. H. Batten P. C. Beck W. H. Bell A. R. Callender C. E. D iercksm eier E. J. G ittins F. W. Gunther M. E. W alker W. H. W alker J. W iechers H. E. Wilson G. C. W eyland L. S. Bowne A. B. Modine W. G. Aschenbrener H. F. Johnson, Jr. R A C IN E N orth Side B a n k A rthur R. Janes, Pres. Anton Smerchek, V. Pres. Roy F. Ruland, Cash. Otto Crouch, A. Cash. D irectors: H enry Gloede, Jr. A. E. Haumersen Arthur R. Janes Fred Radewan E. J. Simanek Anton Smerchek Chas. V eselik Directors— continued Dr. T. E. Malloy A. J. M ueller Oswald V o igt F ra n k W inter REEDSBÜRG F a r m e r s an d M e rc h a n ts Bank Conrad G. W iesler, Pres. D. G. Schweke, V. Pres. Conrad G. W iesler, Cash. Lucille A. Siemandel, A. C. Directors : Dr. F. A. F ike R A C IN E Peter J. Horkan G. W. Oehlers W e s t R a c in e B a n k Wm. Reines O. P. Graham, Chr. of Brd. D. G. Schweke Chas. C. Nelson, Pres. H. J. V oigts F. J. McNeill, V. P. & Cash. C. G. W iesler A. F. Rasmussen, A. Cash. D irecto rs: O. P. Graham R E E D S B IJ R G F. J. McNeill The R ecd sburg B ank Chas. C. Nelson Gus Fondrie, Pres. J. A. Christensen P. R. Schweke, V. Pres. Roy H ilker W. H. Hahn, V. P. & Cash. W illiam Jensen Elm er A. Kutzbach, A. G. Edmund K in g H. C. Miller, A. Cash. P. E. Mogensen Paul S. Schultz, A. Cash. A. M. Sewell Theresa M. Timlin, A. Cash. R A C IN E D irecto rs: F a r m e r s & M e rc h a n ts R A D IS S O N A lfred W. Bernien Bank C h ip p ew a V a lle y B a n k E. J. Donahue Gus Fondrie J. W iechers, Pres. E. G. Kuehl, Pres. W. H. Hahn Jens Jensen, Vice Pres. C. M. Olson, Vice Pres. C. E. Phillips F ran k A. Olson, Cash. H. C. Lebeau, Cash. P. R. Schweke W. C. W illiam son, A. Cash. G. E. Phillips, A. Cash. H enry Thiemann I. E. Lebeau, A. Cash. D irectors: Directors: J. W iechers E. G. Kuehl Jens Jensen R E E D S V IL L E C. M. Olson Grover W eyland R e e d s v ille S ta te B a n k H. C. Lebeau W. S. Dooley Bryan C. Crow ell A. F. Zuehlke, Pres. Jerome W iechers L. J. Baldridge Edw. Reinemann, V. Pres. F ran k K ies J. G. O’Rourk, Cash. H. A. N utting Anna Kolerus, A. Cash. R A C IN E D irectors: A. F. Zuehlke RANDOLPH F ir s t N a tio n a l B a n k and B. J. Zuehlke T r u s t C o m p a n y o f R a c in e D a ir y m a n ’s S ta te B a n k Edw. Reinemann R. E. Goodhouse, Pres. O. P. Graham, Chr. Board R. A. Piepenburg H. J. Hughes, Vice Pres. T. B. Myers, Pres. J. G. O’Rourk A rthur R. Janes, Vice Pres. C. G. Blochw itz, Cash. F. L. Smith, A. Cash. J. H. Martin, Vice Pres. R E E S E V IL L E Louis F. Nelson, Vice Pres. A. L. Dobbratz, A. Cash. S tate B a n k o f R e e s e v ille D irectors: G. C. Peters, Vice Pres. R. E. Goodhouse E. J. Hughes, Pres. John A. Geyer, Cash. George Danek, A. Cash. H. J. Hughes W. F. H ickey, Vice Pres. J. W. Jung H. J. Yauman, Cash. , E. U. Eifler, A. Cash. P. B. K orzilius, Tr. Off. O. A. Sasada H. M. M ilitzer, A. Cash. Aug. Sadoski M eta K. Hagman, A. Cash. G. L. Thome, A. Tr. Off. Wm. W illiam s D irecto rs: Directors: Wm. E. Roberts E. J. Hughes Thos. G. Dickinson B. C. O’Laughlin W. F. H ickey Malcolm E. Erskine O. J. Jones H. J. Yauman O. P. Graham F. E. O’Rourke Gordon M. G uilbert E. R. Yerges RANDOM L A K E E. B. Hand Wm. Neuberger Richard P. H owell S ta te B a n k o f R a n d o m W alter C. Young A rthur R. Janes L a k e Jos. H. Martin W. E. Hoelz, Pres. T. B. Myers R H IN E L A N D E R Oswald V oigt, Vice Pres. Louis F. Nelson T h e F ir s t N a tio n a l B a n k A. J. Mueller, Cash. Wm. Harold Pugh S. D. Sutliff, Pres. D irectors: Edw. W. Rapps S. D. Nelson, Vice Pres. Dr. Ira M. Bemis Wm. D. Thompson C. A. Richards, Vice Pres. F ran k Koop Louis T. Vance F. A. Hyland, Cash. W. E. Hoelz E. H. W adew itz https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis REPORT OF THE COMMISSIONER OF BANKING Directors: M. R. Jeffris S. D. Nelson S. D. Sutliff C. A. Richards J. S. Daniels R H IN E L A N D E R M e rc h a n ts S ta te B a n k Folke Becker, Pres. A lex McRae, Vice Pres. H. H. Martin, Vice Pres. M. W. Leary, Cash. Directors: F olke B ecker A lex McRae H. F. Steele W. D. Brown A. Schauder Chas. B. Peterson A. J. O’Melia R. L. Caldw ell George DeByle B IB L A K E F ir s t N a tio n a l B a n k Jas. Upjohn, Pres. W. E. Freiberg, V. Pres. Clifford L. Curran, Cash. M. E. Trantow, A. Cash. Directors: Jas. Upjohn W. E. F reiberg Clifford L. Curran Fred Curran V ictor Kohn R IC E L A K E F ir s t N a tio n a l B a n k O. M. Sattre, Pres. H. F. Moors, Cash. C. E. Overby, A. Cash. D. T. Mitchell, A. Cash. P. Peterson, A. Cash. D irecto rs: O. M. Sattre W. D. L eary N. W. Heintz J. P. Schneider R IC E L A K E S ta te B a n k o f R ic e L a k e A llan S. White, Pres. C. E. Soderberg, V. Pres. E. J. Young, Cash. Ethel M. Bates, A. Cash. Gustave Johnson, A. Cash. D irecto rs: A llan S. W hite C. E. Soderberg E. J. Young W illiam B. Rydell Ethel M. Bates R IC H F IE L D R ich field S ta te B a n k Adam Ebling, Pres. Wm. D. W olf, Vice Pres. Richard H ackbarth, Cash. Directors: Adam E bling Wm. D. W olf Richard H ackbarth Fred K lippel Wm. A. Bauer Eugene Stuesser H arry H. Pickhard https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis R IC H L A N D C E N T E R F a r m e r s & M e rc h a n ts Bank E. E. McCollum, Pres. A lbert Grassman, V. Pres. C. A. Cutter, Cash. H. J. Gochenaur, A. Cash. D irecto rs: E. E. McCollum A lbert Grassman C. A. Cutter J. M. Q ualy T. M. Pease Carl Lunenschloss Dr. G. H. Benson R IC H L A N D C E N T E R R ic h la n d C o u n ty B a n k A. V. Pier, Pres. M. A. Goplin, Vice Pres. T. J. Martin, Cash. Eleanore LeHew, A. Cash. D irecto rs: A. V. Pier M. A. Goplin T. J. Martin H. F. Groh F. P. Lawrence Grant Ross T. S. Truesdale Jos. W olf R ID G E L A N D F a r m e r s S ta te B a n k Ole Jorstad, Pres. Chas. Bilse, Vice Pres. J. E. Wesslen, Cash. H. J. Hanson, A. Cash. Directors: Ole Jorstad J. E. W esslen Chas. Bilse Henry H. Jorstad J. R. F ergus R IO C R E E K T h e B a n k o f R io C reek Fred J. D eVillers, Pres. Joe J. Koss, Vice Pres. John Prokupek, Vice Pres. Carl E. F abry, Cash. D irecto rs: Fred J. D eVillers Joe J. Koss John Prokupek Carl E. F abry Fred E. Mueller R IP O N F ir s t N a tio n a l Jas. L. Stone, Pres. W. B. Foster, Vice Pres. J. W. W roght, Vice Pres. N. F. Kuether, Cash. A. B. Carter, A. Cash. L. F. Mowers, A. Cash. D irecto rs: J. B. Barlow E. J. Burnside H. A. Cody H. A. Diedrich W. B. Foster E. C. Johnson S. N. Pickard 275 Directors— continued J. A. Schrader J. G. Seelig Jas. L. Stone J. W1. W roght R IP O N R ip o n S ta te B a n k R. C. Stuart, Pres. A. D. Bice, Vice Pres. G. W. Lam bert, Cash. A. J. Novtzeske, A. Cash. F. E. Henslin, A. Cash. D irectors: R. C. Stuart A. D. Bice G. W. Lam bert F. C. Buchholz R. E. Shave A. W. Stew art O. C. Turner R IV E R F A LL S T h e F ir s t N a tio n a l B a n k J. F. Smith, Pres. J. F. Mack, Vice Pres. R. G. Swanson, Cash. Geo. C. Kind, A. Cash. M. M cLaughlin, A. Cash. D irectors: J. F. Smith R. G. Swanson J. F. Mack E. F. Benson K. S. W hite ROBERTS S ta te B a n k o f R o b e r ts A. M. Ford. Pres. C. H. Stouffer, Vice Pres. H. T. Jensen, Cash. A. O. Garlid, A. Cash. D irectors: W. T. Doar A. M. Ford A. O. Garlid H oward Greenfield P. M. Möllers John L. O’Connell John Snoeyenbos C. H. Stouffer C lark Webb ROSENDALE R o s e n d a le S ta te B a n k L. A. Salisbury, Pres. H erbert A. Bluemke. V. P. Ray. A. Koehntop, Cash. E thel J. Zickert, A. Cash. D irecto rs: L. A. Salisbury H erbert A. Bluem ke M. L. W elles H. W. Sw anke H arvey Sharratt ROSHOLT T h e S ta te B a n k o f R o s h o lt Jens Rosholt, Pres. Norman Rosholt, Vice Pres. Carl Rosholt, Cash. Lester Peterson, A. Cash. Vernon Rosholt, A. Cash. 276 REPORT OF THE COMMISSIONER OF BANKING D irectors: Jens Rosholt Carl Rosholt Norman Rosholt Jacob Rosholt Lester Peterson RUDOLPH F arm ers A M e rc h a n ts John Joosten, Pres. F ra n k Miller, Vice Pres. Louis Joosten, Cash. D irectors: John Joosten Louis Joosten F ran k M iller E. M. Slattery A. J. K u ja w a ST. CLOUD S ta te B a n k o f St. C loud L. B. Kohlman, Pres. Dr. L. C. Martin, Vice Pres. A. A. Schmitz, Cash. D irectors: Jos. G uelig V al Baus Thomas Ott Dr. L. C. Martin L. B. Kohlm an A. A. Schmitz S T . C R O IX F A L L S T h e F ir s t N a tio n a l B a n k Helen R. Cobb, Pres. Ben Clayton, Vice Pres. J. M. Fast, Cash. C. C. Peterson, A. Cash. E va Pray, A. Cash. D irectors: Helen R. Cobb D. I. Cobb H. G. Clayton Ben Clayton J. M. F ast S T . N A Z IA N Z St. N a z ia n z S ta te B a n k Nie Filz, Pres. Carl Fessier, Vice Pres. Theresa F ilz, Cash. D irectors: Nic F ilz Carl F essier M. N. F ilz Joseph K oenig Joseph Salm Joseph Schuler Anton Schwoerer S A U K C IT Y F a r m e r s A C itiz e n s B a n k Peter E. L eykauf, Pres. Geo. J. Trauten, Ex. V. P. Aug. E. M arquardt, V. P. George E. Marzolf, Cash. D irectors: Peter E. L eyka u f A u gu st E. M arquardt Michael Mack F elix Ferber George E. M arzolf https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis S C A N D I N A V IA C o m m e rc ia l S ta te Bank H arry E. Brooks, Pres. F. J. Anderson, Vice Pres. J. L. Nelson, Cash. Directors: H arry E. Brooks F. J. Anderson O. P. N ygaard Orin O. Jorgens R. M. Hanson SENECA F a rm e rs A M e rc h a n ts S ta te B a n k Thos. P. G arvey, Pres. K nute Olson, Vice Pres. Clarence Paulson, Cash. D irecto rs: Thos. P. G arvey Knute Olson Robert L aw ler John Iverson Clarence Paulson SEYM OUR F ir s t N a tio n a l B a n k Directors: John B. Gordon P. J. W inter M. F. Brener E. J. Buettner F. A. Jaeckel A. H. Klebesadel E. A. Kleem an C. C. Moede Chas. Piehl SH AW AN O S h a w a n o N a tio n a l B a n k Curtis Black, Pres. Dr. R. C. Cantw ell, V. Pres. H erbert J. Rose, Cash. C. F. W ilke, A. Cash. D irecto rs: Curtis B lack Dr. R. C. Cantw ell H erbert J. Rose John R. K adletz F ran k F. Martin SHEBOYGAN B ank o f Sheboygan O. L. Hall, Pres. Wm. H. Gunther, Vice Pres. Albert B rugger, Pres. Charles Freund, Vice Pres. R. A. Baumann, Cash. Martin H alverson, A . Cash. Edmund Wiese, Cash. Lenora Baker, A. Cash. Leo K a lk , A. Cash. Directors: C. J. K atte, Auditor Wm. F. Beck R. H. Mueller, T ru st Officer Directors: A lbert B ru gger F. W. Nause Charles Freund H. F. Roenitz Fred Krahn Jos. P feiler F ran k Beisgang E. R. B ow ler W illiam F. Piehl E. W. Schultz Edmund W iese O. L. H all Robert H. Kroos SEYM OUR Wm. H. Gunther S e y m o u r S ta te B a n k Chas. R. Prosser, Pres. H arvey P. Muehl, V. Pres. T. A. Nickodem, Cash. Directors: Chas. R. Prosser H arvey P. Muehl T. A. Nickodem A. G. Keune A. P. Lehner Julius Bubolz A. M. F a lck SHARON S h aron S ta te B a n k George C. Mansfield, Pres. Andrew C. Pond, V. Pres. Andrew C. Pond, Cash. Vance Spear, A. Cash. Directors: George C. Mansfield Andrew C. Pond Vance Spear H attie G. Searl John L. Chester SH AW AN O C itize n s S ta te B a n k John B. Gordon, Pres. P. J. W inter, Vice Pres. M. F. Brener, Cash. A lfred Moede, A. Cash. SHEBOYGAN C itize n s S ta te B a n k J. W. Hansen, Pres. O. H. Clark, Vice Pres. D. W. Huenink, Cash. Fred W ilke, A. Cash. F. A. Trier, A. Cash. George Knuth, A. Cash. A. C. Andersen, A. Cash. Con Poppe, Mgr. Leon Griese, Mgr. D irectors : J. W. Hansen O. H . C lark D. W. Huenink C. E. Garton Otto Jung SHEBOYGAN M e rc h a n ts S ta te B a n k F. P. Maersch, Pres. Wm. C. Hildebrand. V. P. George Siegel, Cash. Fred M. Maersch, A. Cash. D irecto rs: Wm. C. Hildebrand Hugo T rillin g L. F. C. Neumeister G ustav Helm ing F. P. Maersch REPORT OF THE COMMISSIONER OF BANKING SHEBOYGAN N orth Side S tate B a n k J. W. Hansen, Pres. A. J. Schmidler, Vice Pres. A. P. Federer, Cash. W. A. Mueller, A. Cash. Directors: J. W. Hansen A. J. Schmidler Louis H erziger D. W. Huenink G. J. Juckem H. Ebenreiter C. H. Wehrmann SHEBOYGAN T h e S e c u rity N a tio n a l Bank SH ERW O O D Sh erw oo d S ta te B a n k Joseph Spang, Pres. Hugo W ittmann, Vice Pres. J. C. H allett, Cash. E. L. Ew y, A. Cash. Directors: Joseph Spang Hugo W ittm ann Adolph Otte A rw in A. Schulz J. C. H allett SHULLSBURG F a rm e rs an d M e rc h a n ts Bank John Flem ing, Pres. W. A. McGreane, Vice Pres. J. M. Lehr, Cash. Wm. M etcalf, A. Cash. F. A. Doll, A. Cash. Directors: John Flem ing W. A. McGreane J. M. Lehr C. M. Thompson Daniel H. Cooney, Pres. Otto E. Kaufm ann, V. P. Joseph M. Schilder, V. Pres. J. F. K raus, Cash. M. H. Kilton, A. Cash. R. R. Robinson, A. Cash. J. H. Pitschler, A. Cash. Oscar T. Schmidt, A. Cash. Directors: Daniel H. Cooney S IL V E R L A K E Jerry Donohue S liver L a k e S tate B a n k Otto E. Kaufm ann John Evans, Pres. H erbert V. Kohler Geo. W. H iggins, Vice Pres. W alter J. K ohler E rik Hansen, Cash. H. Carl Prange Clifford L. Janke, A. Cash. W illiam A. Reiss D irecto rs: Joseph M. Schilder John Evans Konrad Testw uide Geo. W. H iggins John K erkhoff SHEBOYGAN C. V. Cook E rik Hansen Sheboygan T ru st Com pany John M. D etling, Pres. Milton Pillin g, V. P. & Sec. S L IN G E R S ta te B a n k o f S lin g e r D irectors: John M. D etling Peter Schuck, Pres. H. E. Boldt Jac. Rothenbach, Vice Pres. John H. Peters Wm. G. K ratz, Cash. Milton P illin g M. J. Theisen, A. Cash. G ustav Moenning Directors: Peter Schuck Jac. Rothenbach SHEBOYGAN H enry Kram er Sou th W e s t S ta te B a n k A lbert H. Thiel Fred J. Mayer Roland J. Herr, Pres. Wm. G. K ratz Otto Heinecke, Vice Pres. Jos. F. Baumann, Cash. Peter Schuck, Jr. Directors: SOM ERSET Otto Heinecke Roland J. H err B a n k o f S om e rse t W. A. K n aak H. J. LaGrandeur, Pres. A. J. Rammer A lex Parnell, Vice Pres. F ra n k C. Ries Alice V. LaGrandeur, Cash. Muriel Parnell, A. Cash. E lla Cloutier, A. Cash. SH ELL L A K E D irecto rs: Sh ell L a k e S ta te B a n k H. J. LaGrandeur R. L. Tarbox, Pres. Law rence Parnell E. R. Hering, V. Pres. A lex Parnell E. R. Miller, Cash. A. J. La Grandeur H ilda Braun, A. Cash. A lice V. LaGrandeur A lbina Sauer, A. Cash. D irecto rs: SOUTH M IL W A U K E E L. W. Allen T h e H o m e S ta te B a n k E. R. Hering C. L. Lewis, Jr. Joseph Saxler, Pres. E. R. Miller A. J. Ricker, Vice Pres. A. J. Plahn H. Z. Logan, Vice Pres. R. L. Tarbox Ced Logan, Cash. Monroe Todd L. M. Saksefski, A. Cash. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 277 D irectors: W. E. F itzgerald R. A. Kuehne H. M. Lew is H. Z. Logan G. A. Morison A. J. R icker Joseph Saxler SOUTH M IL W A U K E E S ou th M ilw a u k e e B a n k Wm. Grobschmidt, Pres. Geo. H. K rueck, Vice Pres. W. H. Lyon, Cash. Directors: Wm. Grobschmidt Geo. H. K rueck W. H. Lyon Julius Quentin C. C. Thieme R ay A. Hook R. J. Schauer SOUTH W A Y N E B a n k o f S ou th W a y n e F. E. Tree, Pres. Ethel Olson, Vice Pres. B. M. Jones, Cash. D irecto rs: F. E. Tree Ethel Olson B. M. Jones M. J. Olson Mary A. Tree SPARTA B a n k o f S p arta A. W. Barney, Pres. Louis T. Hill, Vice Pres. T yler D. Barney, V. Pres. A. N. W all, Cash. D irecto rs: A. W. Barney Louis T. Hill T yler D. Barney A. N. W all Myron B rack ett W. H. H anchett John E. Lloyd SPARTA F a r m e r s N a tio n a l B a n k T. C. Longw ell, Pres. H. M. Newton, Vice Pres. H. J. Masters, Vice Pres. W. W. Hinton, Cash. Verna A. Smith. A. Cash. W. S. Hanson, A. Cash. Directors: T. C. Longw ell H. M. Newton H. J. Masters Dr. C. M. Beebe W. S. Hanson W. W. Hinton SPARTA M on roe C o u n ty B a n k W. R. Crosby, Pres. J. E. Leverich, Vice Pres. Geo. J. W einer, Vice Pres. R. G. Lahm, Cash. R. C. Kemp, A. Cash. M. C. B alliett, A. Cash. L. C. Erickson, A. Cash. 278 REPORT OF THE COMMISSIONER OF BANKING D irectors: W. R. Crosby J. E. Leverich Geo. J. W einer S. K. Dickinson J. P. Rice Paul Schaller R. G. Lahm SPEN CER Sp encer S tate Bank: Jonas Ayer, Pres. R. J. Tack, Vice Pres. A rthur L. Boock, Cash. A. J. M cllhattan, A. Cash. D irectors : Jonas A yer Carl Anderson Chas. H aslow S. E. Graves H. F. Seefeldt R. J. T ack G. V. W eyhem iller SPOONER B a n k o f Spooner C. L. Appleman, Pres. Geo. D. Petry, Sr., V. Pres. A. E. W ittek, Cash. D irectors: A. E. Pearson Louise Appleman A. E. W ittek Geo. L. P etry C. L. Appleman S P R IN G G R E E N T h e F a r m e r s S tate B a n k o f S p rin g G reen D irecto rs: Otto Sieberns F. K am ke J. H. Graslie H. M. W aller C. E. Fox H. P. Conw ay Thos. M. Casey M. J. Olsen H arris Hovde W inifred F latley, Cash. John Moehn, A. Cash. Directors: A. H. F latle y Nicholas Franzen W inifred F latle y D. C. F la tle y L. P. Fox John Moehn STANLEY F a r m e r s & M e rc h a n ts S ta te B a n k STO D D ARD F a r m e r s & M e rc h a n ts S tate Bank W. M. Miller, Pres. E ly Provost, Vice Pres. S. P. Lien, Cash. A. L. W alsdorf, A. Cash. D irectors: W. M. M iller E ly Provost S. P. Lien Math Gruber Stephen L en gyel Wm. Stuttgen Jos. W alsdorf John McDonald, Pres. C. J. McClellan, Vice Pres. James A. W all, Cash. Directors: John McDonald C. J. McClellan R. J. Beitlich Chas. Stellner Anton O. Nelson S T E T S O N V IL L E F a r m e r s S ta te B a n k John Holtan, Pres. J. F. Melaas, Vice Pres. N. A. Nyhagen, Cash. E. J. Everson, A. Cash. M. Evenson, A. Cash. D irectors: John Holtan J. F. Melaas F. C. Henderson E lver R. Oscar N. A. Nyhagen F ran k Storch, Pres. Fred Amacher, Vice Pres. A. J. Greiner, Cash. W. F. Pueschner, A. Cash. D irecto rs: F ran k Storch Fred Am acher A. J. Greiner John K adonsky Bernard P faff Vincent Jakel Otto Schuster STO U G H TO N F ir s t N a tio n a l B a n k STOUGHTON B. D. Sherwood, Pres. S to u g h to n S tate B a n k John C. Evans, Vice Pres. H. L. Gray, Cash. Giles Dow, Pres. Norman Schoenmann, A. C. S T E V E N S P O IN T E. S. Anderson, Vice Pres. C itize n s N a tio n a l B a n k D irecto rs: Robe Dow, Jr., Cash. E. A. Oberweiser, Pres. J. H. Diehl F. B. Hoverson, A. Cash. A. C. K ingston, Vice Pres. D irectors: John C. Evans C. W. Nason, Cash. H. L. Gray E. S. Anderson A. C. Larson, A. Cash. S. T. Peck C lara M. Dow D irecto rs: A lbert Richardson Robe Dow, Jr. E. A. Oberweiser John P. R uka Giles Dow A. C. K ingston B. D. Sherwood J. A. Simpson W. E. A tw ell A. M. Copps S P R IN G G R E E N J. H. Miller STRATFO R D S ta te B a n k o f S p rin g J. A. Joerns S tra tfo rd S ta te B a n k G reen B. B. P ark M. Mortenson, Pres. J. M. Pflffner F. R. Hyland, Pres. Theo. W. Hoffmann, V. Pres. Joseph Lins, Vice Pres. Theo. W. Hoffmann, Cash. Thomas W. K ing, Cash. S T E V E N S P O IN T E. C. Brunner, A. Cash. Erna B esitsky, A. Cash. F ir s t N a tio n a l B a n k D irectors: Clemens M. Lins, A. Cash. George D avel J. W. Dunegan, Pres. D irectors : John Gorman H. G. Hotchkiss, Vice Pres. F. R. Hyland F. C. Kroeplin H. H. Pagel, Vice Pres. Joseph Lins John Spindler J. V. Berens, Cash. Thomas W. K in g W. S. Van Ryzin L. C. Larsen, A. Cash. Clemens M. Lins M. Mortenson Directors: F ran k Nee Theo. W. Hoffmann J. W. Dunegan Thomas McNulty O. A. Crowell G. E. W egner W. E. Fisher STU RG EO N B A Y H. H. Pagel S P R IN G V A L L E Y H. A V etter B a n k o f S tu rg e o n B a y B a n k o f S p rin g V a lle y H enry Fetzer, “D” , Pres. Otto Sieberns, Pres. S T O C K B R ID G E A sa Thomas, A ss’t. to Pres. F. Kam ke, Vice Pres. S ta te B a n k o f S to c k b rid g e J. H. Stew art, Vice Pres. J. H. Graslie, Cash. J. C. W eiterm ann, Cash. A. H. F latley, Pres. H. M. W aller, A. Cash. B. J. K eith, A. Cash. Nicholas Franzen, V. Pres. Minnard Olsen, A. Cash. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis REPORT OP THE COMMISSIONER OF BANKING D irectors : W. E. W agener Wm. Jess J. R. Minahan Ralph Jenquin W. A. MacEacham S U P E R IO R T h e N a tio n a l B a n k o f C o m m erce o f Superior S U P E R IO R F ir s t N a tio n a l B a n k Chas. K ary, Pres. F ran k Levanpaa, V. Pres. Ivari W iita, Vice Pres. Tlmar Kauppinen, Cash. Directors: Chas. K a ry F ran k Levanpaa Ivari W iita Ilm ar Kauppinen Wm. F. Lundeen Arnold J. Ronn Jack Heino Joe Aho Martin M attila 279 S U R IN G T h e S u r in g S ta te B a n k M. L. Brock, Pres. R. F. Zuehlke, V ice Pres. Chas. A. Chase, Pres. J. P. Smith, Cash. Edw. L. Cass, Vice Pres. H. F. Bartz, A. Cash. J. M. Craw ford, Cash. M. G. Dieck, A. Cash. R. J. Oyaas, A. Cash. SU L L IV A N D irectors: D irectors: T h e F a r m e r s S ta te B a n k Chas. A. Chase A. C. Arveson Edw. L. Cass M. L. Brock A lbert J. Vinz, Pres. H. S. Butler John Dieck Gordon Pethick, Vice Pres. W. H. W inslow Hans P. Hansen P. F. Smith, Cash. W ilbur Ross Em il Schuettpelz M athilda L. Hanf, A. Cash. John S. H adley F ra n k E. Schuettpelz D irectors: Fred Berthiaum e R. F. Zuehlke A lb ert J. Vinz Gordon Pethick P. F. Smith S U P E R IO R R oyal H anf SUSSEX S u p erior S ta te B a n k Edw. L. Vinz S u sse x S ta te B a n k J. R. Colbeck, Pres. Owen Runyard A. S. Craik, Vice Pres. W. H. Edwards, Pres. Otto Zahn C. A. Gray, Cash. R. W. Malsch, Vice Pres. Rudolph W enzel F. I. Dunning, A. Cash. J. W. Cannon, Cash. D irectors: P. L. Dearborn, A. Cash. SU N P R A I R I E J. R. Colbeck Eleanore C. Motz, A. Cash. A. S. Craik D irectors: B a n k o f Sun P ra irie C. A. G ray W. H. Edw ards Geo. T. Mitchell, Pres. W. J. Arseneau R. W. Malsch Fred W. Chase, Vice Pres. W. B. E llio tt J. W. Cannon A. A. Weinand, Cash. H. W. Erlanson C. A. Busse H. R. Twiton, A. Cash. R. D. McEwen W. E. R ussell D irectors: Geo. T. Mitchell S U P E R IO R Fred W. Chase THERESA A. A. Weinand T h e U n ion N a tio n a l B a n k J. P. Chase T h e r e s a S ta te B a n k o f Superior W alter Y e lk G ustav Ruecker, Pres. Joel S. Gates, Pres. Elm er G. Johnson, V. Pres. Wm. F. Koch, Vice Pres. F. A. Bandlow, Cash. S U P E R IO R F. J. Jeppesen, Vice Pres. C. H. Bodden, A. Cash. F. J. Jeppesen, Cash. A m e ric a n E x c h a n g e R a n k D irectors: A. E. Forstrom , A. Cash. Geo. F. H aw ley, Pres. G ustav R uecker D irecto rs: C. Grace, Vice Pres. Wm. F. Koch Joel S. Gates W. F. Hill, Vice Pres. F. A. Bandlow R. C. Buck W. J. Bem rick, Cash. J. T. Dolan Chas. H. G utenschw ager H. E. Sprowls, A. Cash. Elm er G. Johnson Chas. Thorn D irectors: R oy W. Springer W. J. Bem rick C. Grace S U P E R IO R T H IE N S V IL L E Geo. F. H aw ley W is c o n s in S ta te B a n k W. F. H ill T h ie n s v ille S ta te B a n k H. M. M cKenzie J. A. Campbell, Pres. John F. Nieman, Pres. O. Seiden, Vice Pres. E. W. Wiese, Vice Pres. F. S. Campbell, Cash. Clara L. Plautz, Cash. S U P E R IO R W. A. Fürst, A. Cash. V. S. Gruenewald, A. Cash. C o m m u n ity S a v in g s B a n k Directors: Directors: C. E. Kinney, Pres. J. A. Campbell John F. Nieman R. V. Tierney, Cash. F. S. Campbell A. P. G ilbert D irectors: O. Seiden E. W. W iese C. E. K in ney H. B. G allinger A. H. C. Carthaus G. M. Smith Dr. T. J. O’L eary Otto H. Bublitz Andrew Ekstrom Aaron Siegel S U P E R IO R Rudolph Peterson T h e W o r k e r s ’ M u tu a l THORP Wm. B. Banks, Chm. J. L. Banks, Pres. J. M. Kennedy, Cash. R. L. Banks, A. Cash. A. E. Erickson, A. Cash. D irectors: Wm. B. Banks J. L. Banks R. L. Banks J. A. Murphy B. A. Galleher L. T. Pow ell https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis S a v in g s B a n k P e o p le s E x c h a n g e B a n k Geo. Zillmann, Pres. W. H. Krause, Vice Pres. R. G. Law rence, Cash. Wm. J. Klouda, A. Cash. A. S. Kenney, A. Cash. D irectors: Geo. Zillm ann W. H. K rause R. G. Law rence W. R. McCutcheon John N. Boie Joseph Klouda John V erkuilen John A. Schmidt 280 REPORT OF THE COMMISSIONER OF BANKING THREE LAKES P e o p le s S ta te B a n k F. H. Dobbs, Pres. W. L. M urray, Vice Pres. H. M. O lkowski, Cash. D irectors: F. H. Dobbs L. A. Bishop B. M. Louk Chas. French W. B. M urray T IG E R T O N F ir s t N a tio n a l B a n k in T ig e r to n L. C. Buchsieb, Pres. A. R. Radtke, Vice Pres. M. J. Brunner, Cash. Robert B. W ay, A. Cash. D irecto rs: L. C. Buchsieb A. R. Radtke J. S. Sw anke H arry H irt Gust E. B ublitz TOMAH Bank of Tom ah L. W. Drew, Pres. C. B. D row atzky, V. Pres. F. H. Drew, Cash. D irecto rs: L. W. Drew E. W. Drew F. H. Drew C. B. D row atzky E. E. D ro w atzk y TOMAH F arm ers Bank & M e rc h a n ts John Reinehr, Pres. Rud. Andres, Vice Pres. R. G. Tiegs, Cash. D irectors: John Reinehr Rud. Andres R. G. T iegs Fred K ress T. P. Donovan Tom Finucan R. A. Garman TOM AHAW K B r a d le y B a n k S. B. Bugge, Pres. E. M. MacDonald, Vice Pres W. I. M acfarlane, V. Pres. J. L. Extrom , Cash. J. L. Smith, A. Cash. D irectors: S. B. B ugge E. M. MacDonald W. I. M acfarlane J. L. Extrom H. L. W akefield H. A. Herman Carl Theiler D irectors: W. Nicholls H. E. C lark A. F. Giere A. R. Eichman Ira Lehmann W. E. Sparling Martin Severson TURTLE LAKE B a n k o f T u r tle L a k e L. T. Richardson, Pres. J. H. Bunker, Vice Pres. W. E. Nuesse, Cash. F. G. McKenzie, A. Cash. D irectors: L. T. Richardson J. H. Bunker W. E. Nuesse Geo. H. Bunker K a tie Bunker T W O R IV E R S B a n k o f T w o R iv e r s D irectors: Wm. F. Christel Otto G. Berge Otis I. Berge John E. Cisler A u gu st H. V o igt VERONA B a n k o f V e ro n a J. L. Miller, Pres. Wm. L. Davidson, V. Preis. A. D. Miller, Cash. C. H. Stampfl, A. Cash. D irectors : J. L. Miller Wm. L. Davidson A. D. M iller Wm. J. M iller A. J. D ettw iler Adolph Urweider A lbert Rhiner VESPER J. E. Hamilton, Pres. V e s p e r —A r p in S ta te B a n k Wm. R. K ahlenberg, V. P. H. C. W ilke, V. Pres. & Cash. G. H. Horn, Pres. Otto Zieher, Vice Pres. H. R. Schwake, A. Cash. G. C. Ritchie, Cash. R. C. Bleser, A. Cash. D irectors: D irectors: G. H. Horn J. E. Hamilton Otto Zieher E. R. M ueller C. F. K irst G. C. Ritchie A. P. Bean P. C. B leser Max Leopold Wm. R. K ahlen berg Ed. P. Ham ilton H. C. W ilke T W O R IV E R S T w o R iv e r s S a v in g s B a n k John J. Tadych, Pres. Randolph Sthen, Vice Pres. Edw. A. K outnik, Cash. F ran k Schroeder, A. Cash. D irectors: John J. Tadych Randolph Sthen Edw. A. K outn ik F ran k Schroeder Wm. Prign itz Lym an Fischer David Le Clair Mike K irst Dr. C. J. Skw or Rudolph Stangel Ben Urbanek U N IO N G R O V E S ta te B a n k o f U n ion G rove O. P. Graham. Pres. W. E. Stone, Cash. E. I. Schwartz, A. Cash. D irectors: O. P. Graham W. E. Stone H enry V yvyan E. H. Skew es Wm. Murdock V IO L A F a r m e r s S ta te B a n k E. E. Reed, Pres. E. D. Hill, Vice Pres. A. B. Schroeder, Cash. O. E. Sanford, A. Cash. C. L. Simmons, A. Cash. D irectors: E. E. Reed E. D. H ill A. R. Law ton Hobert Groves Fred G. M atthes V I R O ftU A F ir s t N a tio n a l B a n k in V ir o q u a C. F. Dahl, Pres. L. C. Boyle, Vice Pres. V. R. Schaefer, A. to Pres. H. E. Packard, Cash. A. T. Fortun, A. Cash. Vida E. Schaefer, Pro. Cash. D irectors: C. F. Dahl L. C. Boyle C. H. Ostrem Fred Rogers A. E. Surenson TREM PEALEAU C itiz e n s S ta te B a n k VALDERS V a ld e r s S ta te B a n k W ABENO S ta te B a n k o f W a b e n o W. Nicholls, Pres. H. E. Clark, Vice Pres. Jas. J. Robinson, Cash. Doris Ryder, A. Cash. Wm. F. Christel, Pres. Otto G. Berge, Vice Pres, Floyd R. Evenson, Cash. Otto G. Berge, A. Cash. A. E. Lawrence, Pres. James W. Squire, Vice Pres. V. H. John, Cash. Theodore L. Huettl, A. C. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis REPORT OF THE COMMISSIONER OF BANKING D irectors: A. E. Law rence James W. Squire Curtis Cheney F. J. K op ecky H. E. M cGraw John V. Quinlan T. F. Schlafke W ALDO W a ld o S ta te B a n k Wm. J. Leverenz, Pres. Carl Manneck, Vice Pres. C. W. Cross, Cash. C. T. Harrison, A. Cash. D irectors: Wm. J. Leverenz Carl Manneck E. S. W ierm an George Phalen C. W. Cross W ALW ORTH W a lw o r t h S ta te B a n k F. E. Lawson, Pres. W. D. Church, Vice Pres. T. Steivang, Cash. M. M. W alters, A. Cash. D irectors: F. E. Law son W. D. Church T. Steivang R. N. Belland G. E. L oftus W ATERLOO F a r m e r s & M e rc h a n ts S ta te B a n k E. H. Fischer, Pres. L. G. Shepard, Vice Pres. O. M. Boock, Cash. Directors: E. H. Fischer O. M. Boock L. G. Shepard E. J. M cCracken F. J. Springer F. J. Dobberstein Chas. F. Haseleu . W ATERTOW N Bank o f W a te rto w n H. Mulberger, Pres. J. F. Prentiss^ Vice Pres. L. J. Lange, Cash. H. L. Schumann, Tr. Off. D irectors: A lex Buchheit H. M ulberger L. J. Lange E. A. P ra tt J. F. Prentiss H. L. Schumann W. H. Woodard W ATERTOW N F a r m e r s & C itize n s B a n k A. D. Platz, Pres. H. E. Volckmann, V. Pres. R. J. Hoge, Cash. D irectors: N. P. Swanson, Pres. A. D. P latz W. A. Gustafson, Vice Pres. H. E. Volckm ann M. F. Jacobs, Cash. F. J. Sabin Edith E. Pearson, A. Cash. Fred Smith D irectors: Fred Siegler N. P. Swanson W. A. Gustafson M. F. Jacobs W ATERTOW N Oscar C. Anderson M e rc h a n ts N a tio n a l B a n k Edw. H. B ratley Max Rohr, Pres. Ferd. Schmutzler, V. Pres. W ATERFORD J. W. Sproesser, Cash. N o ll’s B a n k Theo. Heitz, A. Cash. Bessie Noll, Pres. D irecto rs: Oswald Noll, Vice Pres. E. D. Grady H. F. Cole, Cash. O. C. Hahn M. W. Rebstock, A. Cash. E. J. Hoermann A lfred Noll, A. Cash. L. H. N ow ack D irectors: Max Rohr Bessie Noll Ferd. Schm utzler Oswald Noll J. W. Sproesser A lfred Noll Wm. Sproesser M. W. Rebstock H erbert W eltzien W ASHBURN T h e F ir s t N a tio n a l B a n k W ATERFORD S ta te B a n k o f W a t e r f o r d W ATERTOW N W is c o n s in N a tio n a l in W a t e r t o w n Wm. Sanders, Pres. L. J. Quinn, V. Pres. Josephine Sanders, Cash. J. C. Sanders, A. Cash. D irectors: Wm. Sanders L. J. Quinn Josephine Sanders John A. Anderson H. J. Naber A. F. Solliday, Pres. Ehler Brinkm an, V. Pres. W. C. Illick, Cash. F. J. Kaercher, A. Cash. D irecto rs: A. F. Solliday E hler Brinkm an John J. Bhend Wm. B ailey F. G. K eck https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Bank 281 W AUKESHA W a u k e s h a N a tio n a l B a n k E. R. Estberg, Pres. W. R. Fram e, Vice Pres. R. A. Tassell, Vice Pres. C. H. Jacob, Cash. E. M. Junemann, A. Cash. J. D. H athw ay, A. Cash. Directors: E. R. E stberg W. R. Fram e H. J. Fram e R. A. Tassell H. E. B lair B. C. Bugbee C. E. Nelson C. H. Jacob H. L. H orning (Deceased 1-4-36) WAUMANDEE W a u m a n d e e S ta te B a n k F ra n k Reuter, Pres. Louis Zeller, Vice Pres. John Erickson, Cash. F. A. P attridge, A. Cash. D irectors: F ra n k Reuter Louis Zeller C. W. Senty L. J. Rosenow R. R. H enry M. L. F ugin a Chas. A. K irchner W AUNAKEE F a r m e r s S ta te B a n k G. Schunk, Pres. Henry Bernards, Vice Pres. Fred G. Schunk, Cash. Mary Schunk, A. Cash. Directors: J. J. McManamy Joseph Ripp John Barbian G. W. H elt John E. Schunk H enry Bernards G. Schunk WAUNAKEE W a u n a k e e S ta te B a n k J. H. Koltes, Chr. Bd. C. J. Schmidt, Pres. J. H. K oltes, Vice Pres. A. P. Kenney, Cash. W inifred Corcoran, A. Cash. Henry L. Spahn, A. Cash. D irecto rs: J. H. K o ltes C. J. Schmidt A. P. K enney Math P. Pape F ra n k C. Raem isch W AUPACA T h e F a r m e r s S ta te B a n k of W aupaca J. F. Jardine, Pres. S. P. Godfrey, Vice Pres. H arry W. Rawson, Cash. R. S. Barber, A. Cash. Directors: J. F. Jardine S. P. G odfrey H arry W. Rawson 282 REPORT OF THE COMMISSIONER OF BANKING Directors— continued M. B. Scott H. C. Johnson H. C. P rih art R. S. Barber W AUPACA F ir s t N a tio n a l C. H. Benlick, Pres. Col. W. A. Holden, V. Pres. R. D. Luther, Cash. Guy Schmahl, A. Cash. D irectors: C. H. Benlick Col. W. A. Holden C. N. Nelson P. O. Stratton L. D. Smith W AUPUN T h e N a tio n a l H a n k o f W aupun D irectors: J. S. A lexander R. C. Deutsch Geo. E. F oster H. J. H agge A. C. Heinzen Carl Lotz M. P. M cCullough F. K. McPherson John Ringle, Jr. John F. Ross W. R. Scholfield C. H. W egner W. G. W hyte L. W eichmann C. C. Y a w k ey W AUSAU W is c o n s in V a lle y T r u s t Com pany D irectors: G. H. Schroeder E. W. K a iser E. H. Gräber Otto E. Lentz Oscar Schields W AUW ATOSA W a u w a t o s a S ta te B a n k F ra n k Olson, Pres. Jos. M. Guentner, Vice Pres. G. J. D avelaar, Vice Pres. A rthur B. K ohasky, Cash. Mabel P. Rohloff, A. Cash. D irectors: J. A. Diedrich G. J. D avelaar Edw ard F. Geske L. L. Gridley Jos. M. Guentner Oscar H artung Jos. G. Konop F ra n k Olson Geo. H. Reinders A. P. Woodson, Pres. F. J. Dvorak, Vice Pres. O. G. Fehlhaber, Vice Pres. M. P. McCullough, V. Pres. W. E. Graham, Pres. Geo. E. Foster, Secy. Ben K astein, Vice Pres. J. S. Alexander, Treas. Ben Kastein, Cash. W AUZEKA D irectors: Louis Schultz, A. Cash. Bank o f W auzeka D irectors: A. P. Woodson A. J. Feldm ann, Pres. Otto G. Fehlhaber W. E. Graham Wm. Sillge, Vice Pres. M. P. McCullough Ben K astein H. A. Vaughan, Cash. Geo. E. F oster E. W. Hooker V. L. Mohoney, A. Cash. J. S. A lexander E. A. Marsh D irectors: J. J. Okoneski W. P. Pautsch A. J. Feldm ann P. M. W ilson B. K loosterboer Wm. Sillge A. L. K reutzer H. S. Northrup J. C. Feldm ann Jos. Doll WAUPUN R. W. G eisler W AUSAUKEE J. P. Mills S ta te B a n k o f W a u p u n P e m b in e —W a u s a u k e e B a n k H. J. H artgerin k, Pres. D. E. Thomas, Pres. W. E. Rank, Vice Pres. W A Y S ID E Carl Dixon, Vice Pres. J. S. Morris, Vice Pres. E. B. W heelock, Cash. W a y s id e S ta te B a n k Fred W. Luck, Cash. Lloyd K. Morris, A. Cash. F. W. Pingel, Pres. Merle Ihde, A. Cash. D irectors: Wm. Saenger, Vice Pres. D irectors: D. E. Thomas A. A. Blauert, Cash. W. E. R ank Carl Dixon E. C. Rosenbaum, A. Cash. H. J. H artgerin k H enry G. Laun D irectors: Oscar Hanisch Geo. S. Robinson F. W. P in gel J. S. Morris Geo. L. McNeely Wm. Saenger Fred W. L uck J. S. Sullivan A. Lemmenes Louis Natzke W AUTOM A Richard Zimmerman Louis Hafem ann T h e U n ion S ta te B a n k W alter H. K asten A. G. Holt, Pres. W AUSAU A. A. B lauert H. W. Belter, Vice Pres. C itize n s S ta te B a n k G. D. Sargent. Vice Pres. W E S T A L U IS J. L. Kossel, Cash. O. C. Lemke, Pres. M ilw a u k e e C o u n ty B a n k Fred W. Genrich, Vice Pres. R. M. Anderson, A. Cash. K. H. Jones, A. Cash. John A. K leinheinz, V. P. P a trick R hatigan, Pres. M. F. Chipman, Sta. Mgr. W. A. Koch, Cash. L. M. Fidler, Vice Pres. Howard Simon, Sta. Mgr. R. A. Johannes, A. Cash. H. J. Driessel, Cash. D irectors: W. A. Pautz, A. Cash. H. A. Polanis, A. Cash. A. G. H olt Directors: D irectors: H. W. B elter O. C. Lemke Jos. B lazejew sk i G. D. Sargent Fred W. Genrich H. J. D riessel J. L. Kossel John A. K leinheinz L. M. F idler A. E. Blader Wm. P. B eilke W. H. McFadzen Geo. Dopp Fred Brand P a trick R hatigan F. W. O’Cain Fred W. K rause Samuel D. Stern H. E. W elbourne W AUSAU F ir s t A m e r ic a n S tate B a n k F. K. McPherson, Pres. J. S. Alexander, V. Pres. W. G. W hyte, V. P. & Cash. O. J. Jures, A. Cash. O. H. Jahns, A. Cash. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis W AUW ATOSA T h e F ir s t N a tio n a l B a n k in W a u w a to sa W E S T A L U IS W e s t A llis S ta te B a n k Chas. H. H athaw ay, Pres. G. H. Schroeder, Pres. F ran k L. Biw er, Vice Pres. E. W. K aiser, Vice Pres. Chas. A. W alker, Jr., Cash. S. H. Dooley, Cash. W orth W illiam s, A. Cash. Paul Danielson, A. Cash. REPORT OF THE COMMISSIONER OF BANKING D irectors: Ferd. G lojek Wm. C. Froelich C. W. Velser John W eitzer Chas. H. H athaw ay F ra n k L. B iw er S. H. Dooley W E ST BEND T h e F ir s t N a tio n a l B a n k o f W e s t B end W EYAUW EGA F a r m e r s & M e rc h a n ts Bank E. H. Jones, Pres. J. C. Ritchie, Vice Pres. A. C. Ew ald, Cash. K. P. Van Epps, A. Cash. L. A. Rossey, A. Cash. Directors: E. H. Jones J. C. R itchie Chas. Schneider H. B. Pomeroy A. C. Ew ald B. C. Ziegler, Pres. Martin W alter, Vice Pres. Louis Kuehlthau, Vice Pres. Howard E. Schacht, Cash. W H IT E F IS H B A Y Matt. Weiss, A. Cash. W h ite flsh B a y S ta te B a n k G. C. Schmidt, A. Cash. C. A. Collins, T ru st Officer Dr. E. B. Gute, Vice Pres. D irectors: H. S. Swan, Cash. B. C. Ziegler Directors. Martin W alter E. B. Gute Louis K uehlthau W. G. Isenring W illiam W arn key J. P. K eatin g F. E. W oodford N. J. Klein Otto E. L ay A J. Roberts H. B. K aem pfer W. A. Hayes Howard E. Schacht W. E. Malzahn W E ST BEND T h e F ir s t S ta te B a n k E. J. Altendorf, Pres. Chas. W. W alter, V. Pres. W. J. Gumm, Cash. D irectors: E. J. A ltendorf Chas. W. W alter W. J. Gumm Thos. O’Meara Henry O. R egner W E S T F IE L D W e s tfie ld S ta te B a n k John A. Conant, Pres. Fred L. Waldo, Vice Pres. G. J. Schw ark, Cash. C. G. Borsack, A. Cash. D irectors: John A. Conant A. E. F ran k A lbert M iller J. O. Mortenson James Russell G. J. Schw ark Fred L. Waldo W H IT E H A L L John O. M e lh y & Co. B a n k Anton O. Melby, Pres. W. J. Webb, Vice Pres. C. B. Melby, Cash. O. W. Elstad, A. Cash. D irectors: Anton O. Melby W. J. Webb C. B. Melby E. J. Kidder A. J. Lamberson W H IT E W A T E R T h e F ir s t C itize n s S tate Bank W IL T O N T h e W ilt o n 283 S ta te B a n k E. M. Me Cann, Pres. Christ Hett, Vice Pres. M. H. Donahoe, Cash. C. E. Backus, A. Cash. D irecto rs: E. M. Me Cann Christ Hett Mrs. W. E. Todd F ran k Clair J. L. Heffernan John Thurow W IS C O N S IN D E L L S F a r m e r s & M e rc h a n ts S ta te B a n k H. M. Tofson, Pres. J. F. D ougherty, Vice Pres. E. C. Amann, Vice Pres. John J. K elly, Cash. Helen Roeker, A. Cash. D irecto rs: H. M. Tofson J. F. D ougherty John ,T. K e lly John J. Krem er H. L. Sarrington W IS C O N S IN D E L L S K ilb o u r n S ta te B a n k W. S. Stroud, Chr. of Bd. R. M. Stroud, Pres. O. L. H etxel, Vice Pres. A. W. Luettgerodt, V. Pres. L. N. Coapman. Cash. L. A. Russell, A. Cash. G. E. Helland, A. Cash. Directors: W. S. Stroud R. M. Stroud O. L. H etxel A. W. Luettgerodt L. N. Coapman L. A. R ussell H. G. Andersen, Pres. John C. Kachel, Vice Pres. W IS C O N S IN R A P ID S C. W. Tratt, Vice Pres. T h e F ir s t N a tio n a l B a n k R. G. O’Connor, Cash, Directors: Isaac P. W itter, Pres. W. J. T aylor, Vice Pres. John C. K achel Ralph Tratt E. B. Redford, Vice Pres. E. W. T aylor Henry C. Demitz, Cash. H. G. Andersen Edw. C. Brenner, A. Cash. Olaf Johnson W. G. Schroedel, A. Cash. D. L. H alverson Directors: Geo. M. F erris Isaac P. W itter W. J. T aylor E. B. Redford W E S T SALEM Henry C. Demitz W H IT E W A T E R U nion S ta te B a n k o f George W. Mead W h it e w a t e r C o m m e rc ia l W e s t S alem C. D. Searles an d S a v in g s B a n k R. F. Johnson John Meyer, Pres. B. A. Mau, Vice Pres Jerome Baker, Pres. G. F. W akefield, Vice Pres. C. M. Yoder, Vice Pres. S. A. Sylvester. Cash. Wm. Ivan K yle, Cash. W IS C O N S IN R A P ID S Alm a A. Runge, A. Cash. E arl Cox, A. Cash. W o o d C o u n ty N a tio n a l D irectors : Directors: Bank John Meyer J. F. Henderson B. A. Mau Easton Johnson Guy O. Babcock. Pres. G. F. W akefield Jerome B aker John E. Alexander, V. P. S. A. Sylvester Wm. Ivan K y le E. C. W ittig, Cash. F. L. Gullickson George W. Hull F. H. Muehlstein, A. Cash. O. G. Storandt Fred M. Law ton Fred F. Haertel, A. Cash. Jolin W. M cKinley C. M. Yoder Chas. V, Stark, A - Cash. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis 284 REPORT OF THE COMMISSIONER OF BANKING D irectors: John E. A lexander A. E. Bennett A. F. G ottschalk Judson G. Rosebush G. R. Wood Guy O. Babcock E. C. W ittig D irectors: Carl H errew ig E. G. L aw sha Geo. W. Bell U. S. M atteson E. F. W hite W illiam Peters Harold L. Hochmuth W IT H E E S ta te B a n k o f W it h e e W OODFORD W o o d fo r d S ta te B a n k John Christensen, Pres. Chas. Buss, Vice Pres. C. H. Beilfuss, Cash. N atalie F. Scherf, A. Cash. D irectors: A. C. A ltenburg C. H. B eilfu ss Chas. Buss John Christensen F. W. Sample W IT T E N B E R G C itize n s S tate B a n k Rud. Puchner, Pres. Dr. L. Rothman, V. Pres. Geo. A. Voelz, Cash. Lew is A. Liesch, A. Cash. L. E. Meidl, A. Cash. L. T. Cannon, Eland and A niw a offices. Milton W. Voelz, Bow ler office. Directors: Rud. Puchner Dr. D. Rothman Geo. A. Voelz P 'r^ d T C i-rs t^ n Louis Haupt W. L. Arnold W. D. H aseltine W ONEWOC S ta te B a n k o f W o n e w o e Carl H errew ig, Pres. E. G. Law sha, Vice Pres. Muriel W ilkinson, Cash. H. L. Hochmuth, A. Cash. https://fraser.stlouisfed.org Federal Reserve Bank of St. Louis Directors— continued B. O. W righ t R. F. Knapstein Glenn L. Erickson W O O D V IL L E C itize n s S ta te B a n k J. C. Johnson, Pres. A. Hanson, Vice Pres. R. J. M ulvaney, Cash. E sther W ernlund, A. Cash. Carl Lovelace, Pres. Directors: Henry Youngblood, V. Pres. John Vrieze Wm. Steffen, Cash. A lfred Helgeson M. J. Ingw ell, A. Cash. Guy M. Nelson D irecto rs: H. A lbrigtson Carl Lovelace Henry Youngblood W R IG H T S T O W N Fred R. Campbell Anton E. Peterson T h e F a r m e r s an d T ra d e rs C. O. Gilmore Bank Lew is Knuth, Pres. W OODMAN Chas. Schroeder, V. Pres. W o o d m a n S ta te B a n k R. L. Buboltz, Cash. Irene E. Mueller, A. Cash. M. K elley, Pres. Directors: John P. K elley, Vice Pres. L ew is Knuth W. K. Lull, Cash. A. W. Mattes E. C. Lull, A. Cash. Wm. J. M cLaughlin L. C. Lull, Sec’y L. C. Meulemans D irectors: M owry Phillips J. E. Barnett Max H. Strehlow John P. K elley Chas. Schroeder M. K elley F ra n k Vanderheiden E. C. Lull L. C. Lull G ustav Zittlow W. K. L ull W OODRUFF W o o d r u ff S ta te B a n k P. C. Christensen, Pres. J. *J. McDonald, Vice Pres. Gale W. Huber, Vice Pres. E arl B. Cronkrite, Cash. Directors: P. C. Christensen J. J. McDonald Gale W. Huber W alter S. F isher ZACH O W F a r m e r s S ta te B a n k Robert Radtke, Pres. A. H. Graf, Vice Pres. Donald A. Proper, Cash. Directors: Robert Radtke Donald A. Proper A. H. G raf Wm. Hanstedt Adolph Spengler W. F. Reisner