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FORTY-SECOND 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, 1936

P r e p a r e d U n d e r t h e D ir e c t io n o f t h e
B A N K IN G C O M M IS S IO N
P e t e r A . C le a r y , C h a ir m a n
H.
F. Ib a c h , S e cre ta ry
S.
N . S c h a fe r

M A D IS O N , W IS C O N S IN


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Federal Reserve Bank of St. Louis

DEMOCRAT PRINTING COMPANY
MADISON, WISCONSIN

ROSTER OF THE STATE BANKING DEPARTMENT
December 31, 1936

BANKING REVIEW BOARD
von Oven , H. A., Chairman____________________________________ Beloit
K uhnmuench , C harles J., Vice Chairman_______________ Milwaukee
K ing , J o h n ________________________________________________ Marathon
Paunack , A ugust 0 __________________________________________Madison

BANKING COMMISSION
Cleary, P eter A., Chairman_______________________________ Milwaukee
I bach , Herbert F., Secretary________________________________ Madison
Schafer, Stanley N _________________________________________Madison
EMPLOYES
Backus , I rving E., Senior Bank Examiner__________________ Madison
Barney , H arry W., Chief Bank Examiner__________________ Madison
B arney , R obert M., Assistant Bank Examiner______________ Madison
Benninger , Merlin C., Bank Examiner______________________ Wausau
Boehm , E sther, Junior Clerk Stenog_____________________ Milwaukee
B uenzli, Gregory M., Law Examiner________________________ Madison
Caldwell, Stanley R., Examiner B. & L. Div______________ Madison
Cardinal , F. D ean , Examiner B. & L. Div____________________ Cudahy
Crowley, J ane , Senior Clerk Stenographer_________________ Madison
D iggles, Clyde P., B. & L. Assn. Supervisor________________ Madison
Doyle, J ohn F., Supervisor of Consumer Credit_____________Madison
E verman , H enry , Junior Clerk______________________________ Madison
F osse, A lice J., Assistant Clerk_____________________________Madison
F osse, E. Geneva, Junior Clerk Stenographer______________ Madison
Gannon , M rs. D oretha S., Junior Clerk Stenog____________ Madison
Gannon , J. D eane , Asst. Bank Examiner_________________ Green Bay
Garrigan , D. K elly , Asst. Examiner B. & L. Div_________Milwaukee
Gill , Mrs. Mary E., Junior Clerk Stenographer___________ Madison
Golz, A lvin W., Asst. Bank Examiner______________________ Oshkosh
H agan , A lexander, Asst. Examiner B. & L. Div__________ Milwaukee
H agan , N elson M., Bank Examiner______________________Green Bay
H ampton , E mmet G., Examiner of Credit Unions__________ Madison
H andel, W ilferd F., Asst. Bank Examiner_________________ Madison
H ermsen , Mrs . E sther M., Secretarial Stenog---------------------Madison
Herreid, T homas , Junior S tatistician --.,-___________________Madison
H erreid, T. L eroy, Bank Examiner_________________ Prairie du Chien
H oukom , Omer, Bank Examiner_______________________________ Racine
H yland , Charles G., Credit Union Organizer_____________West Allis
I ngram , G. E rle, Special Counsel Division o f Consumer Credit
______________________________________________________ Eau Claire


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Federal Reserve Bank of St. Louis

4

REPORT OF THE COMMISSIONER OF BANKING

J a m i e s o n , G e r a l d W., Senior Bank Examiner--------------------Madison
L e v e n i c k , L e o B., Bank Examiner------------------------------------- Madison
M c C a r t h y , G e n e v i e v e A., Secretarial Stenog---------------------Madison
M a t t h e w s , G u e r d o n M., Senior Bank Examiner--------------- Madison
M e l o y , T h e o d o r e M., Bank Examiner----------------------------- Stoughton
M e r r i m a n , H a z e l K., Junior Accountant----------------------------Madison
M e y e r , F r e d H., Senior Clerk Stenographer----------------------Milwaukee
M i d d l e t o n , A r t h u r , Asst. Examiner B. & L. Div-------------Wauwatosa
M o o r s , A r t h u r C., Examiner B. & L . Div---------------------- Wauwatosa
M o r r i s o n , C o l i n M., Accounting Clerk------------------------------- Madison
M u l v a , J a m e s B., Bank Examiner--------------------------------------- Oshkosh
M u r p h y , M a r g a r e t F., Junior Clerk Typist------------------------ Madison
N o r d n e s s , J u n e , Asst. Clerk Stenographer------------------------ Madison
P a u l s , D a y t o n F., Bank Examiner---------------------------------- __Sparta
P l a t z , H e r b e r t E., Examiner B. & L. Div------------------------- Milwaukee
P l o e t z , N e l s o n C., Bank Examiner---------------- ------------------- .Wausau
P u r t e l l , T h o m a s M., Asst. Examiner B. & L. Div-------------Milwaukee
R o t h e , E a r l H., Bank Examiner------------------------------------ Sheboygan
R o t h e , L e s t e r W., Senior Statistician---------------------------------Madison
S h a p e , C h a r l e s T., Senior Bank Examiner--------------------- Milwaukee
S h a p e , G u s t a v e A., Asst. Bank Examiner----------------------- Milwaukee
S h e p h e r d , F r e d E. J r ., Senior Clerk Stenographer------------- Madison
S t e d e r , C a t h e r i n e , Asst. Clerk Stenographer--------------------Madison
S t e e l e , C l a r e n c e C., Bank Examiner--------------------------------Sparta
S t o c k , W a l t e r L., Asst. Bank Examiner----------------------------Madison
S w e n s o n , G l a d y s R., Senior Clerk Stenographer--------------- Madison
T e s k e , F r e d C., Bank Examiner--------------------------------------- Princeton
V a l l i e r , G o r d o n E., Asst. Bank Examiner----------------------- Eau Claire
W a l k e r , E v e l y n M., Junior Clerk Stenographer-----------------Madison
W a l s h , B e r n a d e t t e E., Senior Clerk Stenographer------------ Madison
W i c h e r n , H a r o l d J., Senior Clerk Stenographer------------------ Madison
W i n k o w s k i , R o m a n J., Examiner B. & L . Assn-------------- Milwaukee
W i t z i g , E d g a r F., Senior Bank Examiner----------------------- Eau Claire
W r e n d , C a t h e r i n e , Asst. Clerk---------------------------------------- Madison


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Federal Reserve Bank of St. Louis

LETTER OF TRANSMITTAL

April 19, 1937.
To His E xcellency , P hilip F. La F ollette,

Governor of Wisconsin.
Sir: In conformity with Section 220.14, we have the
honor to submit herewith, the Forty-second Annual Report
of the condition of state banks, mutual savings banks, and
trust company banks of the State of Wisconsin, and there
is also included the reports of the national banks in the
state. The figures of this report are as of the close of busi­
ness December 31, 1936.
Respectfully,


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Federal Reserve Bank of St. Louis

B an k in g Commission ,
Peter A. Cleary ,

Chairman.
H. F. IBACH,
Secretary.

April 19, 1937.
T he H onorable P hilip F. L a F ollette,

Governor of Wisconsin,
State Capitol, Madison, Wisconsin.
Dear S ir:
mands upon
any since its
and industry

The fact that the year 1936 brought less de­
the time of the members of this Board than
organization in 1932 is evidence that business
of the state are returning to a normal level.

The inauguration of a schedule of charges for banking
services has been effected in 46 counties of the state, with
negotiations pending in 19 counties. Formal orders, ap­
proved by the banking review board and issued by the bank­
ing commission, established the rates for the state banking
institutions in each county with the national banks volun­
tarily adopting the same schedules. This system of charges
for services rendered will tend to give to the banks increased
earnings to offset their loss in the low yield on investments
at this time.
Permission was granted fifty of our state banks, having
income debentures from the Reconstruction Finance Cor­
poration, to retire all or a part of their debentures to the
extent of $1,405,000.00 in the aggregate.
An application for a new bank at Viroqua received our
approval, a charter being issued to the State Bank of Viro­
qua on July 11, 1936.
The members of the Banking Review Board meet regu­
larly with the members of the Banking Commission and
are co-operating in every way to help each banking institu­
tion meet any problem with which it may be confronted.


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Federal Reserve Bank of St. Louis

Respectfully submitted,
H. A. von Oven ,

Chairman, Banking Review Board.

TABLE OF CONTENTS

Pages
Abstract of Reports of State Banks, Mutual Savings
Banks and Trust Companies at the close of
business December 31, 1936, and comparison
with December 31, 1935 ______________________
8
New State Banks and Banks increasing or decreasing
9-10
their capital in 1936 _________________________
Charters extended during 1936 ____________________
10
Classification of Banks as to Capital S tock _________
11
Names and Compensation of Department Employes_12-13
Receipts and Disbursements of Banking Department
during 1936 _________________________________
15
Analysis of Earnings____________________________
14
Abstract of State and Mutual Savings Banks and
Trust Companies as of December 31, 1936, by
Counties _____________________________________ 16-19
Abstract of State Banks, Trust Companies and Mu­
tual Savings Banks separately as of December 31,
1936 ________________________________________
20
Report of National Banks as of December 31, 1936 _22-27
Report of State Banks as of December 31, 1936, ar­
ranged in alphabetical order by cities and name
of b a n k ______________________________________ 28-49
Report of Mutual Savings Banks and Trust Companies as of December 31, 1936 ______________ 50-51
Statements of Banks in Liquidation______________ 52-233
Officials of State and National B anks____________ 236-275


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Federal Reserve Bank of St. Louis

8

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, 1936 and
comparison with the report of December 31, 1935

Number of banks.

Dec. 31, 1936

Dec. 31, 1935

503

515

RESOURCES
Loans and discounts, in­
cluding redis. if any____ $134, 735,357.79 $127,984,560.93
Overdrafts_______________
25.710.63
26,423.65
Drafts paid under letters
19.086.63
of credit_______________
46,713.61
83 ,715,440.45
United States Securities _.
71,320,543.88
Stock in Federal Reserve
266,050.00
221 , 100.00
Bank__________________
1,307,626.26
1 ,,007,001.16
Other stocks and securities
,881,497.78
115,
91,768,256.05
Other bonds__________ ___
Banking house, furniture
9.,808,067.07
9 ,8 71,263.17
and fixtures____________
6 .,135,121.47
5,732,014.36
Other real estate owned__
1 ,024,430.06
Due from other banks____
867,114.99
Due from approved re­
75,831,908.38
66,013,351.58
serve banks____________
Due from Federal Reserve
12,324,944.73
B ank_________________
1.0,123,618.27
25,958.96
22,912.81
Gold coin and certificates
855,240.38
Silver coin ______________
773,582.67
8 .5 70.118.43
8 ,113,475.96
U. S. & N at’nal Currency
229,232.76
226,197.84
Nickels and cents_______
Exchange for C. H. and
checks on banks in same
3 .178.053.44
2 ,1 27,370.38
place_________________
Checks on other banks in
1 ,230,436.66
1,139,998.53
process of collection__
288,840.69
192,087.74
Cash items______________
988,335.67
1,128,947.02
Other assets____________
678.34
Expense account________
T otal.

$456,140,833.14

L IA B IL IT IE S
Capital Stock paid in_____ 1 27,983,500.00
15,138,000.00
Income debentures_______
7,684,173.89
Surplus fund_____________
Undivided profits________
10,263,283.68
Due to banks deposits____
8 ,549,856.91
Dividends unpaid________
190,867.10
Individual deposits sub­
ject to check___________ 140,234,662.79
Demand certificates of
1 ,673,046.74
deposit________________
Certified checks__________
370,278.35
3 ,315,795.34
Cashiers checks__________
2 ,028,284.30
United States deposits___
Postal savings____________
2,18 5,31 5 .5 5
51,710,708.23
Time certificate of deposit
Savings deposits_________ 173,151,373.57
L. of c. and traveler’s
checks sold for cash and
outstanding___________
19,086.63
N otes and bills redis______
Bills pay., inc. oblgts. for
money borrowed other
than redis_____________
Income debenture sinking
387,463.98
fund reserve___________
448,343.81
Other liabilities__________
Debentures______________
Special___________________
2 ,8 63,642.21
Due as exr., adm., guard.,
receiver, trustee, as­
7 ,943,150.06
signee, etc_____________
Interim certificates_______
Contingent Fund in
Stabilized Banks_______
T otal________________$456,140,833.14


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Federal Reserve Bank of St. Louis

Increase

13

6,750,796.86
713.02
27,626.98

12,394,896.57
44,950.00

300,625.10

"24~H3^24:L73

63,196.10

403,107.11
157,315.07
9 ,8 18,556.80
2 ,2 01,326.46
3,046.15
81,657.71
456,642.47
3,034.92
1,050,683.06
90,438.13
96,752.95

140,611.35
678.34

$399,007,838.04

57,666,445.99

I 27,945,500.00
16,261,945.00
6,430,229.81
8 ,802,821.16
7 ,363,159.10
84,243.89

1,253,944.08
1 ,460,462.52
1,186,697.81
106,623.21

113,141,845.36

27,092,817.43

2 ,0 17,550.21
513,071.38
2 ,7 53,637.56
1,195,304.62
3 ,981,484.06
55,805,940.39
143,161,913.59

Decrease

533,450.89

38,000.00
UÌ23~945~00

344,503.47
142,793.03
562,157.78
832,979.68
1 ,796,168.51
4,0 9 5,23 2 .1 6
29,989,459.98
25,274.03
34,752.00

44,360.66
34,752.00

43,211.79

43,211.79
82,767.53
249,597.31

304,696.45
198,746.50
479,526.89

3 ,343,169.10
5 ,747,844.97

2,1 9 5,30 5 .0 9
3,488.55

3,488.55
$399,007,838.04

65,221,890.53

$

8 ,0 88,895.43

REPORT OF THE COMMISSIONER OF BANKING

9

CHANGES IN CAPITAL OF STATE BANKS IN 1936
Increase in Capital of State Banks 1936
N E W BANKS
State Bank of Viroqua, Viroqua____________________________ ________________________..,$ 5 0 ,0 0 0

AMENDMENTS TO INCREASE CAPITAL
From

Adams County State Bank, Adams
$
Dairyman’s State Bank, Clintonville.
North Milwaukee State Bank, Milwaukee .
The Peoples Bank of Coloma, Colom a____
South Side State Bank, Madison
Superior State Bank, Superior _
Fidelity Savings Bank, A ntigo.
T o t a l ..

10,000
56.000
35.000
30.000
25.000
30.000
50.000

To

$

25,000
84.000
100,000
80.000
200,000
50,000
100,000

____________

Increase

$

15,000
28,000
65.000
50.000
175,000
20.000
50,000

$

403,000

DECREASE IN CAPITAL OF STATE BANKS 1936
DECREASE DUE TO SALE OF ASSETS
Decrease
Farmers State Bank, Mosinee, sold to State Bank of M osinee__________. . . .
$ 10 000
State Bank of Plymouth, | ___________________________________ _
~~
s o ’ ooo
Plymouth Exchange Bank, f Plymouth, sold t o __________________________II I " _ ‘ I
50 000
Citizens State Bank, Sheboygan
Barton State Bank, Barton, sold to First State Bank, W est Bend___________________ 25 000
W ilton State Bank, W ilton, sold to Bank of Sparta_________________________________ 25 000
Brookfield State Bank, Brookfield, sold to Pewaukee State Bank___________
_
15'000
Bank of Cambria, Cambria, sold to Cambria State Bank___________________ "
" I " l o ’ oOO
American Exchange Bank, Superior, sold to Union National Bank, S u p e r i o r .! !! !! .! 100,000
Catawba State Bank, Catawba, sold to First National Bank, Phillips_______________ 15’ 000
T otal-------------------------- ----------------------------------------------- -------- ------------------------------- $300,000

VOLUNTARY LIQUIDATION
Northern Trust Co., Green B a y _____ __________________ _____ ______________________ $ 50,000
The State Bank, Milton Junction___________________________________________ I
15 000
Cudahy Mutual Savings Bank, C udahy_____________________________ _IIIIIIII.HI
’
Manitowoc Trust Co., M anitow oc________________________________________ __ IIIIIII 50 000
T otal------------------------------------------------------------------------------------------------------------------- $115,000


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Federal Reserve Bank of St. Louis

10

REPORT OF THE COMMISSIONER OF BANKING

CHANGE IN CAPITAL 1936
Capital Stock, December 31, 1935----------------------------$27,945,500
New B ank_______________________________________________________________________
50,000
Capital increased by amendment________________________________________________
403,000
T otal__________________________ _____ _______________________________________ $28,398,500
Decrease due to sale of assets___________________________________________________
300,000
Decrease due to voluntary liquidation___________________________________________
115,000
T otal____ _____ _____________________________________________________________$

415,000

Capital December 31, 1936______________________________________________________ $27,983,500

CHANGES IN NAM ES AND LOCATIONS OF STATE BANKS
DURING YEAR 1936
South Side State Bank, Madison, changed name to Bank of Madison.
The Farmers Exchange Bank, Green Bay, changed name to Wisconsin State Bank.
State Bank of Mosinee, Mosinee, changed name to Mosinee Commercial Bank.
North Milwaukee State Bank, Milwaukee, changed name to Northern Bank.
The Coon Valley State Bank, Coon Valley, changed name to W estby-Coon Valley State Bank.
The State Bank, Fall Creek, changed name to State Bank of Fall Creek.

CHARTERS EXTENDED DURING THE YEAR 1936
From

Cottage Grove State Bank, Cottage Grove —
Sussex State Bank, Sussex----- -------Farmers & Merchants Bank, R udolph, _


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Federal Reserve Bank of St. Louis

_-

-----------

8 - 9-36
8-17-36
5-24-37

To

8 - 9-61
8-17-61
Unlimited

11

REPORT OF THE COMMISSIONER OF BAN K IN G

CLASSIFICATION OF BANKS A S TO CAPITAL STOCK
Nu Tiber of Biinks
Banks Having Capital

Dec. 31, Dec. 31, Dec. 31, Dec. 31, Dec. 31,
1932
1933
1934
1935
1936

Of
$10,000_______________________________
Over $10,000 and less than $15,000
_____
Of
$15,000_______________________________

86
9
61

62
4
44

44
3
39

39
3
36

36
3
33

Over $15,000 and less than $20,000 ...........
Of
$20,000_______________________________
Over $20,000 and less than $25,000

7
38
4

6
34
3

6
27
3

5
25
3

5
25
3

$25,000_______________________________
$30,000. _ ___________________________
$35,000_______________________________

110
57
13

91
56
12

93
61
15

91
63
15

88
61
14

Over $35,000 and less than $40,000. Of
$40,000_______________________________
Over $40,000 and less than $45,000_

4
35
2

3
34
2

2
31
2

2
27
3

1
26
5

Of
$45,000_______________________________
Over $45,000 and less than $50,000 Of
$50,000_______________________________

3
1
93

4
1
88

4
1
80

4
1
81

4
1
78

Of
Of
Of

$55,000._ . . . _____________________
$56,000_______________________________
$60,000_______________________________

0
1
13

1
1
12

1
1
12

1
1
13

1
0
13

Over $60,000 and less than $65,000
Of
$65,000_______________________________
Of
$70,000 . . . ________________________

0
3
1

0
1
2

1
1
3

1
1
4

1
1
4

14
7

12
5

11
5

11
5

Of
Of
Of

Of
Of

$75,000_______________________________
$80,000_______________________________

Of

$85,000. ________

_________________

1

1

1

1

11
6
1
1

Of
$90,000_______________________________
Over $90,000 and less than $100,000 .
Of
$100,000_____________________________

0
3
41

0
4
38

4
0
35

4
0
37

4
0
38

Over $100,000 and less than $125,000 _____
Of
$125,000_____________________________
Of
$130,000_____________________________

0
3
0

2
3
0

3
3
1

3
3
1

3
3
1

Over $130,000 and less than $ 135,000.. _
Of
$135,000. . . . ______________________
Of
$150,000_____________________________

1
0
2

2
1
4

1
1
3

1
1
2

1
1
2

Of
Of
Of

$200,000 _ __________________________
$225,000_____________________________
$300,000_____________________________

19
1
7

20
1
5

13
1
4

13
1
2

14
1
3

Of
Of
Of

$400,000_____________________________
$500,000_____________________________
$1,000,000____________________________

4
2
1

3
2
1

2
2
1

2
2
1

2
2
1

Of

$1,500,000____________________________

1

1

1

1

1

Mutual Savings Banks without capital stock.

6

4

5

5

4

654

570

527

515

503

Total


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Federal Reserve Bank of St. Louis

_____

.. .

REPORT OF THE COMMISSIONER OF BANKING

12

THE NAM ES AND COMPENSATION OF A LL OFFICERS AND
EMPLOYES OF THE STATE BANKING DEPARTMENT
JA N U A R Y 1, 1936-DECEMBER 31, 1936

Title

Name
Oleary, irettn
-Thanh. Herbert F.
Schafer, Stanley N .Rnnkus. Irving E. _
Rarnev. Harry W .
Rarnev, Robert M._ -

Commissioner __
Commissioner—
Sr. Bank Exam ----Chief Bank Exam.
Ass’t Bank Exam.

Boehm, Esther _ _ - Brown, John C . ------Buenzld, Gregory M.
Caldwell, Stanley R-

Ass’t E xam in er___
Bank Examiner —
Jr. Clerk Stenog. - _
Ass’t Examiner---Law Examiner-----Bank Examiner —

Cardinal, F. Dean —

Bank Examiner —

Crowley, Jane

Fosse, E. Geneva —
Gannon, Mrs. D . S._ Gannon, J. Deane-----

Jr. Clerk Stenog.
Sr. Clerk Stenog. __
B. & L. Ass’n Sup.
Cons. Credit Sup’r.
Junior Clerk - Ass’t Clerk- _
Jr. Clerk Stenog. _ Jr. Clerk Stenog.
Ass’t Examiner__

Garrigan, D . K elly—

Ass’t Examiner___

Gill, Mrs. M ary E -----

Jr. Clerk Stenog. _ -

Golz, Alvin W . _

Ass’ t Examiner___

Hagan, Alexander _ _

Ass’t E xam in er----

Hagan, Nelson M.

Bank Examiner —

Hampton, Emmet G.

Bank Examiner —

Handel, W ilfred F .—

Ass’t Examiner___

Hermsen, Mrs. E. M.
Herried, Thom as-----Herried, T. Leroy-Houkom, Omer.
Hyland, Charles G. -

Sec.-Stenog----------Jr. Statistician____
Bank Examiner —
Bank Examiner —
Credit U. Organ’r__

Ingram, G. Erie
Jamieson, Gerald W.
Johnson, Mrs. Elsie- _
Levenick, Leo B.

Special Counsel----Sr. Bank Examiner
Jr. Clerk Stenog.
Bank Exam iner----

M cCarthy, G. A .-

Secretarial Stenog.-

Benninger, Merlin C.

------

Diggles, Clyde P.
D oyle, John F.
-----Everman, H e n r y ----

Bank Examiner _
Meloy, Theodore M.

Bank Examiner _ .

Merriman, Hazel K.

Jr. Accountant------

Middleton, Arthur-

Ass’t Examiner___

Moors, Arthur C.

Bank Examiner _

Morrison, Colin M. _ Accounting Clerk-Bank Examiner —
Mulva, James B.
Murphy, Margaret F. Jr. Clerk T yp ist___
1 Ass’ t Clerk Stenog
Nordness, June .


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Federal Reserve Bank of St. Louis

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July
Jan.
July
Jan.
July
Jan.
July
Jan.
Jan.
Jan.
Apr.

1
1
1
1
1
1
1
31
1
10
1
1
1
1
1
1
1
1
1
1
1
24
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
8
1
1
1
1
1
1
1
1
1
1
]
1
20

Dec. 31
Dec. 31
Dec. 31
Dec. 31
Dec. 31
June 30
July 31
Dec. 31
Oct. 9
D ec. 31
Dec. 31
April 21
Dec. 31
June 30
Dec. 31
June 30
Dec. 31
Oct. 31
Dec. 31
Dec. 31
Dec. 31
Dec. 31
Dec. 31
Dec. 31
Dec. 31
June 30
Deci 31
June 30
Dec. 31
June 30
Dec. 31
June 30
Dec. 31
June 30
Dec. 31
June 30
Dec. 31
June 30
Dec. 31
June 30
Dec. 31
Dec. 31
Dec. 31
Dec. 31
Dec. 31
June 30
Dec. 31
Dec. 31
Dec. 31
Aug. 31
June 30
Dec. 31
June 30
Dec. 31
Jan. 8
June 30
Dec. 31
June 30
Dec. 31
June 30
Dec. 31
June 30
Dec. 31
June 30
Dec. 31
Dec. 31
Dec. 31
Dec. 31
Dec. 31

N o. of
M o.
Day
12
12
12
12
12
6
1
4
9
2
12
3
12
6
6
6
6
10
2
12
12
1
12
12
12
6
6
6
6
6
6
6
6
6
6
6
6
6
6
6
6
12
12
12
12
6
6
12
12
8
6
6
6
6
5
6
6
6
6
6
6
6
6
6
12
12
12
8

i
8
18
18

5

6
20

10

Annual
Salary

Salary
Received

$5,000
5,000
5,000
3,300
3,600
1,800
1,800
2,100
2,100
2,400
900
1,800
3,000
2,520
2,640
2,400
2,580
1,440
1,500
3,600
3,000
1,200
1,200
1,440
1,320
1,800
2,100
2,100
2,400
1,440
1,500
2,100
2,400
1,500
1,800
2,400
2,580
2,400
2,580
1,800
2,100
1,980
2,400
2,400
2,400
2,400
2,700
3,000
3,300
1,200
2,400
2,580
1,980
2,160
2,700
3,000
3,180
2,700
2,880
2,100
2,280
2,100
2,400
2,400
2,580
2,400
2,400
1,320
900

$5,000.00
5,000.00
5,000.00
3,3 0 0.00
3,600.00
1,781.73
2,127.83
900.00
553.85
3 ,000.00
2,580.00
2,490.00
1,450.00
3,600.00
3,000.00
122.73
1,200.00
1,440.00
1,320.00
1,950.00
2,250.00
1,470.00
2,250.00
1,650.00
2,490.00
2,490.00
1,950.00
1,980.00
2 ,400.00
2 ,400.00
2,400.00
2 ,5 5 0.00
2,9 0 6.58
3,300.00
800.00
2,490.00
2,070.00
3,084.20
2,790.00
2 ,190.00
2,250.00
2,4 9 0.00
2,400.00
2 ,400.00
1,320.00
628.85

REPORT OF THE COMMISSIONER OF BANKING

13

THE NAM ES AND COMPENSATION OF ALL OFFICERS AND
EMPLOYES OF THE STATE BANKING DEPARTMENT
JA N U A R Y 1, 1936-DECEMBER 31, 1936— Continued

Name

Da te
From
To

Title

Pauls, Dayton F.

Bank Exam iner__

Platz, Herbert E ____

Bank Exam iner__

Ploetz, Nelson C ____

Bank E xam iner__

Purtell, Thomas M.__
Rothe, Earl H. _ _

Ass’ t Examiner___
Bank E xam iner__

Rothe, Lester W _____
Shape, Charles T ____
Shape, Gustave -Schultz, Elizabeth___
Shepherd, Fred E. Jr.
Steder, Catherine____

Sr. Statistician____
Sr. Bank Examiner
Ass’t E xam in er___
Secretarial Stenog.
Sr. Clerk Stenog. _ _
Ass’t Clk. Stenog. _

Steele, Clarence C -----

Bank E xam iner__

Stock, Walter L._

Ass’t Bank Exam. _

Swenson, Gladys R._ _
Teske, Fred C._

Sr. Clerk Stenog. _ _
Bank E xam iner__

Vallier, Gordon E -----Walker, Evelyn M. _
Walsh, Bernadette E.

Ass’t Exam iner. _
Jr. Clerk Stenog. _ _
Jr. Clerk Stenog. _ _

Wiehern, Harold J. _ _
Winkowski, Roman J.

Sr. Clerk Stenog. __
Sr. Clerk Stenog. _ _
Bank Exam iner__

Witzig, Edgar F ------

Sr. Bank Exam ____

Wrend, Catherine___

Ass’t Clerk

Buchanan, Mrs. M __

Jr. Clerk Stenog. __

Meyers, Fred H _____
Special attorneys’
fees _ _________ _
Temporary help

Sr. Clerk Stenog. . _

Jan.
July
Jan.
July
Jan.
July
Jan.
Jan.
July
Jan.
Jan.
Jan.
Jan.
Jan.
Mar.
July
Jan.
July
Jan.
July
Jan.
Jan.
July
Jan.
Jan.
Jan.
Feb.
July
Sept.
Jan.
July
Jan.
July
April
Aug.
Jan.
July
April

1
1
1
1
1
1
1
1
1
1
1
1
1
1
13
1
1
1
1
1
1
1
1
1
1
1
1
1
15
1
1
1
1
1
16
1
1
10

June
Dec.
June
Dec.
June
Dec.
Dec.
June
Dec.
Dec.
Dec.
Dec.
June
Dec.
June
Dec.
June
Dec.
June
Dec.
Dec.
June
Dec.
Dec.
Dec.
Jan.
June
Dec.
Dec.
June
Dec.
June
Dec.
June
Dec.
June
Dec.
Dec.

No of
M o.
Day

Annual
Salary

30
6
$ 2,400
31
6
2,580
30
6
2,400
31
6
2,580
30
6
2,400
31
6
2,580
12
31
2,100
30
6
2,700
6
31
2,880
31
12
3,000
31
12
3,300
12
31
2,400
30
6
1,980
12
31
1,500
13
3
900
31
6
30
6
2,700
31
6
2,880
30
6
1,680
31
6
2,100
31
12
1,680
30
6
2,700
31
6
2,880
31
12
1.800
31
12
1,320
1
31
1,440
30
5
1,500
6
31
1,800
15
31
3
1,500
30
6
2,400
31
6
2,580
30
6
3,000
6
31
3,180
30
3
900
31
4
15
18
5
15 Vi
1,200
31 Partt ime
21
31
7
1,872

Salary
Received

$

2,490.00
2 ,490.00
2,490.00
2,100.00
2,790.00
3,000.00
3,300.00
2 ,400.00
990.00
1.500.00
679.33
2 ,790.00
1,890.00
1,680.00
2,790.00
1,800.00
1,320.00
1,645.00
437.50
2,490.00
3,090.00
562.50
843.30
1,203.00
200 00
1,759.96

$155,546.36

BANKING REVIEW BOARD

From
von Oven, H. A., Vice Chairman
King, John . _
Kuhnmuench, Charles J— _
_ _
♦Schreiner, Joseph F.
Paunack, August O.
_ _____ _____

Jan.
Jan.
Jan.
Jan.
April

Date
To
1
1
1
1
1

Dec.
Dec.
Dec.
Mar.
Dec.

31
31
31
1
31

No. of
Days

Rate per
Diem

Salary
Received

13
11
13
3
10

$15.00
15.00
15.00
15.00
15.00

$195
165
195
45
150
$750

♦Deceased.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

REPORT OF THE COMMISSIONER OF BANKING

14

ANA LYSIS OF EARNINGS STATE BANKS, TRUST COMPANIES,
MUTUAL SAYINGS BANKS 1936
Banks Ope rating at a
Pr of it
Group

1
2
3
4
5
6
7
8
9
10

Total Deposits

150,000
250,000
500,000
750,000
1,000,000
1,500,000
2,000,000
3,000,000
9,000,000

to
150,000
to
250,000
to
500,000
to 750,000
to 1,000,000
to 1,500,000
to 2,000,000
t o 3,000,000
t o 9,000,000
and over

Total Commercial B a n k s _ ___
Trust Companies __
Mutual Savings Banks
Grand T o t a l.,

____
_ _

Banks Ope rating at a
Lc ss
(Number
of
Banks)

(Banks
Paying a
Dividend)

45
79
151
67
50
43
20
11
11
1

10
23
60
26
19
26
10
7
5

2
1
4
3
0
1
0
1
0

0
0
0
1
0
0
0
0
0

47
80
155
70
50
44
20
12
11
1

478

186*

12

1

490

8
3

1
It

1
1

0
0

9
4

14

1

503

489

188

(Banks
Paying a
Dividend)

FO O TN O TE :
* Information as to Dividends not Disclosed for Banks Falling in Group 10.
t Dividend Paid on Deposits.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Total
Number
of
Banks

(Number
of
Banks)

Schedule 1
ASSETS, CAPITAL, AND DEPOSITS BY GROUPS— AVERAGED FOR YEAR 1936— BANKS GROUPED ACCORDING TO DEPOSITS
COMMERCIAL BANKS
Group___________________

1

No. of Banks.___________

47

Loans_____ __________ __ $
U. S. & Gov't Bonds_____
Other Bonds. _______ _____
Total Bonds_________
Other Real Estate__
Total Resources____ _____
Total Resources less Bonds
and Loans_____________
Total Resources less Bonds
Loans and O. R. E_____
Common Capital Stock . _
Demand Deposits________
Time Deposits----------------Total Deposits___________

3

4

5

6

7

8

9

80

155

70

50

44

20

12

11

10
1

Comm’l Banks
490*

Companies
9

Savings

Grand
Total

4

503*

$112,933,543.65 $ 1,846,389.73 $ 2,107,296.25 $116,887,229.63
b2, 4 / 4,390.92
739,912.51
1,281,805.72
60,452,672.69
933,384.76 101,712,838.92
1,378,710.31
99,400,743.85
io 4 ,187,229 «84
1,673,297.27
2,660,516.03
159,853,416.54
5,bb6,3/9.98
30,211.75
656,099.45
4,880,068.78
4,610,325.62 378,215,398.80
12,877,609.49
360,727,463.69

2,584,888.90 $ 6,289,709.21 $20,949,912.65 $14,054,955.12 $14,904,993-. 37 $16,550,492.54 $12,295,446.33 $ 7,078,242.48 $18,224,903.05
6,430,239.62
15,733,232.13
6,500,393.58
8,809,537.56
6,701,207.29
2,083,341.40
7,375,263.19
6,256,535.47
562,922.45
8,158,093.62
17,806,943.49
14,952,162.50
14,609,761.02
15,720,222.10
9,713,590.75 10,789,427.17
1,628,738.36
6,021,804.84
23,891,325.75
16,414,798.04
17,219,666.79
25,182,206.68
21,208,697.97
21,110,154.60
24,529,759.66
8,105,146.24
2,191,660.81
515,362.05
351,860.61
309,141.63
1,064,018.46
624,599.83
941,986.82
548,608.73
449,860.83
74,629.82
6,304,604.88 18,915,999.32 60,544,059.19 46,185,517.72 47,327,065.14 53,698,747.10 37,816,620.12 31,529,999.44 58,404,850.78
1,528,055.17

4,521,143.87

14,411,939.86

10,921,864.63

11,311,917.17

12,618,494.90

9,106,375.75

7,232,090.17

16,288,621.98

87,940,503.50

8,370,703.73

829,732.10

97,140,939.33

1,453,425.35
749,666.67
281,166.67
2,232,683.27
2,820,028.21
5,052,711.48

4,212,002.24
1,740,000.00
982,500.00
6,522,606.54
9,027,611.14
15,550,217.68

13,347,921.40
4,903,000.00
2,540,315.00
20,101,667.27
31,033,579.66
51,135,246.93

10,297,264.80
3,122,000.00
1,958,000.00
15,274,843.23
24,243,573.16
39,518,416.39

10,369,930.35
3,166,666.66
1,936,666.66
14,916,008.79
25,432,712.61
40,348,721.40

12,069,886.17
3,295,666.67
1,795,000.00
15,707,366.94
31,119,623.67
46,826,990.61

8,656,514.92
2,757,833.34
1,972,500.00
11,942,329.30
19,606,998.72
31,549,328.02

6,880,229.56
1,366,666.66
1,230,000.00
11,156,190.01
16,613,242.95
27,769,432.96

15,773,259.93
3,325,000.00
1,025,000.00
23,439,025.19
27,645,825.08
51,084,850.27

83,060,434v72
24,426,500.00
13,721,148.33
121,292,720.54
187,543,195.20
308,835,915.74

7,714,604.28
1,635,000.00
196,666.66
9,570,412.88
2,319,538.49
11,889,951.37

799,520.35

91,574,559.35
26,061,500.00
14,221,148.33
130,863,133.42
193,966,145.17
324,829,278.59

FOOTNOTE:
* Exclusive of banks falling in Group 10.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

2

—

____

_

303,333.34
____________________

4,103,411.48
4,103,411.48

Schedule 2
ACTUAL OPERATING INCOME AND EXPENSE FOR YEAR 1936 BY GROUPS
Group___________________

1

2

3

4

5

6

7

8

9

10

Total Com. Bks.

Number of Banks________

47

80

155

70

50

44

20

12

11

1

490*

805,172.63
824,017.93
89,553.71
186,275.57
1,905,019.84

876,964.81
848,030.12
95,475.80
216,389.70
2,036,860.43

879,061.87
936,387.05
110,011.76
150,425.69
2,075,886.37

668,695.19
617.657.83
81,994.62
139.616.83
1,507,964.47

358,389.55
648,511.47
73,160.09
159,423.06
1,239,484.17

975,588.77
657,429.41
126,790.18
283,738.84
2,043,547.20

EARNINGS:
Interest on Loans.- ____
Interest on All Bonds__
Service Charges________
Other Income__________
TOTAL IN C O M E .__
DISBURSEMENTS
Salaries and Wages_____
Interest Paid on Time
Deposits____________
Other Expenses________
Total Expenses______
NET INCOME_____

161,661.22
94,669.67
17,922.01
47,979.28
322,232.08

376,862.81
328,933.20
46,441.08
104,489.92
856,727.01

1,222,273.47
1,008,777.69
130,262.62
302,157.66
2,663,471.44

98,790.88

238,594.71

714,355.77

466,785.41

482,053.95

480,957.34

362,342.11

290,868.29

57,806.50
85,326.62
241,924.00
80,308.08

183,259.29
211,770.64
633,624.64
223,102.37

628,231.56
626,442.49
1,969,029.82
694,441.62

495,612.29
425,110.33
1,387,508.03
517,511.81

502,284.03
446,067.74
1,430,414.72
606,445.71

586,528.66
421,850.11
1,489,336.11
586,550.26

352,696.27
356,762.31
1,071,800.69
436,163.78

296,729.38
288,110.52
875,708.19
363,775.98

Trust Cos

Mutual Svgs.

9

4

101,500.80
96,109.49

Grand Total
503*

6,324,670.32
5,964,414.27
771,611.87
1,590,496.55
14,651,193.01

756,135.26
953'745.55

564,966.30

3,699,714.76

420,635.06

29,817.10

4,150,166.92

466,329.44
466,837.94
1,498,133.68
545,413.52

3,569,477.42
3,328,287.70
10,597,479.88
4,053,713.13

41,709.65
274,586.20
736,930.91
216,814.64

44,712.18
23,082.34
97,611.62
94 ; 387.25

3,655,899.25
3,625,956.24
11,432,022.41
4,364,915.02

............ —

124,569.40
56i176.10
593.41
10,659.96
191I998.87

w

6,550,740.52
6,116,699.86
772,205.28
2,357,291.77
15,796,937.43

Schedule 3
ACTUAL RECOVERIES, PROFIT ON SECURITIES AND CHARGE OFFS FOR YEAR 1936 BY GROUPS
RECOVERIES:
Recoveries on Loans___
Recoveries and Profit on
Sale of Securities____
Other Recoveries_______
TOTAL RECOVER­
IES AND PROFIT
ON SALE OF SE­
CURITIES..............
NET INCOME
(Schedule 2 )_________
GROSS ADDITIONS
TO PROFITS.............
ITEMS CHARGED OFF:
Charged off on Loans__
, Charged off on Securities
Charged off on O. R, E._
Charged off on O. Assets _
TOTAL ITEMS
CHARGED OFF____
NET ADDITIONS
TO P R O FIT S-___

9,636.45

11,583.97

58,524.18

54,539.46

29,301.82

47,646.25

43,687.53

41,074.84

35,579.34
1,594.57

188,258.90
5,376.29

446,326.64
27,290.33

442,096.28
26,927.33

474,537.27
16,787.54

420,503.35
26,369.28

443,609.22
24,301.31

215,927.32
418.54

434,631.76
70,582.26 ..................

77,243.08

373,237.58

3,432.15

1,505.96

378,175.69

3,101,470.08
199,647.45

67,923.53
8,743.00

10,152.80
2.05

3,179,546.41
208,392.50

46,810.36

205,219.16

532,141.15

523,563.07

520,626.63

494,518.88

511,598.06

257,420.70

582,457.10

3,674,355.11

80,098.68

11,660.81

3,766,114.60

80,308.08

223,102.37

694,441.62

517,511.81

606,445.71

586,550.26

436,163.78

363,775.98

545,413.52

4,053,713.13

216,814.64

94,387.25

4,364,915.02

127,118.44

428,321.53

1,226,582.77

1,041,074.88

1,127,072.34

1,081,069.14

947,761.84

621,196.68

1,127,870.62

7,728,068.24

296,913.32

106,048.06

8,131,029.62

40,004.29
12,054.27
9,848.74
12,033.64

91,251.29
59,028.42
16,869.07
48,067.05

309,188.28
168,418.11
74,469.75
103,643.60

222,630.84
168,219.92
49,493.14
64,498.39

236,647.66
213,980.00
89,849.41
78,777.37

179,786.43
233,716.66
• 47,418.54
52,116.27

288,622.57
73,943.70
24,266.32
69,632.79

154,776.15
86,614.25
15,469.55
46,996.79

415,809.44
163,065.76
117,495.12
101,130.01

1,938,716.95
1,179,041.09
445,179.64
576,895.91

45,682.01
34,757.62
36,751.38
21,880.39

2,012.61
7,088.08
719.95
2,815.75

1,986,411.57
1,220,886.79
482,650.97
601,692.05

73,940.94

215,215.83

655,719.74

504,842.29

619,254.44

513,037.90

456,465.38

303,856.74

797,500.33

4,139,833.59

139,071.40

12,636.39

4,291,541.38

53,177.50

213,105.70

570,863.03

536,232.59

507,817.90

568,031.24

491,296.46

317,339.94

330,370.29

3,588,234.65

157,841.92

93,411.67

3,839,488.24

98,155.57
910;579.06

98,934.71

8,337.29

98,155.57
1,017,851.06

47,350.00
254,581.66
30; 000.00

10,000.00

1,840,666.29

108,934.71

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

Schedule 4
ACTUAL CREDITS TO AND DISPOSITION OF PROFITS— FOR YEAR 1936 BY GROUPS
CREDITS TO PROFITS
From S urplus__ ______
From Special Accounts. _
Impaired Capital____
Voluntary Contributions
Reduction of Capital___
TOTAL CREDITS
TO PROFITS.........

7,200.00
6,006.66

9,100.00
16,773.11

29,355.57
127,967.64

19,500.00
97,807.68

9,850.00

35,000.00
20,000.00

12,350.00
45,750.00
15,000.00

5,240.66

230,423.21

122,548.34

23,056.66

80,873.11

n e t a d d it io n s

TO PROFITS
(Schedule 3 )_______
UNDIV. PROFITS
12-31-35____ _____
GROSS CREDITS
TO PROFITS.........
DISPOSITION OF
PROFITS
Transferred to Surplus. .
Trans, to Reserves_____
Int. Pd. on Debentures _
D iv id en d s D eclared
T O T A T , D IS . f»E

P R O F IT S ..............
NET UNDIV. PROFITS (12-31-36)...

10,000.00
115^492.19

8,000.00
92;622.86

13,741.00
15,000.00
208,089.37

154,233.19

44,806.02

216,013.53

160,000.00
100,622.86

204,806.02

216,013.53

—

—

_ —

47,350.00
254,581.66
40,000.00
8,337.29

1,457,938.29

53,177.50

213,105.70

570,863.03

536,232.59

507,817.90

568,031.24

491,296.46

817,339.94

380,370.29

3,588,234.65

157,841.92

93,411.67

3,839,488.24

74,894.32

215,765.80

593,642.82

428,081.07

516,255.45

515,629.45

415,340.79

250,635.46

1,060,738.94

4,070,984.10

233,322.79

33,269.15

4,337,576.04

151,128.48

509,744.61

1,394,929.06

1,086,862.00

1,232,162.72

1,287,893.88

1,007,260.11

772,781.42

1,607,122.76

8,999,885.04

600,099.42

135,018.11

9,635,002.57

26,380.97
18,779.78
9,173.21
7,950.00

81,327.61
97,374.36
27,217.41
25,720.00

157,418.14
297,456.22
76,638.74
103,167.76

149,000.00
238,356.62
611001.02
57,133.33

178,500.00
232,191.58
48^503.28
45,817.50

193,250.00
232,624.31
65|146.92
92,160.00

120,000.00
190,681.87
58,502.90
85,700.00

60,000.00
325,835.88
42,933.43
61,000.00

200,000.00
162,042.10
33,960.00
101,000.00

1,165,876.72
1,795,342.72
423,076.91
579,648.59

31,500.00
63,283.42
6,774.11
80,000.00

20,000.00
32,111.19
11,375.56
2 8 ,358.12t

1,217,376.72
1,890,737.33
'441,226.58
688,006.71

62,283.96

231,639.38

634,680.86

505,490.97

505,012.36

583,181.23

454,884.77

489,769.31

497,002.10

3,963,944.94

181,557.53

91,844.87

4,237,347.34

88,844.52

278,105.23

760,248.20

581,371.03

727,150.36

654,712.65

552,375.34

283,012.11

1,110,120.66

5,035,940.10

318,541.89

43,173.24

5,397,655.23

FOOTNOTE:
* Total exclusive of banks falling in Group 10.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

15,000.00
193,089.37

t Dividend on Deposits.

Schedule 5
PERCENTAGES OF INCOME, EXPENSES, RECOVERIES, AND LOSSES BASED ON AVERAGED ASSETS OR DEPOSITS FOR YEAR 1936
C DMMER<:iA L BA NKS
1

2

3

4

5

6

7

8

9

10

Total
Com’l.

Trust
Co's.

Mutual
Savgs.

Grand
Total

47

80

155

70

50

44

20

12

11

1

490*

9

4

503*

6.25
4.32
.28
.76

5.99
4.06
.25
.55

5.83
4.01
.22
.50

5.73
3.89
.19
.40

5.88
4.02
.20
.46

5.31
3.82
.20
.28

5.44
3.76
.22
.37

5.06
3.77
.23
.51

5.35
2.75
.22
.49

5.60
3.73
.21
.44

5.50
3.61

Service Charges___________
Other Income_______________

5 91
3.36

5.87

.23

5.60
3.73
.20
.62

TOTAL INCOM E________

5.11

4.53

4.40

4.12

4.30

3.87

3.99

3.93

3.50

4.06

7.40

4.17

4.18

On Averaged Total Resources

EXPENSES
Salaries---------- -------------------Interest Paid on Time Deposits
Other Expenses--------------------

1.96
2.05
1.35

1.53
2.03
1.12

1.40
2.02
1.03

1.18
2.04
.92

1.19
1.97
.94

1.03
1.88
.79

1.15
1.80
.94

1.05
1.78
.91

1.11
1.69
.80

1.20
1.90
.92

3.54
1.80
2.13

.73
1.09
.50

1.28
1.88
.96

On Averaged Total Deposits
On Averaged Time Deposits
On Averaged Total Resources

TOTAL EXPENSES..........

3.84

3.35

3.25

3.00

3.02

2.78

2.84

2.78

2.57

2.94

5.72

2 12

3.02

1.27

1.18

1.15

1.12

1.28

1.09

1.15

1.15

.93

1.12

1.68

2.05

1.16

.37

.18

.28

.39

.20

.29

.36

.58

.42

.33

.19

.07

.32

Group— --------- -------------------Number of Banks_______ —
INCOME

NET EARNINGS
RECOVERIES
On Loans___________________
On Securities and Profit on
sale of Securities_________
TOTAL RECOVERIES. . .
CHARGE OFFS
On Other Real Estate
O n O th er A ssets___________
TOTAL CHARGE O F F S Dividends Paid .
Interest Paid on Capital Debentures__________________

1.62
.10

2.32
.12

1.77
.19

2.08
.25

2.25
.15

1.71
.21

2.70
.27

1.25
.01

1.82
.43

1.94
.23

2.55
.10

61

1.94
.21

.74

1.08.

.88

1.13

1.10

.92

1.35

.81

1.00

1.02

.62

.25

.99

1.55
.55
13.20
.83

1.45
.73
5.46
1.14

1.48
.67
7.00
.78

1.58
.79
7.92
.63

1.59
1.01
9.54
.76

1.09
.95
8.64
.43

2.35
.45
5.39
.80

2.19
.50
4.40
.68

2.28
.68
22.80
.64

1.72
.74
9.12
.69

2.47
1.31
5.60
.28

.09
.42
2.38
.35

1.70
.74
8.67
.66

1.17

1.14

1.08

1.09

1.31

.96

1.21

.96

1.37

1.15

1.08

.27

1.13

1.45

2.80

3.04

2.37

4.89

.69t

2.64**

2.50

3.63

3.31

3.08

3.44

1.06
3.26

1.48
2.77

2.10
3.02

1.83
3.12

FOOTNOTE:
* Exclusive of Banks falling in Group 10.
t Dividends paid on Deposits—Percentage shown is based on Time Deposits.
** Represents Dividends paid on Common Capital Stock only.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

_______

3.11
2.97

4.46
3.49

—

3.75

3.10

Basis

On Averaged Total Resources
Qn Averaged Loans
On Averaged Total Bonds
On Averaged Resources Less
Loans and Bonds
On Averaged Total Resources
On Averaged Loans
On Averaged Total Bonds
On Averaged Other Real Estate
On Averaged Resources Less
Loans, Bonds, and Other Rea
Estate
On Averaged Total Resources
On Averaged Common Capital
Stock
On Averaged Capital Debentures

Schedule 6
PERCENTAGES OF INCOME, EXPENSES, RECOVERIES, AND LOSSES BASED ON GROSS INCOME FOR YEAR 1936
■
COM WERCIAL

Total
Com’l

1

490*

9

4

503*

47.74
32.17
6.20
13.89

43.17
40.71
5.27
10.85

10.64
10.08
79.28

64.88
29.26
.31
5.55

41.47
38.72
4.89
14.92

100.00

100.00

100.00

100.00

100.00

44.10
4.38
28.79

15.53
23.29
12.02

26.27
23.14
22.96

2

3

4

5

6

7

8

9

Number of Banks-------- . ------- —

47

80

155

70

50

44

20

12

11

50.17
29.38
5.56
14.89

43.99
38.39
5.42
12.20

45.89
37.88
4.89
11.34

42.27
43.25
4.70
9.78

43.05
41.64
4.69
10.62

42.35
45.10
5.30
7.25

44.34
40.96
5.44
9.26

28.91
52.32
5.90
12.87

----------

INCOME
Interest on Loans_______ - _ ________ __
Interest on Bonds_________ ________
Service Charges___________ ____ - - - Other income--------------------------------- ------TOTAL INCOM E____________________
EXPENSES
interest Paid on Time Deposits___ __ —
Other Expenses_______________ _ ------- -

100.00

100.00

100.00

30.66
17.94
26.48

27.85
21.39
24.72

26.82
23.59
23.52

100.00

100.00

100.00

100.00

24.50
26.01 .
22.32

23.67
24.66
21.90

23.17
28.25
20.32

24.03
23.39
23.66

23.47
23.94
23.24

27.65
22.82
22.84

25.25
24.36
22.72

100.00

Trust
Co’s

Mutual
Sav’gs

10

Group_______________________ _____________

1

Grand
Total

TOTAL EXPENSES__________________

75.08

73.96

73.93

72.83

70.23

71.74

71.08

70.65

73.31

72.33

77.27

50.84

72.37

NET EARNINGS__________________

24.92

26.04

26.07

27.17

29.77

28.26

28.92

29.35

26.69

27.67

22.73

49.16

27.63

On Securities & Profit on Sale of Securities—
On Other Assets------------- -----------------------

2.99
11.04
.50

1.35
21.97
.63

2.20
16.75
1.03

2.86
23.21
1.41

1.44
23.30
.82

2.30
20.25
1.27

2.90
29.42
1.61

3.31
17.42
.04

3.78
21.27
3.45

2.55
21.17
1.36

.36
7.12
.92

.78
5.29

2.39
20.13
1.32

TOTAL RECOVERIES__________ _____

14.53

23.95

19.98

27.48

25.56

23.82

33.93

20.77

28.50

25.08

8.40

6.07

23.84

-

12.41
3.74
3.06
3.74

10.65
6.8 )
1.97
5.61

11.61
6.32
2.80
3.89

11.68
8.83
2.60
3.39

11.61
10.51
4.41
3.87

8.66
-11.26
2.28
2.51

19.14
4.90
1.61
4.62

12.49
6.99
1.25
3.79

20.35
7.98
5.75
4.95

13.23
8.05
3.04
3.94

4.79
3.64
3.85
2.30

1.05
3.69 '
.37
1.47

12.57
7.73
3.06
3.81

TOTAL CHARGE OFFS______ _____

22.95

25.12

24.62

26.50

30.40

24.71

30.27

24.52

39.03

28.26

14.58

6.58

27.17

7.56

15.71

19.65

16.77

18.52

14.30

3S.90

30 .04f

15.76

8.00

11.11

13.41

11.80

6.23

10.44

3.12

12.05

10.11

RECOVERIES

CHARGE OFFS
On Loans—___ _________________________
On Bonds_____________________________
On Other Assets-------------------------------

DIVIDENDS PAID (Based on Net Earnings)

9.90

11.53

14.86

11.04

INTEREST PAID ON CAPITAL DEBENTURES (Based on Net Earnings)------

11.42

12.20

11.04

11.79

FOOTNOTE:
’'‘Exclusive of Banks falling in Group 10.
t Dividends paid on deposits.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

REPORT OF THE COMMISSIONER OF BANKING

15

The receipts and disbursements of the State Banking Department
from January 1, 1936 to December 31, 1936, are presented in the fol­
lowing report:

R EC E IPTS
N onAppropriated Appropriated
Balance Jan. 1, 1936 (1934-35 appropriation)________________________________
$ 7 987.23
Balance Jan. 1, 1936 (1935-36 appropriation)_________
__ __
57 062 86
Appropriated from General Fund July 1, 1936_____________________________ A
5 o ’, 00o!o0
Appropriated from General Fund June, 1936, for Credit U n ion s_____________
21500.00
Receipts from Discount Companies_________________________________________
3,339 32
Receipts from Credit U n io n s .____________________________________ " " _____ 9,136.54
Receipts from Small Loan Companies________________________________________
5 [691.97
Building & Loan Associations, fees, and assessments__________________________
34,319.71
Agents licenses___________________________________ ___________________________
’ 700.00
Building & Loan Associations in liquidation__________________________________
631.42
Investment associations______________________________________________________
157.63
Bank fees and assessments_____________________________________________ 92,619!71
Permits for receiving stations________________________________________________
200 00
Delinquent banks____________________________________________________________
17 638! 44
Receipts from stabilized banks______________________________________________
11! 223! 93
Receipts from license fees, auto dealers & salesm en__________________________
29! 030! 75
Miscellaneous appropriated receipts_____________________________________
1,072.47
Miscellaneous non-appropriated receipts_______ : _______________ $
548.35
$

548.35

$323,311.98

D ISB U R SE M E N TS
Banking Review Board Salaries_________________________________ $
750.00
Officers and Office employees salaries____________________________ 73, ¿69 69
Examiners Salaries___________________________ ________
__
78 *773 41
Temporary help-------------------------------------------------------------- A A ! A
2! 803! 26
Total Salaries________________________________________________________

$156,296.36

Advisory Committee Building & Loan Assns. Travel E ’pense____$
548.39
Advisory Committee Credit Unions Travel Expense_____________
170.90
Banking Review Board Travel Expense_________________________
699! 51
Officers and Office Employees Travel Expense___________________
6,922!87
Examiners Travel Expense_____________________________________
32,401 89
Total Travel Expense___

$ 40,743.56

Stationery and Office Supplies.
Postage______________________
Telephone & Telegraph______
Express, Freight and Drayage.
Printing_____________________
Miscellaneous________________
Surety Bonds________________

3,158.73
6.548.04
1,515.26
16.69
10,397.57
9.896.04
1,087.33

Total Disbursements-------------------------------------------------------- -

. .--------------

Balance on 1934-35 appropriation transferred to
General Fund June 30,1936__________________________ _________________$
Balance Dec. 31,1936 on 1935-36 appropriation__________________________
Balance Dec. 31,1936 on 1936-37 appropriation__________________________


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$229,659.58
7,987.23
' 1,458.45
84 !206.69
$323,311.98

ABSTRACT OF REPORTS OF STATE A N D M UTUAL SAVINGS BANKS AND TRUST COMPANIES OF WISCONSIN
ON DECEMBER 31, 1936 BY COUNTIES

County

U. S. Securities
Stock in Fed.
Reserve Bank, Banking Hse.,
Other Stocks & Furn., Fix.,
Sec. other Bonds Other R . E.

Due from
Banks and
Cash on Hand

Other
Assets

T otal
Resources

93,074
534,046
1,500,443
141,246
4,635,822

320,808
477,408
1,266,909
88,652
5,993,046

8,900
33,169
225,361
20,691
324,928

122,562
148,184
668,598
76,770
2,580,005

87
15,675
48,438
385
137,057

545,431
1,208,482
3,709,749
327,744
13,670,858

----------- ---------- — . . . . . . . . . . —
— . — --------- _ . . . . . . . .
______________ — . . .
. . . .
. . .
. . . .
--------. . .
.
-------- ---------.
. . . .
. .
_
—
— .

654,129
194,391
1,276,641
1,541,784
1,699,360

1,938,582
48,069
1,850,091
2,305,175
2,352,746

96,406
15,000
131,041
142,664
209,875

451,736
85,930
642,850
906,119
891,376

7,344
1,147
12,471
12,413
4,975

3,148,197
344,537
3,913,094
4,908,155
5,158,332

Columbia----- . — _ . . . — — — ------ . . ._ . . .
C raw ford.. ---------------— . . .
.
..
—
D a n e ..
—
. . . .
D od ge___- - - - - - - . . . .
--- -------. . . . .
-------D o o r .. - - - - .. .
. .
. . . . —

1,910,662
1,439,704
5,418,554
2,992,452
769,870

3,170,547
1,475,524
7,373,683
4,356,584
1,051,644

296,685
159,476
1,011,864
369,806
61,066

1,605,073
622,334
5,039,408
1,778,570
596,227

12,773
12,318
204,865
29,734
24,803

6,995,740
3,709,356
19,048,374
9,527,146
2,503,610

Douglas.
.
-_
— . . . . .
— -------- .
.
D u nn. _
--------_.
.
E auC laire.
. ___________ _______
. . ._ .
F lo re n c e ______ .
. . . . ___. . . . ---------. .
F o n d d u L a c . ._
.
__
. . .
. . . ___. . . .

. —
.
—
.

566,047
900,727
541,692
49,330
1,182,264

858,685
1,372,451
362,153
130,310
2,364,865

33,739
210,088
60,940
21,800
206,095

542,421
534,758
149,493
85,785
975,542

14,052
24,949
305
535
14,422

2,014,944
3,042,973
1,114,583
287,760
4,743,188

_
. — . . . .
Forest------ -------------- —
Grant_____ — — —
__
. . .
- .
..
Green. _ — --------— _ — ------------------ .
Green L a k e __ __ ________ ______ ______
..
.
Io w a ..
. . —
..
_____ __
. . . --------

.

191,808
2,257,011
1,909,189
1,074,270
822,104

264,195
3,249,189
4,308,969
2,170,368
2,654,266

19,731
327,146
193,107
107,867
138,653

171,130
2,703,291
1,435,591
547,319
670,481

1,357
73,283
39,661
10,993
14,046

648,221
8,609,920
7,886,517
3,910,817
4,299,550

168,545
553,108
3,099,562
921,526
208,840

392,157
2,074,702
6,264,153
1,691,081
172,744

36,330
31,800
432,374
125,424
133,164

156,033
528,663
1,842,452
635,646
263,838

3,551
6,728
46,884
6,371
2,891

756,616
3,195,001
11,685,425
3,380,048
781,477

.
_____ - _ . —
Adams . . . __
Ashland— . . .
. .
_ __
____—
Barron. _
—
_.
__
Bayfield. . .
. . .
. . . . . .
— —
B r o w n ..... ..........................................
. . . .
Buffalo______ .
B u rn ett.. . .
C a lu m e t -___
Chippewa . . .
Clark___
.

.
-----__

. . _ _
.

. .
.. .
- .
.

. . .

_ .
. . .
_ —
. —

Iro n .
. . _______ _______ ____ — . ---------- --- . — . . .
J a ck son .. __ __________________________ _____ ___________ Jefferson____ ____ . . .
—
. . .
. . . — _ — Juneau..
__ — _
- ______
. . ----------------Kenosha. . . _______


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

REPORT OF THE COMMISSIONER OF BANKING

Loans, Dis­
counts and
Overdrafts

®

K ew aunee.. . _
.
L a C rosse_____
_ .
. . _
Lafayette___ ____ __
___
Langlade________ __
.
Lincoln.
. . . . . . _____

2,687,256
3,902,117
1,226,071
1,560,011
3,162,696

112,199
117,070
81,839
21,553
154,495

1,086,647
1,193,667
852,012
319,704
790,515

17,732
95,476
229
12,163
18,013

5,805,106
6,280,950
2,896,086
2,611,112
5,280,838

4,815,498
4,043,921
779,306
410,335
31,576,098

5,535,994
6,686,393
1,243,106
863,025
40,602,706

693,367
382,934
128,666
42,585
3,701,765

2,903,411
3,132,053
620,102
159,820
29,608,198

103,679
62,288
7,785
569
3,325,032

14,051,949
14,307,589
2,778,965
1,476,334
108,813,799

M onroe_____ __
______ . .
Oconto_____ __ . . . . ___ _____
O n e i d a .._________ ____ ____ ____ __
Outagam ie.. _______________ ____
O z a u k e e .__
_________ . .

1,871,540
619,245
711,009
3,037,359
1,704,766

2,163,996
496,758
543,581
4,645,129
1,893,025

141,676
91,281
90,100
280,235
131,430

1,093,561
258,503
339,446
1,784,947
1,203,681

11,324
5,739
13,728
47,161
12,255

5,282,097
1,471,526
1,697,864
9,794,831
4,945,157

Pepin________ _____ . . . . ____ . . .
Pierce___
. . .
P olk_______________________________________
P o r t a g e ______ . _________
______
.
P rice .. _______ ____

252,373
796,555
1,070,784
608,558
230,410

290,280
1,112,853
1,162,210
723,678
405,561

13,500
116,428
113,558
69,897
27,787

139,058
407,197
442,809
290,965
175,721

3,538
1,936
492
4,257

695,211
2,436,571
2,7 9 1,29 7
1,693,588
843,736

3,457,241
881,542
5,591,292
235,184
932,580

6,154,951
1,513,306
7,131,480
445,685
704,545

297,604
158,395
484,308
22,471
90,725

2,174,878
858,075
5,121,601
176,454
579,123

324,427
8,086
159,309
1,411
4,939

12,409,101
3,419,404
18,487,990
881,205
2,311,912

_____
Sauk. _______ __ . . .
Sawyer. . . . . . .
__ __
_______ __
Shawano . _____ __ . . .
_____
Sheboygan . . _
. . .
T a ylor________ _____ __
. _____

1,970,153
45,736
1,579,097
6,869,407
795,029

6,637,576
82,741
2,082,408
9,627,382
474,342

541,811
6,169
171,403
721,502
55,649

1,651,172
27,609
857,752
3,9 9 2,59 2
192,285

62,585
579
12,165
412,068
1,184

10,863,297
162,834
4,702,825
21,622,951
1,518,489

Trempealeau. . . . . .
Vernon___ __
. . . . . . _____
Vilas_____________________________
W alworth_____ __
. . .
_____
W ashburn. . . _____ __ . . _____

1,884,087
1,551,494
82,526
1,822,619
242,899

2,111,122
1,830,030
4,525
4,074,999
490,924

194,633
167,574
11,419
278,893
28,572

833,452
663,257
77,572
1,283,638
186,460

11,962
23,611
45,595
3,989

5,035,256
4,235,966
176,042
7,505,744
952,844

Washington___ ______ __
_ _______
W aukesha. . . . . . .
_____
W aupaca. . .
. . . _____ __
_____ __
W a u sh a r a ____
_ ____
______
W in n eb a go.. _ . . . . . . . . .

1,578,172
2,355,229
1,937,205
1,050,665
2,156,374

2,845,137
2,274,484
2,958,123
1,127,904
4,625,129

104,147
216,544
140,019
55,265
379,389

870,783
1,127,734
1,074,203
587,444
2,090,871

21,067
5,474
14,426
3,491
58,545

5,419,306
5,979,465
6,123,976
2,824,769
9,310,308

563,943

366,989

59,135

176,255

338

1,166,660

Manitowoc .
. . .
. . . . . . .
M arathon_________ ______ __
Marinette
. . . . . . . .
M arquette- .
. . _______ __
Milwaukee. . . _____ __ _____ __

Racine . . . . ______
. . . .
Richland______ . _
.
.
R o ck __________ _
_
.
. .. .
______ __ _____ __ . .
R usk______ __
St. C r o ix .. ______ __________________ ____ __

W ood .

. _____ __ .


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

____

. .

__

._

REPORT OF THE COMMISSIONER OF BANKING

1,901,272
912,620
735,935
697,681
1,155,119

ABSTRACT OF REPORTS OF STATE AND M UTUAL SAVINGS BANKS AND TRUST COMPANIES OF WISCONSIN
ON DECEMBER 31, 1936 BY COUNTIES

Capital and
Surplus

Undivided
Profits

Income
Debentures

Deposits

Other
Liabilities

A d a m s __ - - ----------------Ashland
_
_
Barron ___ _
- - - - - - - - - - -----_____
_ _
- — Bayfield__
B row n. --------------------------------------------------------------------------------------

37,700
135,000
276,147
30,580
1,099,000

4,498
14,707
68,309
5,317
309,614

10,000
75,000
202,500
15,000
405,000

492,333
983,775
3,159,363
276,846
11,846,818

3,430
1
10,426

2
1
10
2
13

______
_____
Buffalo________
Burnett. - _____
. _ _
Calumet___
-----Chippewa___
___ - _ _
--------Clark__________________________________________________________

220,500
55,000
350,250
341,000
362,669

76,798
11,426
67,363
130,311
57,507

117,000
10,000
210,000
135,000
180,500

2,729,726
267,111
3,280,746
4,297,053
4,546,645

4,173
1,000
4,735
4,791
11,011

6
1
10
6
9

Columbia___ __
Crawford___ Dane
_ _ __ _ _
Dodge
D oor_______________________________ ___________________________

454,400
242,000
1,628,809
796,000
150,000

125,331
88,303
559,109
163,406
26,225

220,000
215,000
925,000
290,000
70,000

6,190,573
3,147,946
14,328,449
8,268,466
2,251,885

5,436
16,107
1,607,007
9,274
5,500

10
6
27
17
2

Douglas. _ .
Dunn
_
Eau Claire.
Florence _ _
_
. _ _
Fond du L a c ------------------ — - - T-------------------------------------------------

174,700
238,000
78,000
27,000
389,000

24,698
84,648
11,011
7,950
92,506

47,500
180,000
30,000
25,000
150,000

1,765,068
2,537,067
994,997
227,175
4,109,291

2,978
3,258
575
635
2,391

5
5
2
1
11

Forest
Grant
.
_ _
..
.. .
Green
Green Lake. _
_
Iow a________________ ------- „ -------------------------------------------------------

58,000
529,000
738,000
364,000
253,500

17,000
186,901
214,323
109,106
62,230

50,000
287,000
35,000
60,000
115,000

518,718
7,603,974
6,888,971
3,377,060
3,863,445

4,500
3,045
10,223
651
5,37b

2
14
9
6
6

75,000
218,000
1,100,225
327,685
117,500

5,142
56,129
226,623
95,526
48,184

40,000
245,000
208,500
75,000
12,500

636,152
2,663,412
10,144,761
2,880,111
402,203

Iron
.Taekson
.Tefferson
_
.
Juneau
Kenosha_______________________________________________________ *


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

900

Number of
Banks

322
12,459
5,316
1,726
201,090 \

1
2
14
l

2

REPORT OF THE COMMISSIONER OF BANKING

County

00

Kewaunee
La Crosse.
Lafayette.
Langlade..
Lincoln___

530,300
480.000
199,800
112.000
476,500

120,321
119,661
42,092
28,194
66,436

245.000
235.000
82.500
85,000
37.500

4,907,917
5,282,422
2,565,257
2,272,223
4,698,289

1,568
163,867
6,437
113,695
2,113

M anitowoc
M arathon.
M arinette..
M arquette.
Milwaukee.

1,539,100
1,000,850
253,500
120,000
7,748,928

243,398
375,084
34,484
35,773
3,267,171

200,000

290,000
67,500
80,000
3,950,000

11,931,852
12,147,341
2,416,464
1,236,905
86,069,182

137,599
494,314
7,017
3,656
7,778,518

3
28

M on roe___
O conto___
Oneida____
Outagamie.
Ozaukee__

358,500
137.000
202.000
946,300
472,000

87,051
32,247
42,256
201,329
94,609

155.000
65,000
132,500
205.000

4,678,561
1,235,977
1,319,073
8,273,729
4,374,609

2,985
1,302
2,035
168,473
3,939

7
3
4
12
5

Pepin . .
Pierce. .
P o l k .. .
Portage
P rice__

58.000
166,700
230.000
213.000
85.000

5,758
39,720
50,448
49,870
13,255

50.000
115.000
185.000
90.000
35.000

581,453
2.114.550
2,320,799
1.337.551
709,747

601
5,050
3,167
734

2

R a c in e ..
Richland
R o c k ___
R u sk ___
St. Croix.

847,500
266,400
1,526,000
65,000
268,000

215,487
45,741
393,460
23,672
22,423

235,500
75.000
285.000
45.000
115.000

11,054,136
3,026,263
16,243,766
747,315
1,904,717

56,478

10

6,000

6

39,764
218
1,772

11
2
8

Sauk______
Sawyer___
S h a w a n o..
Sheboygan.
T a ylor____

511,800
11,200
448,881
1,730,000
122,300

230,077
2,830
120,789
239,124
45,785

683.000
5,000
200.000

9,429,665
143,254
3,923,144
18,895,154
1,338,849

8,755
500
10,011
221,673
4,055

11

Trempealeau.
Vernon______
Vilas________
W alw orth___
W ashburn__

463,250
331,200
27,500
577,000
72,000

122,915
85,548
3,047
190,256
14,094

629
5,142

10
9
1

3,334
27

11

20,000

4,348,462
3,569,076
145,495
6,425,154
846,723

Washington.
W au kesh a..
W aupaca___
W au sh ara..
W innebago.

400,000
412.400
458.400
317,500
702,200

103,414
91,996
156,272
57,831
188,665

117.500
315.000
205.000
180.000
267.500

4,795,700
5,145,982
5,297,039
2,265,137
7,712,921

2 ; 692
14,087
7,265
4,301
439,022

9

W ood.

113,000

10,482

44,500

998,178

500

100,000

245,000
310,000

2

4
15
10

6

1
5
7
6

11
1

14
3

3
10

9
6
7
4

REPORT OF THE COMMISSIONER OF BANKING


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

537,000
7,500

6
6
6

REPORT OP THE COMMISSIONER OP BANKING

20

ABSTRACT OF REPORT OF STATE AND M UTUAL SAVINGS BANKS
AND TRUST COMPANIES OF WISCONSIN AT THE CLOSE
OF BUSINESS DECEMBER 31, 1936

State
Banks
Number of Banks-

490

RESOURCES
Loans and discounts, in­
cluding rediscounts, if
i*ny
------------------------ $130,771,578.25
25,710.63
Overdrafts--------------------Drafts paid under letters
19,086.63
of credit______________
81,390,323.12
United States Securities Stock in Federal Reserve
256,050.00
Bank_________________
Other stocks and se­
922,403.10
curities—
113,389,281.32
Other bonds____________
Banking house, furniture
and fixtures-------9 ,4 56,148.21
Other real estate owned-5 ,452,516.23
Due from other banks----800,225.12
Due from approved re­
serve banks—
65,502,187.48
Due from Federal R e­
serve B ank------ ---------Gold coin and certificates
12,324,944.73
25,758.96
Silver coin ______________
U. S. and National Cur­
851,948.83
rency ______________
8 ,4 91,887.43
Nickels and cents----------Exchange for C. H . and
228,132.64
checks on banks in
same place-------------Checks on other banks in
3 ,1 69,080.13
process of collection —
1 ,2 30,097.37
Cash items--------------------265,129.85
Other assets------------------875,207.42
Expense account-----------T ota l.

$435,447,697.45

L IA B IL IT IE S
Capital Stock paid in------ ! 26,348,500.00
Incom e debentures--------14,678,000.00
Surplus fun d-----------------6 .834.040.55
Undivided profits -------9 ,6 98.076.80
Due to banks deposits. . .
8,549,856.91
Dividends unpaid----------190,753.10
Individual deposits sub­
ject to check--------------140,234,662.79
Demand certificates of
1 ,673,046.74
deposit----------------------Certified checks-------------370,278.35
3 ,3 15,795.34
Cashiers checks
United States deposits—
2 ,0 28,284.30
2.1 8 5.31 5 .5 5
Postal savings------- -------51,241,623.34
Time certif. of deposit---Savings deposits------------166,933,573.08
L. of c. and traveler’s
checks sold for cash
and outstanding--------19,086.63
Notes and bills redis­
counted______________
Bills pay., inc. oblgts. for
money borrowed other
than redis---------- _-------Incom e debenture sink­
386,221.82
ing fund reserve______
420,070.37
Otherliabilities-------------Debentures_____________
1,566.00
Special--------------------------Due as exr., adm., guard.,
receiver, trustee, as­
338,945.78
signee, etc------------------Interim certificates--------T otal.......................... $435,447,697.45


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Mutual
Savings
Banks

Trust
Companies

Combined
Totals
503

1 ,8 46,735.80

2 ,1 1 7,04 3 .7 4

1,565,076.01

760,041.32

$134,735,357.79
25,710.63
19,086.63
83,715,440.45

10,000.00
78,971.25
1 ,421,108.29

5,626.81
1 ,071,108.17

1 ,007,001.16
115,881,497.78

259,852.18
646,351.34
130,518.61

92,066.68
36,253.90
93,686.33

9 ,8 08,067.07
6 ,135,121.47
1 ,024,430.06

9 ,7 29,779.04

599,941.86

75,831,908.38

20.00

204.60

180.00
3,086.95

12,324,944.73
25,958.96
855,240.38

20,079.00
55.95

58,152.00
1,044.17

8 ,5 70,118.43
229,232.76

2,609.51

6,363.80

3 ,1 78,053.44

23,367.58
106,437.87

339.29
343.26
6,690.38

1,230,436.66
288,840.69
988,335.67

15,831,167.03

4 ,861,968.66

$456,140,833.14

1,635,000.00
190,000.00
697,500.00
489,870.52

270,000.00
152,633.34
75,336.36

> 27,983,500.00
15,138,000.00
7,684,173.89
10,263,283.68
8 ,549,856.91
190,867.10

114.00

140,234,662.79

469,084.89
1,865,185.52

4,3 5 2,61 4 .9 7

1 ,6 73,046.74
370,278.35
3,3 1 5,79 5 .3 4
2,0 2 8,28 4 .3 0
2 ,1 8 5,31 5 .5 5
51,710,708.23
173,151,373.57
19,086.63

1,242.16
10,141.83

18,131.61

387,463.98
448,343.81

2.862.076.21

2 ,8 63,642.21

7 ,604,204.28

7 ,943,150.06

$ 15,831,167.03

$

4 ,8 61,968.66

$456,140,833.14


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

REPORT OF THE COMMISSIONER OF BANKING

22

Other Bonds, Stocks and
Securities

Name of Bank

U. S. Government
Obligations

Location

Loans, Discounts and
Overdrafts

CONDITION OF INDIVIDUAL NATIONAL BANKS

A ppleton______
Ashland_______
Baldwin_______

First National Bank o f_______________
The Union National Bank----------------First National Bank____________ —

$ 2,130,372
261,298
288,387

$ 2,491,802
584,501
134,240

$ 2,663,270
469,237
64,026

Bangor__ _____
Baraboo_______
Barron________

First National B ank________________
The First National Bank o f-------------First National Bank o f---------------------

124,184
109,214
175,893

89,900
334,327
80,158

403,939
367,101
263,403

Bayfield_______
Beaver D a m __
Beaver D am __

First National Bank________________
The American National Bank----------Old National Bank__________________

106,206
212,530
259,092

33,625
705,441
883,143

11,248
1,105,778
818,314

B eloit_________
Berlin_________
Blanchardville _

The Second National B ank--------------First National B ank________________
First National B ank________________

424,747
259,339
85,404

142,574
839,298
141,952

1,794,439
471,810
87,552

Burlington____
Chippewa Falls
Chippewa Falls

The Burlington National Bank--------First National Bank o f--------------------Lumbermen’s National Bank________

198,144
327,786
461,045

127,276
197,873
482,452

415,352
314,666
902,682

Clintonville___
Columbus_____
Crandon______

The Clintonville National B ank_____
The First National B ank____________
Crandon National Bank--------------------

259,454
178,656
207,530

231,995
907,763

251,202
948,085
126,594

Darlington____
Darlington____
Dodgeville____

Citizens National B ank_____________
First National Bank at______________
First National B ank________________

282,199
98,184
440,995

526,702
100,161
235,012

524,563
469,116
124,562

Durand_______
Eagle R iver___
Eau Claire____

Security National B ank_____________
First National B ank________________
American National Bank & Trust Co

156,345
114,118
1,235,630

35,200
325,200
18,000

320,287
128,755
505,316

Eau Claire____
Edgerton______
Elkhorn_______

Union National B ank_______________
The National Bank o f_______________
The First National B an k____________

2,116,151
141,854
267,174

1,662,391
97,850
338,000

869,950
141,082
735,833

Fennimore____
Fond du L ac__
Fond du Lac__

First National B ank________________
First-Fond du Lac National Bank___
National Exchange Bank____________

163,738
741,096
651,653

79,158
4,191,235
412,500

269,160
1,636,995
754,982

Fort Atkinson _
Grantsburg____
Green B a y____

First National B ank________________
The First National Bank o f_________
Kellogg-Citizens National B ank_____

547,016
117,783
2,394,903

347,991
204,584
1,113,532

404,416
196,282
1,269,245

H artford______
H ayward______
Hudson_______

First National Bank________________
The Peoples National Bank_________
First National Bank o f______________

135,037
203,112
184,487

100,435
122,766
196,265

616,534
82,587
481,266

Janesville______
Janesville______
Kenosha______

The First National B an k____________
R ock County National Bank________
The Brown National B ank__________

427,149
372,896
360,436

584,355
598,451
574,929

1,668,350
96,296
145,411

Kenosha______
La Crosse_____
La Crosse_____

First National B ank________________
Batavian National B ank____________
The National Bank o f_______________

2,678,882
675,997
1,819,881

5,273,656
556,888
2,093,750

1,229,968
1,349,896
1,016,892

Ladysmith____
Lake Geneva
M adison______

Pioneer National Bank__________ ___
The First National Bank o f_________
The First National B ank____________

153,875
263,978
4,114,843

55,389
450,000
5,041,619

173,585
472,095
2,696,352

Maiden Rock__
M anitowoc____
M anitowoc____

First National B ank________________
First National B ank__ ____________
Manitowoc National B ank__________

98,639
726,527
695,942

18,802
613,500
422,122

19,436
627,686
61,887


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

23

REPORT OF THE COMMISSIONER OF BANKING

$ 1,715,103
416,138
83,430

$

152,812
31,078
13,216

$ 1,000,000
125,000
60,000

103,933
204,569
112,739

13,767
42,030
22,777

89,833
298,116
424,917

Total Footings

Other Liabilities

136,722
21,472
15,985

$ 7,992,632
1,615,780
503,507

100,000
60,000
57,500

22,360
32,005
10,797

613,363
965,233
586,673

3

735,723
1,057,241
654,970

26,971
36,058
20,321

39,500
200,000
200,000

1,737
39,482
4,139

226,646
2,106,043
2,202,656

12,398

267,883
2,357,923
2,406,587

801,158
433,042
151,180

105,749
84,575
12,215

125,000
155,000
35,000

33,085
65,872
2,755

3,110,584
1,857,990
439,298

9,202
1,250

3,268,669
2,088,064
478,303

298,071
151,624
366,251

19,249
58,537
84,617

120,000
116,750
200,000

5,521
8,170
36,404

932,573
925,568
2,056,972

3,671

1,058,095
1,050,489
2,297,047

141,618
316,096
66,039

819
47,377
20,444

62,000
165,000
56,000

7,746
45,806
25,667

815,344
2,182,669
338,940

477,330
160,640
174,821

50,580
1,009
98,432

120,000
60,000
115,000

39,297
17,165
7,233

1,702,077
751,944
950,496

1,093

1,861,374
829,109
1,073,822

91,889
144,149
550,538

20,720
19,509
18,735

60,600
66,500
175,000

16,054
52,115
41,865

547,788
612,195
101,742

921
9,612

624,442
731,731
2,328,219

2,153,614
93,563
321,052

268,503
14,333
43,726

441,000
60,000
109,000

137,217
15,527
92,803

6,468,668
413,031
1,503,985

23,724
124

7,070,609
488,682
1,705,788

245,982
1,456,805
707,238

17,284
197,654
61,427

62,500
630,000
251,000

11,967
177,613
21,332

698,317
7,383,324
2,313,922

2,538
32,848
1,546

775,322
8,223,785
2,587,800

254,751
66.137
6,446,376

64,959
11,760
189,408

181,000
59,000
500,000

52,202
7,454
273,668

1,384,843
326,333
10,581,336

1,088
3,759
58,460

1,619,133
596,546
11,413,464

178,525
147,792
392,765

68,237
17,574
23,178

100,000
50,000
100,000

31,457
14,618
18,992

967,311
509,214
1,158,970

752,184
902,840
265,510

68,212
22,758
56,928

280,000
200,000
190,000

57,253
85,292
33,191

3,162,652
1,707,949
1,178,516

1,506

3,500,250
1,993,241
1,403,214

2,198,549
2,738,165
1,788,877

456,912
356,765
138,813

1,005,000
715,000
575,000

275,265
52,320
104,997

10,512,609
4,897,946
6,156,984

45,093
12,445
21,232

11,837,967
5,677,711
6,858,213

146,747
278,733
12,968

31,941
73,719
1,164,505

52,500
100,000
1,850,000

16,597
49,506
382,215

489,008
1,389,019
23,465,911

3,433
287,612

561,539
1,538,525
25,985,738

55,612
1,053,551
377,749

8,020
68,687
60,523

30,000
303.000
155.000

690
117,486
47,564

169,821
2,669,465
1,415,659


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$

Deposits

Undivided Profits

Capital and Surplus

Cash on Hand and
Due from Banks

Banking House,
Furniture and Fixtures,
Other Assets

IN WISCONSIN ON DECEMBER 31, 1936

$

24,005
3,807

4,503

$

9,153,359
1,762,252
583,299

885,090
2,397,979
420,607

1,098,768
573,832
1,277,963
345

200,511
3,089,951
1,618,223

24

REPORT OP THE COMMISSIONER OF BANKING

Other Bonds, Stocks and
Securities

Name of Bank

U. S. Government
Obligations

Location

Loans, Discounts and
Overdrafts

CONDITION OF INDIVIDUAL NATIONAL BANKS

M arinette.
M arinette.
M arion___

The First National B ank_______
The Stephenson National B ank.
First National Bank in M arion.

453,928
456,838
223,405

1,090,817
1,019,453
5,405

322,954
692,740
97,393

Marshfield.
M ay ville. .
M en asha..

Citizens National B ank____
The First National Bank in .
The First National Bank o f.

609,500
59,145
526,488

401,100
97,896
344,506

585,200
205,328
723,004

Menomonie.
Milwaukee.
M ilw aukee..

The First National B ank________
First Wisconsin National Bank__
Marine National Exchange Bank.

474,013
42,056,760
6,749,569

1,072,498
101,554.182
10,556,517

541,966
11,513,855
7,411,206

M on dovi.
M onroe. _
N een a h ._

First National Bank_____
The First National B ank.
The First National B ank.

174,509
156,613
798,543

51,795
1,039,095
1,090,831

183,637
926,812
1,322,422

Neenah_______
Neills ville______
New Richmond

National Manufacturers B ank.
The First National Bank at—
The First National B ank_____

713,679
221,757
184,022

375,000
31.180
119,001

1,070,903
131,066
72,379

Niagara_____
O conom owoc.
O conto___ . . .

First National B ank________
Oconomowoc National B ank.
First National Bank________

151,407
288,870
127,621

108,403
162,593
162,867

147,146
376,365
346,953

Oshkosh__
Oshkosh__
Park Falls.

First National Bank____
Oshkosh National BankFirst National Bank____

1,180,578
457,278
156,823

3,423,383
251,909
261,478

1,517,309
1,591,959
272,368

P esh tigo...
Phillips___
Platteville.

Peshtigo National BankFirst National Bank in ..
First National Bank o f ..

43,692
141,289
187,059

24,369
101,021
144,135

143,671
235,315
459,035

Portage________
Port Washington
Prescott________

First National B ank___
First National Bank o f.
First National B ank___

153,736
216,014
127,125

1,209,471
96,981
138,915

406,141
385,037
131,112

Princeton___
Racine______
Rhinelander.

Farmers-Merchants National BankFirst National Bank & Trust C o----First National Bank_______________

148,318
1,915,657
595,291

123,397
6,042,759
296,829

309,300
2,205,888
541,453

Rib Lake.Rice Lake.
R ipon____

First National B ank_______
First National B ank_______
The First National Bank o f.

149,895
291,360
838,960

6,733
448,951
746,130

69,887
329,000
1,084,856

River Falls_____
St. Croix F a lls ..
Seym our_______

First National B ank-------The First National Bank.
First National B ank_____

439,180
144,865
388,261

115,393
147,312

359,101
67,057
626,668

S haw ano._
Sheboygan.
Sparta____

Shawano National Bank---------The Security National Bank o f.
Farmers National B ank_______

197,570
2,518,785
62,268

82,215
1,167,431
162,398

371,646
2,779,166
225,243

Stevens Point__
Stevens Point__
Stoughton___

Citizens National B ank____
The First National Bank o f.
First National Bank_______

243,376
575,738
504,345

279,321
394,140
391,201

1,009,686
1,255,433
208,209

Superior.
Superior.
Superior.

The First National B ank________
The National Bank of Commerce.
The Union National Bank o f-------

100,512
144,904
266,003

535,187
1,746,501
629,799

479,751
270,022
375,389

Tigerton______
Viroqua_______
Washburn_____

First National Bank in—
First National Bank in—
The First National B ank.

112,953
132,144
197,784

5,000
633,581
45,629

50,249
98,642
229,730


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

REPORT OF THE COMMISSIONER OF BANKING

25

Total Footings

Other Liabilities

Deposits

Undivided Profits

Capital and Surplus

Banking House,
Furniture and Fixtures,
Other Assets

Cash on Hand and
Due from Banks

IN WISCONSIN ON DECEMBER 31, 1936— Continued

887,818
498,348
94,765

80,706
78,098
15,612

210,000
250,000
60,000

36,486
51,893
11,108

2,587,106
2,441,704
364,970

2,632
1,880
2

2,836,225
2,745,477
436,580

477,200
67,298
439,442

18,800
20,699
40,787

130,000
60,000
185,000

17,500
635
61,701

1,935,400
387,965
1,823,371

8,900
1,766
4,156

2,091,800
450,366
2,074,229

382,018
62,560,829
14,768,181

163,767
6,800,222
805,664

310,000
17,000,000
3,100,000

76,612
2,057,435
752,112

2,238,021
203,575,848
36,175,970

9,629
1,852,565
263,055

2,634,262
224,485,848
40,291,137

74,185
677,046
1,194,480

11,605
82,181
92

60,000
300,000
250,000

10,529
85,474
295,949

425,203
2,487,132
3,824,501

9,141

495,732
2,881,747.
4,406,369

635,736
82,861
69,574

104,993
24,494
25,781

225,000
63,000
56,850

51,840
6,888
8,540

2,613,791
420,062
403,873

9,681
1,408
1,496

2,900,313
491,358
470,759

66,261
245,764
234,818

18,531
42,735
8,840

50,000
101,000
60,000

6,971
13,978
10,273

433,009
997,828
810,827

1,768
3,524

491,748
1,116,330
881,100

2,084,911
404,068
102,165

804,084
149,970
23,483

910,000
260,000
66,000

90,547
62,904
21,110

7,987,283
2,524,381
728,351

32,435
7,900
856

9,020,265
2,855,186
816,317

76,488
91,757
129,368

10,291
13,317
76,871

30,000
55,000
125,000

4,558
9,096
49,350

263,953
517,903
822,115

700
4

298,511
582,699
996,470

278,585
144,804
43,589

73,538
27,516
5,303

157,500
83,933
60,000

46,364
7,915

1,909,262
786,419
376,461

112,467
2,612,369
306,510

15,408
573,200
77,049

62,000
1,250,000
202,000

15,354
406,801
10,000

49,333
234,337
563,096

13,311
84,465
101,751

53,000
145,000
381,000

181,870
231,236
302,140

3,548
7,331
1,224

294,104
1,714,144
154,658

8,345
1,669

2,121,471
870,352
446,045

631,536
11,610,865
1,505,130

82,207
2

708,890
13,349,873
1,717,132

3,777
14,085
23,441

232,384
1,210,399
2,921,397

18,531
9,005

289,161
1,388,116
3,334,793

75,000
32,500
115,000

33,711
5,573
12,060

871,379
527,812
1,338,545

3,609

983,699
565,885
1,465,605

19,508
527,987
20,366

90,000
625,000
66,000

23,220
215,060
54,043

851,385
7,841,733
503,798

438
25,720
1,092

965,043
8,707,513
624,933

443,048
857,821
347,277

67,795
55,892
38,653

153,500
262,000
100,000

39,940
55,131
40,054

1,948,786
2,817,893
1,348,131

4,000
1,500

2,142,226
3,139,024
1,489,685

1,368,512
957,131
474,499

47,821
41,270
16,412

303,000
212,500
233,000

67,616
21,993
33,497

2,155,039
2,922,319
1,492,003

6,128
3,017
3,602

2,531,783
3,159,828
1,762,102

114,915
120,765
113,950

9,641
33,073
13,560

62,000
65,000
55,000

5,748
15,237
12,505

225,010
936,604
533,051

1,365

292,759
1,018,207
600,556


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

REPORT OF THE COMMISSIONER OF BANKING

26

Loans, Discounts and
Overdrafts

U. S. Government
Obligations

Other Bonds, Stocks and
Securities

CONDITION OF INDIVIDUAL NATIONAL BANKS

Watertown
W atertown___
Waukesha

Merchants National Bank __ __
The Wisconsin National Bank in
Waukesha National Bank _

_

345,030
180,725
1,396,233

304,527
125,858
4,575,051

753,339
437,994
1,474,254

W aupaca
____
W aupun
Wauwatosa-

First National B ank__ __ __ _
The National Bank of Waupun
The First National Bank in

251,128
267,001
558,744

124,234
140,972
215,186

195,489
561,334
436,281

West B end___
Wis. Rapids
Wis. R apids____

The First National Bank o f___
_ _
First National Bank - - W ood County National Bank _ . __

783,475
424,133
484,653

613,000
761,876
418,750

840,119
559,610
573,770

Name of Bank

'

Location


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

27

REPORT OF THE COMMISSIONER OF BANKING

T otal Footings

Other Liabilities

Deposits

Undivided Profits

Capital and Surplus

Banking House,
Furniture and Fixtures,
Other Assets

Cash on Hand and
Due from Banks

IN WISCONSIN ON DECEMBER 31, 1936— Continued

397,251
129,437
2,104,189

49,109
53,467
290,754

303,000
122,400
650,000

23,793
25,494
188,013

1,522,430
779,587
9,002,468

33

1,849,256
927,481
9,840,481

126,753
366,987
763,334

25,109
43,371
32,307

63,500
100,000
125,000

8,536
48,872
24,393

649,177
1,230,793
1,848,882

1,500

722,713
1,379,665
2,005,852

702,888
1,679,000
702,343

66,898
152,203
74,339

260,000
217,500
150,000

46,558
87,545
21,507

2,685,739
3,265,629
2,082,348


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

7,577
14,083
6,148

3,006,380
3,576,822
2,253,855

REPORT OF THE COMMISSIONER OF BANKING

28

A b le m a n ___
Farmers State Bank- _
Adams
. _ _ Adams County State Bank . Adell State B ank.
__ _ _ _
Adell

Other Assets

Banking House,
Furniture and Fix­
tures and Other
Real Estate

Name of Bank

I Total
I Footings

Location

Loans, Discounts and
Overdrafts

CONDITION OF INDIVIDUAL STATE BANKS

160,607
368,293
358,487

61,784
63,696
108,222

7,076
5,000
10,187

639,488
1,050,255
448,390

108,754
196’ 539
173,965

43,255

996,299
335,732
487,980

210,418
25,559
182,429

30,700
2,200
26,617

511

5

A lbany___ _
Algoma
A U en ton __

Bank of Albany
Community State B a n k ..
Allenton State Bank

Alma _____
Almond _ ____
A m ery_____

The American Bank
The Portage County Bank__
Union State B ank- - -

Amherst
_ -Amherst Jet___
A n tigo, .

The International Bank o f___
The Security State Bank
The Fidelity Savings B ank___

324,256
149,392
2,507,641

63,266
18,555
671,024

25,000
10,625
16,552

304
188
12,163

Appleton
Appleton
Arcadia

Appleton State Bank ___ - .
Outagamie County Bank -_
State Bank o f. - ____

3,227,453
907,031
734,310

1,034,249
264,230
294,658

106,029
22,300
14,750

18,163
6 651
6,740

Arena
Argyle_
Arlington

Arena State B an k. - - _____
State Bank of
Arlington State B a n k ..

82,825
550,758
205,003

24,583
165,690
68,028

1,949
18,800
1,683

Ashippun
Ashland- _ _
Athens,

The Bank o f.
Northern State Bank .
The Bank of Athens _____

172,231
1,208,482
670,035

53,103
534,046
302,122

11,750
33,169
28,201

15 675
12

Auburndale__
Augusta _
Baldwin. _

Auburndale State B ank. _
Peoples State Bank
__ _
Security State Bank
__

402,722
497,698
373,210

215,035
221,388
108,414

13,800
27,548
11,125

292
119
1,088

94,254
299,441
3,220,920

62,426
95,339
452,303

8,489
11,000
125,805

424
23 097

755,826
456,350
391,724

190,634
195,892
163,002

13,900
40,381
36,315

2 017
1 6 ’ 489
2,156

236,844
1,197,762
348,125

90,811
276,074
130,234

6,992
71,759
6,250

471
2,495
951

B a n croft-- _
Bancroft State Bank__
Bangor _
_ _ Framers State B ank.
Baraboo _ _
Bank of Baraboo

5,400

2 735
4,031

B a r n e v e ld .__
Barron _____
Barron-

Barneveld State Bank.
Bank of Barron
The Normanna Savings Bank.

Bay City
Beaver Dam
Belleville

Bay City State B ank___
Farmers State B ank. _
Belleville State Bank

Belleville Beloit______
B en ton ..

Citizens State Bank
The Beloit State B ank. _____
Benton State Bank

656,223
5,663,111
310,800

121,747
1,878,557
74,568

14,400
148,550
7,161

7,713
65,134
181

Berlin- _ .
Big Palls- _____
Birchwood_____

The Berlin State Bank
Big Falls State Bank _ _
Citizens State B ank. _______

804,079
108,066
157,696

188,546
42,517
37,481

34,005
13,079
6,950

9,604

Birnamwood- Black CreekBlack E arth___

The Bank of Birnamwood- _
Bank of Black C r e e k - _____
The Black Earth State Bank .

357,689
490,587
329,121

116,311
207,995
58,837

17,285
11,869
13,800

253
20

Blk. River Falls
Blair .
Bloom er__ __

Jackson County Bank __
Union Bank of Blair
Peoples State Bank______ _

2,422,059
482,373
1,154,631

473,515
163,296
354,214

24,700
17,500
55,592

6,216
339
922

Bloom ington__
Bloom ington__

The Bloomington State BankThe W oodhouse & Bartley
B an k.
Blue River State Bank _

372,896

105,147

4,051

2,678

438,537
205,718

33,180
92,286

5,878
36,945

3,649
604

Blue R iver____


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

_ _

3,774

REPORT OF THE COMMISSIONER OF BANKING

29

Other Liabilities

Bills Payable and
Rediscounts

Undivided Profits

Incom e Debentures

Capital and Surplus

Deposits

Due from Banks and
Cash on Hand

U. S. Sec., Stock in Fed.
Res. Bk., Other Stocks &
Sec., Other Bonds

IN WISCONSIN ON DECEMBER 31, 1936

68,367
240,726
205,248

23,380
58,871
34,825

125,065
339,498
310,983

19,800
27,700
29,000

360,123
509,666
199,979

124,621
340,019
69,046

563,519
892,877
402,429

40,000
115,000
30,000

668,160
234,776
196,418

86,510
73,197
82,516

871,966
285,023
356,937

55,000
37,000
50,000

70,000

19,332
13,709
H ,0 2 3

20

188,027
88,437
1,500,246

47,659
31,587
307,656

249,060
100,780
2,188,164

55,000
29,000
100,000

15,000
80,000

19,641
4,000
26,032

555
612
113,445

1,469,310
390,458
324,226

599,702
223,392
93,936

2,937,739
813,022
606,306

250,000
60,000
90,000

25,000

39,714
8,509
38,004

500

34,018
163,269
87,723

22,275
202,999
47,569

68,710
464,357
181,474

10,000
25,000
16,400

50,000

4,115
8,901
7,129

2,500

59,461
477,408
102,915

47,917
148,184
236,785

152,830
983,775
598,651

17,500
135,000
46,500

75,000
15,000

1,901
14,707
9,715

127,218
196,877
144,552

46,377
51,766
108,031

361,871
442,699
329,107

19,500
30,000
40,000

19,500
20,000

1,351
4,999
3,864

15,033
145,278
2,048,922

8,306
47,400
570,793

70,639
242,907
2,898,383

10,000
25,000
90,000

10,000
25,000
200,000

3,615
6,534
30,537

472,173
163,545
58,692

77,102
40.043
131,559

704,293
393,456
334,449

50,000
35,000
36,000

15,000
17,500

1,533
12,886
3,775

8

115,671
626,825
148,435

22,899
220,609
62,255

190,904
1,032,526
301,741

11,700
107,000
36,000

25,000
50,000

9,053
5,736
10,384

187
2,500

422,876
1,605,514
131,873

89,487
1,965,356
97,017

576,516
5,022,380
266,549

27,000
350,000
37,500

30,000
200,000

22,707
90,710
6,750

21
1

478,289
40,045
72,868

93,635
12,425
36,623

718,268
95,654
133,200

60,000
12,000
20,000

15,000

10,161
412
4,496

111,853
196,166
203,437

111,987
74,537
53,047

300,621
453,825
293,471

40,000
35,000
31,000

,462,350
198,507
457,407

455,278
102,731
286,496

2,006,901
425,103
1,042,674

150,000
30,000
67,000

12,000
10,000
15,000
50,000

5,742
1,095
5,504

17,068
1,760
4,650
200,000
25,000
30,000

53,658
2,270
14,957

142,230

118,790

329,062

30,000

13,834

280,452
32,866

115,378
43,017

394,891
165,856

32,000
29,500

11,646
10,362


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

1,000

17,794
41,810
961

8,175
568
1

169
500
239

2,000

650

2
11,500

30

REPORT OF THE COMMISSIONER OF BANKING

Banking House,
Furniture and Fix­
tures and Other
Real Estate

Loans, Discounts and
Overdrafts

CONDITION OF INDIVIDUAL STATE BANKS

Bonduel_______
B oscobel____ _
B oyceville_____

Bonduel State B ank__________
Boscobel State Bank_________
Bank of B oyceville___________

1,187,411
1,371,201
376,232

348,356
400,076
74,063

55,151
67,638
16,135

285
42,737
31

B o y d __________
Brandon______
B rill___________

The State Bank of B o y d _____
The Foster B ank_____________
Brill State Bank______________

316,871
524,958
78,395

101,300
118,941
28,276

5,500
42,823
4,400

163

Brillion________
Brillion________
Brodhead_____

Calumet County B ank_______
Farmers & Merchants Bank __
Bank of Brodhead____________

479,073
342,129
846,742

138,575
140,071
208,683

10,535
30,301
46,689

1,097
1,091
1,041

Brodhead_____
Brooklyn______
Brownsville___

Green County B ank__________
Brooklyn State B ank_________
Brownsville State B ank______

951,315
408,758
473,859

226,692
158,230
134,649

28,790
17,564
23,425

9,362

Bruce_________
Burlington____
Burlington____

Dairyland State Bank________
Bank of Burlington__________
Meinhardt B ank_____________

271,036
1,692,662
1,320,428

94,145
549,496
454,348

11,489
30,871
5,000

402
6,454
3,133

Burnett_______
Cadott________
Cambria______

Burnett State Bank__________
Citizens State B ank__________
Cambria State Bank_________

215,191
1,145,252
828,717

112,269
453,426
219,382

18,900
19,120
16,236

1,229

Cambridge____
Cambridge____
Cameron______

Bank o f ______________________
The International Bank o f ___
Bank o f______________________

406,708
153,619
330,699

203,687
51,892
115,143

13,700
3,061
38,556

1,058
24

Campbellsport
Canton________
Caroline_______

The First State Bank________
Farmers State Bank__________
Caroline State B ank__________

549,755
90,888
179,661

97,075
66,857
63,433

26,007
6,200
5,237

890

Cascade_______
Casco_________
Cashton_______

State Bank o f________________
Bank o f ______________________
Bank o f______________________

212,021
701,482
523,367

90,874
253,749
165,082

15,300
16,500
9,500

63,210

Cassville______
C ato_______ ___
Cazenovia_____

Badger State B ank___________
The Farmers State B ank_____
State Bank o f________________

273,530
79,624
354,218

130,704
39,046
98,649

6,248
2,500
10,025

Cecil__________
Cedarburg_____
Centuria______

The State Bank o f___________
Cedarburg State Bank_______
State Bank o f________________

168,546
1,229,891
635,400

70,687
371,113
257,500

13,904
48,682
4,700

2,268

Chaseburg____
Chilton________
Chilton________

Chaseburg State B ank_______
The Commercial B ank_______
State Bank of Chilton________

652,023
708,352
525,265

386,436
127,187
146,104

45,365
10,500
21,900

21,403
4,553
888

Chippewa Palls
C layton_______
Clear Lake____

Northwestern State B ank____
Citizens State Bank__________
Bank of Clear Lake__________

1,026,811
173,067
221,647

269,267
66,109
78,866

28,701
9,130
3,500

54

Cleveland_____
Clinton________
Clintonville___

Cleveland State Bank________
Citizens State B ank__________
Dairyman’s State B a n k ______

463,443
352,865
1,900,180

144,320
79,134
539,646

46,551
23,700
17,341

690
251
1,114

Clym an_______
C o b b __________
Cochrane______

Farmers State B ank__________
Cobb State Bank_____________
Farmers & Merchants Bank __

249,203
223,653
343,796

22,469
94,339
180,464

2,500
12,250
17,382

C olby_________
C olby_________
Colem an______

Colby State B ank____________
Security State Bank__________
Coleman State Bank_________

669,530
448,980
278,421

238,136
180,439
32,613

24,000
19,156
11,300


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Other Assets

Name of Bank

Total
Footings

Location

7

1,505

486

40
114
243

1

314
844

REPORT OF THE COMMISSIONER OF BANKING

31

Capital and Surplus

209,477
248,634
67,769

973,003
1,224,612
302,478

123,000
64,500
31,000

50,000
75,000
30,000

41,401
7,089
12,754

7

165,055
304,762
15,137

44,853
58,432
30,575

272,778
446,211
61,236

26,500
60,000
10,500

10,000

7,586
18,745
1,049

7
2
610

254,677
113,438
471,813

74,189
57,228
118,516

404,548
260,687
700,410

42,000
52,000
110,000

30,000
25,000

2,525
4,439
36,332

3

551,581
165,091
223,139

134,890
67,873
91,141

860,274
353,852
430,359

77,000
28,000
37,500

82,264
834,435
703,312

82,736
271,406
154,635

235,942
1,504,775
1,196,173

15,000
87,500
95,000

15,000
62,500

4,942
37,887
29,255

60,746
530,465
242,065

22,047
142,241
350,548

188,236
998,901
783,596

13,000
75,000
41,500

10,000
45,000

3,955
23,264
3,621

131,425
74,135
116,298

56,838
24,507
60,702

367,785
132,732
277,639

35,500
20,000
25,000

347,682
1,600
76,435

78,101
16,231
34,556

485,427
68,336
130,734

16,000
346,330
282,303

26,637
84,903
66,442

86,332
19,979
163,588

5,000

20,000
6,000

Undivided Profits

Deposits

574,142
612,116
218,234

Incom e Debentures

Due from Banks and
Cash on Hand

U. S. Sec., Stock in Fed.
Res. Bk., Other Stocks &
Sec., Other Bonds

IN WISCONSIN ON DECEMBER 31, 1936— Continued

14,041
6,906

25,000

3,423
887
2,435

55,000
10,400
19,036

Ì 0.000
25,000

9,248
2,152
4,891

181,821
616,788
429,275

15,000
45,000
40,000

10,000
20,000
50,000

5,200
19,194
4,092

50,246
17,985
81,713

236,769
57,263
310,186

35,000
22,000
30,000

10,000

1,761
361
4,032

61,007
598,812
270,560

22,948
211,284
100,372

120,860
1,125,213
556,819

30,000
85,000
25,000

45,000

2,683
19,678
8,581

126,941
395,434
306,546

71,878
170,678
49,827

507,445
623,751
473,970

60,000
46,000
26,000

75,000
30,000
20,000

9,578
8,601
2,295

548,165
46,480
104,173

180,677
51,348
35,054

922,749
151,993
186,177

60,000
15,000
25,000

150,252
144,635
1,050,754

121,630
105,145
291,325

395,395
293,875
1,654,403

37,000
35,000
134,000

15,000
20,000
75,000

15,171
3,739
36,777

190,012
85,634
109,206

34,222
31,430
36,744

215,585
169,685
252,291

22,500
27,000
40,000

10,000
25,000
40,000

1,118
718
11,505

259,315
162,197
202,829

147,765
80,188
30,835

597,522
406,714
255,439

45,000
37,500
19,000

20,000

7,008
4,766
1,482


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

15,000

152

3,087

625
80

500

3

3,000

44,062
6,074
10,470

2,500

877
251

1,250

32

REPORT OF THE COMMISSIONER OF BANKING

C olfax___
Collins
C o lo m a ..

__

Peoples State Bank- _____
Collins State B an k___
Coloma State B a n k .. _____

Other Assets

Total
Footings

Name of Bank

Banking House,
Furniture and Fix­
tures a>nd Other
R ea l Estate

Location

Loans, Discounts and
Overdrafts

CONDITION OF INDIVIDUAL STATE BANKS

290,740
139,373
100,235

100,947
78,495
32,255

5,546
1.500
2.500

1,357
901
191
904

236

Coloma _ . .
Columbus _
Coon V alley___

The People’s B a n k ..
Farmers & Merchants Union
W estby-Coon Valley State___

1,018,186
449,300
1,260,964

395,909
185,624
338,205

45,905

Cottage G rove.
Cross Plains. _
Cuba C ity___

Cottage Grove State Bank___
State Bank o f__
.. .
Cuba C ity State Bank . . .

309,265
346,337
750,624

100,209
158,440
211,148

16,661
5,000
20,000

Cudahy
Cumberland___
Curtiss___ ____

Cudahy State Bank _
Northwestern State Bank.
Curtiss State Bank

1,398,281
625,529
337,137

289,422
321,588
75,061

65,795
19,600
7,542

4,375

D ale. . _____
Dallas_____
_
D a r ie n ______

Farmers & Merchants Bank _.
Bank of Dallas
_
__
The Farmers State Bank

1,101,811
257,049
358,923

328,742
126,034
49,284

21,011
12,966
14,753

818
250
47

Deerfield _____
Deer Park_____
De Forest_____

Bank of Deerfield
_ _
State Bank of Deer Park . _
De Forest-Morrisonville Bank

303,508
236,144
443,689

60,458
76,021
164,010

16,496
11,000
4,839

225
1
858

Delavan. __
Delavan __
Denmark _____

Citizens Bank o f. .
Wisconsin State BankBadger State Bank .

664,358
962,368
786,682

193,061
122,910
177,074

17,460
16,000
22,200

8,154
25,813
1,545

Denmark
__
De Pere
De Pere. . ._

Denmark State Bank .
Bank of W est De Pere
State Bank of De P ere..

1,302,881
491,001
1,159,937

447,917
147,924
416,456

48,641
35,464
32,549

2,298
2,439
5,039

De S o t o . ____
D od ge______
Dodgeville .

De Soto State Bank
First State B ank. . . .
Strongs B ank.

_ _
__

359,035
141,165
2,113,269

178,810
66,909
329,366

6,746
4,975
61,500

167
11,962

Dorchester____
Dousman
Drum mond____

The Dorchester State Bank__
Dousman State Bank
State Bank of Drum m ond____

311,331
211,676
126,375

107,546
79,088
51,909

6,650
6,836
400

D u r a n d . . ____
E agle.
East T roy _

Bank of Durand
Bank of Eagle
State Bank of East T ro y _____

695,211
428,038
846,055

252,373
233,607
278,099

13,500
26,200
30,068

716
366

E den__________
E dgar. . _ _
Edgerton

Eden State Bank
__
The Bank of Edgar . .
__
Tobacco Exchange Bank _

194,515
532,133
1,004,264

47,058
206,764
297,394

10,235
17,236
24,174

224
31
1,890

Elcho _ _ __
Eldorado
Elkhart L ake. _

State Bank of Elcho
Eldorado State Bank
Bank of Elkhart Lake

103.471
352,654
335.472

26,658
215,212
128,564

5,001
5,000
13,290

228

E lk h o r n ._____
Ellsworth _____
E lm w ood. .

State Bank of Elkhorn
Bank of Ellsworth
First State Bank__ __

.....

524,961
1,010,533
330,331

133,581
349,372
130,032

32,200
65,721
8,200

1,143
2,989
78

Elroy
Bank of Elroy _.
.. .
Embarrass__
Embarrass State Bank . . . .
Ettrick . .
. _ Ettrick State Bank _. . . . .

490,570
237,191
182,386

146,990
80,672
77,761

1
16,331
8,500

221
972
47

Evansville- _ _
Fall C reek ._ . .
Fall R iver__

810,213
616,884
484,681

141,744
320,304
178,118

10,000
33,392
9,500

233
186
372


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

. ...

Farmers & State Bank
The State Bank of .
Rio-Fall River Union Bank__

2,097

54

300
3

REPORT OF THE COMMISSIONER OF BANKING

33

*

148,287
40,883
53,361

35,724
18,495
10,762

228,363
110,635
79,673

20,000
22,500
12,500

480,539
130,676
669,249

140,837
132,809
206,701

847,056
383,883
1,111,480

110,000
50,000
65,000

120,869
80,588
385,120

71,526
102,314
132,259

247,921
305,653
645,591

27,425
35,000
50,000

855,709
182,578
209,996

182,980
101,763
44,484

1,257,475
535,226
297,504

125,000
30,500
14,033

552,394
59,215
226,549

198,846
58,584
68,290

1,002,689
200,513
317,071

35,000
27,500
35,000

173,722
52,497
175,785

52,607
96,625
98,197

258,033
192,339
354,483

40,000
21,000
47,000

20,000
30,000

5,475
2,805
12,177

311,022
656,626
471,586

134,661
141,019
114,277

555,160
800,903
678,151

50,000
50,000
65,000

45,000
50,000
20,000

12,975
61,465
20,781

664,382
239,293
441,786

139,643
65,881
264,107

1,055,766
407,444
1,010,682

120,000
50,000
80,000

75,000
25,000
50,000

48,365
8,557
16,857

117,609
52,453
1,373,168

55,870
16,661
337,273

292,736
117,725
1,908,144

28,200
11,000
102,000

30,000
10,000
103,125

8,099
2,440

159,327
99,210
57,794

37,508
26,542
16,269

273,055
165,652
103,762

35,000
21,000
22,613

20,000

3,276
4,996

290,280
50,938
384,565

139,058
116,577
152,957

581,453
359,263
757,795

58,000
30,100
48,000

50,000
35,000
35,000

5,758
3,675
5,260

107,102
147,605
518,699

29,896
160,497
162,107

167,959
451,174
908,544

20,000
65,000
80,000

59,764
102,638
159,330

12,048
29,804
34,060

84,059
307,636
259,449

12,000
24,000
35,000

5,000
15,000
35,000

2,162
6,018
6,023

292,870
462,704
98,501

65,167
129,747
93,520

406,497
913,553
274,343

50,000
35,000
36,000

50,000
50,000
15,000

18,464
11,605
4,950

291,617
96,546
57,757

51,741
42,670
38,321

434,076
177,530
146,516

50,000
25,000
35,000

15,000

6,494
19,661
870

550,831
165,275
216,526

107,405
97,727
80,165

688,197
552,298
425,386

80,000
48,000
29,500

10,000
25,000

42,016
6,011
4,612

3

https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

35,000

50,000
50,000
25,000

7,340
6,238
8,029
6,864
15,417
34,484

15,000

8,919
4,784
40,033

40,000
18,000

15,806
17,803
6,100

50,000
25,000

12,554
3,849
6,852

6,556
15,946
12,912

Other Liabilities

Bills Payable and
Rediscounts

Undivided Profits

Income'Debentures

Capital and Surplus

Deposits

Due from Banks and
Cash on Hand

U. S. Sec., Stock in Fed.
Res. Bk., Other Stocks &
Sec., Other Bonds

IN WISCONSIN ON DECEMBER 31, 1936— Continued

37
33
4,266

900

2,000
1,500
1,568
187

29
1,223
2,750
3,750
2,398

28

13
2,808
250

375
38

575
183

34

REPORT OF THE COMMISSIONER OF BANKING

Other Assets

Banking House,
Furniture and Fix­
tures and Other
Real Estate

Name of Bank

T otal
Footings

Location

Loans, Discounts and
Overdrafts

CONDITION OF INDIVIDUAL STATE BANKS

Ferryville _ _
Florence.^ _
F o o tv ille ..

Ferryville State B ank. . .
State Bank of F lorence..
The Footville State Bank- __

200,941
287,760
321,454

38,094
49,330
197,956

121
21,800
5,400

Forest Jet_____
Forestville.
Fort Atkinson

Forest Junction State B ank__
State Bank of Forestville.
Citizens State Bank . . .

286,162
368,138
704,294

65,911
65,844
311,503

10,998
4,080
14,643

179

Fort Atkinson _ Fort Atkinson Savings B a n k ..
Fountain C ity _ First State B ank.
Fox Lake
State Bank of Fox Lake

526,586
1,098,607
576,310

207,440
60,735
288,306

57,675
19,700
13,250

5,910
1,086
2,057

Francis C reek._ State Bank o f__
______ ____
Franksville____ Bank of F ra n ksville__ ____ .
F r e d e r ic .__
Farmers State Bank

490,666
421,634
322,845

202,586
198,899
128,731

23,283
2
7,895

458
6
75

Fredonia .
Freedom _ _
Friesland . _

State Bank of
_
_ _
Freedom State Bank
Friesland State B ank. . . . . . .

478,409
190,146
149 j887

35,015
85,499
90 ; 927

3,900
7,200
3,777

29
359

G a lesv ille__
Gays M ills____
Genesee D ep ot.

Bank of Galesville _ _ _ _
Bank of Gays Mills .
State Bank of Genesee D ep ot.

1,013,440
'517,391
401,287

433,665
311,439
142,022

73,364
89,875
6,383

152
3,956
1,029

Genoa
Genoa C ity____
Germantown__

Genoa State Bank . _
Citizens State B ank_____ __ .
The Germantown State Bank.

247,952
325,231
297,716

58,311
151,009
97,739

3,500
47,471
1,850

278
33,1

Gillett____
Gilman
Gilmanton. . .

Gillett State Bank
State Bank of Gilman
Gilmanton State Bank

566,236
159,935
128,412

254,580
64 205
33,934

73,951
1,901
4,000

4,485
220
121

Gleason
Glenbeulah____
Glenwood City

Gleason State Bank
_ _
The Glenbeulah State B a n k ...
First State Bank of Glenwood

201,568
246,340
381,168

68,890
27,922
103,448

4,620
6,120
22,500

no

Goodm an__ .
G rafton. .
Grand M a rs h ..

Citizens Bank of
Grafton State Bank __ _ _
Grand Marsh State Bank-----

161,785
493,274
177;138

31,868
191,806
29,378

7,000
19,455
3,900

203
86

Grantsburg____
Gratiot . .
Green B ay____

First Bank of Grantsburg____
Gratiot State Bank
Bank of Green B ay .

344,537
556,928
2,662;931

194,391
182,930
653;386

15,000
3,500
6,500

29,648

Green Bay _ _
Peoples Trust & Savings Bank
Green B ay . . _ The West Side State Bank___
Green B a y __
Wisconsin State Bank

2,023,354
1,452,784
1,362,453

878,400
465,265
853,613

33,768
6,495
93,043

19,512
24,661
49,813

287

1,147

Green L a k e..
Greenleaf . .
Green Valley . .

Green Lake State B ank. _
State Bank of GreenleafState Bank of Green V alley__

351,946
263,909
169,807

118,975
55,858
71,509

5,500
5,093
5; 300

73
81

Greenwood____
Gresham _
Hales Corners .

Farmers & Merchants Bank _.
State Bank
State B a n k . __
_____ __

490,832
168,096
584;712

194,797
90,441
47,319

7,204
13,942
7,000

884

H am m ond..
Hancock . . _.
Hartford

Hammond State Bank .
Bank of H ancock.
Hartford Exchange Bank__

163,416
306,744
765;340

99,582
137,696
154,404

1,600
19,065
3,200

74
834
4,484

Hartland
__
Helen ville___
Highland_____

Bank of Hartland
The Bank of Helenville
Highland State B ank. . . __

505,759
392,016
369,720

130,330
166,268
87,144

33,377
4,900
13,962

334


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

67

REPORT OF THE COMMISSIONER OF BANKING

35

Other Liabilities

Bills Payable and
Rediscounts

Undivided Profits

Incom e Debentures

Capital and Surplus

Deposits

Due from Banks and
Cash on Hand

U. S. Sec., Stock in Fed.
Res. Bk., Other Stocks &
Seb., Other Bonds

IN WISCONSIN ON DECEMBER 31, 1936— Continued

138,479
130,310
59,033

24,247
86,033
59,065

160,659
227,175
256,980

18,000
27,000
30,000

15,000
25,000
30,000

7,282
6,675
4,474

1,910

163,134
257,560
251,348

45,940
40,654
126,800

248,200
310,670
649,675

30,000
30,000
50,000

5,000
20,000

2,654
6,968
4,619

308
500

192,051
847,449
127,568

63,510
169,637
145,129

428,890
1,010,162
492,560

42,000
62,500
40,000

40,000
40,000

14,696
25,944
782

1,000
1
2,968

184,826
58,398
136,789

79,513
164,329
49,355

426,946
363,436
264,636

33,000
40,000
20,000

35,000

720
18,198
3,209

369,857
61,866
30,930

69,608
35,222
24,253

427,860
156,319
122,574

47,000
14,000
10,000

10,000
15,000

3,549
9,827
2,313

326,199
45,837
187,815

180,060
66,284
64,038

912,395
458,601
347,589

75,000
25,000
30,000

25,000
20,000

26,045
8,790
3,698

149,372
73,749
161,678

36,769
52,724
36,118

204,470
258,704
237,827

10,000
30,000
30,000

30,000
25,000
25,000

3,482
11,527
2,386

2,503

142,780
70,084
67,200

90,440
23,425
23,157

440,565
133,205
105,539

60,000
17,300
12,500

50,000
7,500
7,000

15,671
1,430
3,073

500
300

115,314
183,206
173,550

12,634
29,092
81,670

169,125
210,491
341,593

22,000
15,000
37,200

7,500
15,000

2,943
5,849
2,375

87,441
188,105
80,082

35,476
93,705
63,692

138,325
434,337
152,836

23,000
40,000
10,000

10,000

48,069
192,956
1,353,985

85,930
177,542
619,412

267,111
509,921
2,372,716

55,000
35,000
150,000

100,000

11,426
12,007
40,215

591,905
539,655
209,167

499,769
416,708
156,817

1,832,338
1,276,322
1,119,058

175,000
100,000
150,000

75,935
75,000

18,395

180,677
166,315
40,411

46,794
36,570
52,506

301,934
222,448
135,029

43,000
19,500
17,000

15,000

236,754
46,464
483,809

52,077
17,249
45,700

425,655
124,289
524,529

32,000
30,000
54,000

25,000
10,000

30,706
104,577
497,594

31,454
44,572
105,658

130,538
229,059
682,431

28,500
30,000
62,500

270,591
177,575
229,840

71,127
43,273
38,707

418,908
348,286
325,682

45,000
35,000
27,000


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

30,000

10,000

460
18,937
4,302
1,000

16,016

30,000
30,000
15,000

527
7,012
6,961
17,778
5,406
3,807
6,181

2,771
2

4,378
17,685
20,409
11,701
8,730
1,663

150
375

REPORT OF THE COMMISSIONER OF BANKING

36

Banking House,
Furniture and Fix­
tures and Other
Real Estate

Loans, Discounts and
Overdrafts

CONDITION OF INDIVIDUAL STATE BANKS

H ilbert________
H illsboro______
Holm en_______

State Bank of H ilbert________
Farmers State B ank__________
Bank of Holm en_____________

461,593
712,478
683,286

121,067
296,337
232,609

3,950
30,200
18,500

196

H oricon_______
Howards Grove
Hurley________

Horicon State B an k__________
State Bank of Howards Grove
Iron Exchange Bank--------------

963,464
983,463
756,616

387,535
423,963
168,545

57,295
20,118
36,330

7,015
257
3,551

Hustisford_____ Hustisford State B ank_______
Hustler________ Hustler-Camp Douglas Bank .
Independence. _ State Bank of Independence. .

250,399
215,557
665,229

94,765
62,558
168,356

8,000
9,700
33,362

2,448

lo ia ___________
Iron R idge____
Ixonia_________

First State Bank of Iola--------Commercial State B ank______
Ixonia State Bank------------------

436,586
420,741
122,015

135,377
191,687
53,781

7,143
15,000
4,395

Jackson_______
Janesville_____
Janesville_____

Bank of Jackson_____________
Merchants & Savings Bank—
R ock Co. Sav. & Trust C o-----

325,559
3,994,197
1,953,679

66,206
979,665
494,751

8,299
139,001
1,897

Jefferson______
Jefferson______
Johnson Creek.

The Farmers & Merchants
B ank______________________
Jefferson County Bank----------Mansfields State B ank-----------

1,065,106
1,871,992
317,770

253,349
689,557
49,643

86,160
85,410
9,400

Juda__________
Junction C it y ..
Juneau________

The Bank of Ju d a ___________
Junction State Bank--------------Citizens Bank o f_____________

247,851
262,075
670,999

47,967
75,347
169,043

8,000
4,083
13,068

Kaukauna_____
Kaukauna_____
Kendall_______

The Bank of Kaukauna______
Farmers & Merchants Bank _ _
Farmers & Merchants Bank of.

679,412
947,254
274,247

183,597
299,477
176,132

47,480
34,216
8,735

Kewaskum____
Kewaunee_____
Kewaunee_____

Bank of Kewaskum__________
State Bank of Kewaunee_____
Union State Bank____________

1,217,625
1,415,170
1,200,616

455,936
583,982
398,359

28,401
45,849

K iel___________
K iel___________
Kim berly______

Citizens State B ank__________
State Bank of K iel___________
Kimberly State B ank________

595,000
355,104
380,682

140,248
174,355
137,983

27,378
34,000
10,500

K ingston______
Knowles_______
La Crosse_____

Kingston-Dalton State Bank _
Knowles State B an k_________
Exchange State B ank________

283,366
326,569
1,316,654

74,210
59,913
159,105

7,000
6,100
29,468

19,614
48,376
1,009
121

Other Assets

Name of Bank

T otal
Footings

Location

4

269
768

52,361
29,617
13,029
2,844

1,923
17,663
183
1,937
4,892
944
884
45

La Crosse_____ State Bank of La Crosse_____
Ladysmith____ Security State B ank--------------La Farge______ ■ La Farge State B ank_________

2,972,027
610,169
356,651

235,320
141,039
122,955

78,843
10,982
15,900

Lake Mills____
Lake Mills____
Lancaster_____

Bank of Lake Mills---------------The Greenwood’s State Bank
Lancaster State Bank-------------

301,098
1,359,096
802,062

76,558
193,339
205,332

11,296
73,722
32,175

254
592
233

Lancaster_____
Laona_________
Larsen________

Union State Bank____________
Laona State B an k____________
Farmers State B a n k _________

1,141,489
420,681
269,656

133,278
128,971
114,721

30,500
8,001
5,440

7,223

Lebanon______
Leopolis_______
Lime R idge___

Lebanon State Bank--------------Leopolis State B ank__________
The State Bank o f------------------

272,807
234,569
341,809

113,278
152,284
62,545

6,000
3,420
3,700

285
165

Little Chute___
Livingston____
L od i___________

Bank of Little Chute-------------Livingston State B ank----------State Bank of L od i-----------------

547,036
289,246
814,000

209,332
72,224
216,079

7,901
8,541
55,326

913
3
3,012


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

REPORT OF THE COMMISSIONER OF BANKING

37

370,369
595,926
583,216

55,000
50,000
40,000

35,000

340,289
407,415
392,157

171,330
131,710
156,033

879,665
827,958
636,152

75,000
100,000
115,000

25,000

8,799
25,505
5,142

119,306
108,615
388,400

28,324
34,684
72,663

208,832
164,206
581,759

37,500
30,000
70,000

20,000

4,067
1,351
13,470

216,908
121,107
50,496

76,889
92,179
13,343

366,008
360,372
104,290

45,000
30,000
16,500

25,000

25,497
2 369
1,225

206,132
1,440,856
833,993

44,922
1,382,314
593,421

284,989
3,486,161
1,717,536

37,500
450,000
100,000

566,284
831,039
216,451

146,284
263,142
42,276

9 ° 2 ,545
1,619,305
286,418

55,000
200,000
30,000

50,000

24,496
52,687
1,352

3,065

148,308
.136,702
304,702

43,576
45,943
184,186

220,621
207,568
596,703

18,000
22,000
60,000

5,000
25,000
10,000

3,730
2,468
4,296

500
5 039

371,561
524,326
45,228

74,851
71,572
43,969

556,740
746,715
238,896

105,000
75,000
33,000

100,000

17,672
23,539
2,348

641,815
515,480
586,662

89,536
269,859
210,703

1,065,391
1,206,465
1.033,627

70,000
100,000
135,OOo

50,000
100,000

32,122
8,705
31,989

112

201,582
97,090
164,764

224,848
48,775
67,390

513,411
264,814
332,523

60,000
75,000
40,000

10,000

13,290
4,610
8,154

8,299
680
5

131,616
210,257
1,012,519

70,540
50,299
95,948

227,632
282,562
1,101,316

30,000
20,000
75,000

25,000
15,000
125,000

734
8,969
15,338

38

1,941,639
363,421
141,678

667,849
93,718
75,997

2,711,873
511,373
312,184

200,000
50,000
39,000

30,000

60,154
18,730
5,467

66

90,075
923,041
378,424

122,915
168,402
185,898

249,342
1,175,668
726,503

30,225
132,000
25,000

10,000
50,000
40,000

11,531
1,178
10,559

250

475,676
135,586
111,989

494,812
148,123
37,506

1,039,661
343,396
230,277

35,000
33,000
14,500

30,000
30,000
17,500

34,783
13,001
7,379

2,045
1,274

102,110
56,988
236,365

51,134
21,712
39,199

226,705
182,692
300,365

27,000
18,000
15,500

15,000
15,000
23,000

4,082
18,127
1,513

20
750
1,431

264,978
76,800
408,305

63,912
131,678
131,278

457,427
256,682
707,992

60,000
30,000
37,500

40,000

29,609
2,564
28,508


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

20,000

16,174
66,409
6,570

3,070
58,036
102,637

Bills Payable and
Rediscounts

-

Other Liabilities

60,842
83,894
136,986

Undivided Profits

Incom e Debentures

275,734
301,851
295,191

Deposits

Capital and Surplus

Due from Banks and
Cash on Hand

U. S. Sec., Stock in Fed.
Res. Bk., Other Stocks &
Sec., Other Bonds

IN WISCONSIN ON DECEMBER 31, 1936— Continued

50
143
18,500
5,000
322

81
3,000

33 506

2 000
3

REPORT OF THE COMMISSIONER OF BANKING

38

Loganville State Bank___.
Farmers Bank _ _
- State Bank of Lone R ock . .

Loyal
Luck
Luxemburg____

C!itiV.pns State Rank of
Fidelity State B a n k __ ___
Bank of L u x e m b u r g .---- .

T

1

of f

Other Assets

Loganville
Lone Rock
Lone R o ck ____

Banking House,
Furniture and Fix­
tures and Other
Real Estate

Name of Bank

T otal
Footings

Location

Loans, Discounts and
Overdrafts

CONDITION OF INDIVIDUAL STATE BANKS

629,560
435,130
312,319

231,381
153,268
105,480

89,047
16,435
12,105

3,494
867
1,351

455,701
519,462
1,288,168

111,013
218,010
459,262

27,057
12,720
49,850

25

163,749
182,903
228,053

54,764
92,011
53,188

3,073
3,000
6,696

63
22

M cFarland____

Lyons State Bank _ __
McFarland State Bank-------

Madison _______
Madison
Madison

American Exchange B ank-----Bank of M adison .. _ .
Commercial State B a n k ..

2,908,369
546,506
2,182,219

699,113
140,761
609,690

59,191
33,087
119,933

40,877
28,449
63,080

Madison .

Madison Trust C om p a n y .. . .

Madison

Security State Bank _

416,633
244,832
978,565

116,579
47,004
397,764

45,021
7,878
66,810

25,415

Madison

Union Trust Company
Farmers State Bank _

683,805
381,187
469,059

186,045
83,647
250,971

135,463
25,515
9,260

8,457

Manawa
M anitow oc.
Marathon .

M anitowoc Savings Bank . .
Merchants & Farmers State
B ank. . .
...
The State Bank of Marathon
C ity _______________________

6,858,721

2,158,101

360,035

15,320

Marathon

12,114

1,254

284,224

52,959

7,700

522,618

-207,005

12,500

320
*
39
6,823
563

Marinette_____
M arkpsan

Farmers & Merchants Bank ._
Farmers State Bank _

326,266
1,573,384
604,298

145,204
564,362
166,693

5,213
66,576
26,600

M arkpsan
Marytown

Markesan State Bank
_ _
Farmers & Merchants Bank . .
Mattoon State Bank

1,404,768
263,726
145,442

438,982
136,106
45,365

18,762
3,325
7,746

265
4,055

Manst.on
M ay vii Ip
Mazomanie____

Bank of Mauston
State Bank of M ay ville.
The Peoples State B an k ..

935,560
1,186,238
260,596

209,147
445,220
25,918

42,800
47,000
8,127

740
3,186
61

Mpdford
Mplrosp
Mpnasha

State Bank of Medford
Bank of Melrose______
Bank of Menasha

1,097,082
772,942
1,326,961

628,074
79,593
476,636

43,498
7,100
20,501

745
512
8,577

Menomonee FIs
Menomonie .
M enomonie___

Farmers & Merchants Bank . .
Bank of Menomonie _ _ -----The Kraft State B ank. _

1,595,820
1,028,037
1,169,193

819,553
228,418
425,470

51,750
115,022
65,945

20,667
4,014

Mprrill
Morrill
Middleton

Citizens American Bank ._
Lincoln County B ank. ______
Bank of Middleton _

1,766,359
2,511,451
389,405

481,728
521,561
159,106

66,132
52,538
6,860

5,965
11,800
161

Milton
Milton .Tot.
Milwaukee

Bank of M i l t o n ____ ____
The Farmers Bank
____
American State Bank

293,674
740,064
2,209,991

68,527
203,253
879,406

25,531
12,675
3,817

1,193
1,500
133,088

Milwaukee

Badger State Bank_
B ay View State Bank
The C ity Bank & Trust Co.

6,675,996
639,277
3,388,713

1,596,931
175,527
1,425,489

359,767
4,290
134,229

474,154
4,309
134,104

Milwaukee____


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

REPORT OF THE COMMISSIONER OF BANKING

39

Other Liabilities

Bills Payable and
Rediscounts

Undivided Profits

Incom e Debentures

Capital and Surplus

Deposits

Due from Banks and
Cash on Hand

U. S. Sec., Stock in Fed.
Res. Bk., Other Stocks &
Sec., Other Bonds

IN WISCONSIN ON DECEMBER 31, 1936— Continued

245,189
158,795
125,573

60,449
105,765
67,810

520,575
398,440
280,432

30,000
12,400
16,000

237,565
221,379
607,713

80,066
67,328
171,343

410,373
473,308
1,032,930

39,135
35,000
115,000

80,996
53,396
147,450

24,916
34,433
20,697

128,137
149,203
198,820

35,000
16,000
23,500

15,000

2,654
5,733

1,487,182
268,779
717,873

622,006
75,430
671,643

2,581,095
285,192
1,766,525

100,000
200,000
200,000

100,000
20,000
200,000

106,944
41,253
15,694

116,164
114,475
187,038

126,755
75,475
301,538

294,808
207,149
873,156

100,000
32,000
52,000

20,000

1,825
5,683
3,401

38,600
173,210
114,073

315,240
98,815
93,501

514,922
349,051
433,772

152,383
30,000
32,000

6,029
2,136
3,287

2,860,400

1,464,865

6,068,609

680,000

110,112

178,819

44,426

233,151

45,000

6,072

198,353

104,721

457,071

60,000

5,547

85,872
526,928
348,945

89,977
408,695
61,497

249,0*96
1,386,131
527,695

50,000
115,000
50,000

25,000
50,000
20,000

2,170
15,253
6,603

741,799
83,181
74,341

204,960
37,059
17,990

1,221,402
212,488
124,702

120,000
15,000
20,000

30,000

63,366
6,288
740

353,320
473,272
175,373

329,553
217,560
51,117

806,613
970,936
230,439

75,000
100,000
25,000

75,000

53,947
40,302
5,157

291,477
612,352
448,075

133,288
73,385
373,172

978,484
656,511
1,163,531

80,000
68,000
130,000

45,000

38,493
2,472
33,430

457,800
505,442
425,743

266,717
158,488
248,021

1,382,171
891,108
976,584

96,000
60,000
114,000

100,000
50,000
50,000

17,649
26,929
28,597

973,642
1,533,517
146,067

238,892
392,035
77,211

1,571,870
2,281,128
310,357

177,500
200,000
45,000

30,000

16,989
30,323
3,823

164,710
328,569
569,231

33,713
194,067
624,449

230,307
689,927
1,919,556

36,000
50,000
265,000

20,000

6,367
137
25,435

1,000

3,431,583
329,629
960,380

813,561
125,522
734,511

6,007,238
538,914
2,940,766

220,000
60,000
200,000

300,000
25,000
150,000

134,612
15,356
87,678

14,146
7
10,269


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

70,000
15,000
10,000

8,985
9,290
4,887

125,000

6,152
11,125
15,238

50,000

1,000
41
29
612
46
20,330
61

8
10,469

1

7,000

105
959

12

225

40

REPORT OF THE COMMISSIONER OF BANKING

Loans, Discounts and
Overdrafts

Milwaukee
Milwaukee _
Milwaukee____

Holton Street State Bank
Home Savings Bank
Kilbourn State Bank

1,022,661
2,050,453
1,540,887

258,398
1,117,036
145,946

97,856
175,364
47,696

48,524
62,453
39,695

Milwaukee____
Milwaukee
Milwaukee____

Layton Park State Bank
Lincoln State Bank
Marshall & Ilsley Bank

952,058
1,418,631
48,575,689

696,268
604,716
14,698,368

28,798
135,197
1,183,702

330
20,831
1,553,132

Milwaukee _ .
Milwaukee_ Milwaukee____

Mitchell Street State B ank___
Northern Bank
Park Savings Bank _ _ _ .

2,509,066
1,354,597
2,273,304

1,061,773
362,154
711,236

265,156
6,000
91,131

16,374
1,076
119,691

Milwaukee____
Milwaukee
Milwaukee____

State Bank of Milwaukee
Teutonia Ave. State B ank,
West Side B ank, _

2,341,708
2,362,054
5,633,167

959,413
706,296
1,382,083

89,446
167,905
36,574

112,666
116,397
151,170

Milwaukee____
Mineral Point
Minocqua__

Wisconsin State Bank ,
Farmers Savings Bank
Security State Bank

3,993,649
754,254
366,843

1,455,756
96,037
115,074

167,877
35,091
4,677

171,789

M ondovi
M onroe, _
M onroe, _

M ondovi State B a n k ,, ,
The Citizens Bank
The Com’l & Sav. Bank _

343,723
1,212,907
815,951

116,091
294,743
260,001

13,000
1
6,379

5,448
2,887
5,300

Montello
M ontfort _
Monticello . _ _

The Montello State Bank _ ,
Citizens State Bank
Bank of Monticello ___

589,144
301,432
1,002,104

90,166
131,841
291,168

13,885
23,800
7,000

251
5,952
16

Mosinee
M t. Calvary__
Mount H o re b ,,

Mosinee Commercial B a n k ,, ,
M t. Calvary State Bank
The State Bank o f , , ______

473,097
435,521
1,074,006

229,729
84,035
445,976

19,432
3,300
33,229

309
8,998

M ukwonago__
Necedah _ .
Neillsville

Citizens Bank o f, _
The Necedah Bank
Neillsville Bank

628,143
265,413
1,511,825

246,677
174,333
449,909

20,000
15,000
71,064

2,856

N ekoosa , ,
Neshkoro __
New Auburn _

Nekoosa State Bank
Farmers Exchange Bank o f__

498,879
262,576
808,972

217,406
15,045
242,472

27,650
2,500
26,750

21

Newburg _ . _
New Franken _
New Glarus___

State Bank of Newburg
New Franken State Bank
The Bank of New Glarus

300,518
969,677
1,761,397

69,712
152,359
312,948

5,277
2,288
35,428

78
1,488
18,320

New Holstein __
New Lisbon
New London__

Peoples State Bank

465,108
326,312
1,079,881

282,926
80,360
271,576

14,477
9,000
46,212

2,087

New Richmond
Newton
N ichols, _ , _

Bank of New Richmond ,

329,069
105,480
94,694

20,000
600
11,728

3,770

State Bank of Nichols

572,945
160,964
153,269

N . Fond du Lac

The First Wisconsin Bank------

7,119
46,087
69,791

7,373
27,800
5,800

2,568

, _

_

_____

The First State Bank o f.

Other Assets

Name of Bank

1

Location

Banking House,
Furniture and Fix­
tures and Other
Real Estate

Total
Footings

CONDITION OF INDIVIDUAL STATE BANKS

152

975

57

38

North Lake___

Bank of North Lake

225,406
402,579
305,727

Norwalk _ _ _
Oakfield _
Oconomowoc , ,

Community State Bank _
Bank of Oakfield
Bank of Oconom owoc,
__

300,014
389,732
850,711

63,729
97,162
191,376

12,035
8,067
32,497

156
2,992
2,013

Oconto Falls _ „
Omro
Ontario _____ __

Oconto County State Bank ,
Farmers Bank of Omro
Bank of Ontario__ ____ __

387,702
1,142,730
114,108

118,145
221,935
44,549

8,304
36,700
5,500

613
696
33


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

307

REPORT OF THE COMMISSIONER OF BANKING

41

Capital and Surplus

Incom e Debentures

843,846
1,463,928
1,373,420

110,000
250,000
155,000

250,000

67,485
86,525
12,467

1,330

81,818
446,233
18,872,287

144,844
211,654
12,268,200

853,448
985,428
43,595,256

50,000
100,000
1,750,000

30,000
300,000
1,500,000

12,929
32,560
1,647,496

5 681
643
82,937

850,251
541,328
906,973

315,512
444,039
444,273

1,827,812
1,242,638
1,631,060

203,000
110,000
200,000

400,000

78,254
1,958
92,244

1

350,000

796,755
1,096,527
1,784,021

383,428
274,929
2,279,319

1,733,958
1,833,146
4,422,124

428,545
200,000
800,000

16,369
47,122
411,043

12,836
6,786

1,854,243
459,433
151,196

343,984
163,693
95,744

3,476,053
686,928
317,313

350,000
37,500
30,000

166,782
2,326
5,780

814
2,500
1,250

104,779
689,260
338,491

104,405
226,016
205,780

276,950
1,065,972
686,537

30,000
135,000
100,000

20,000

16,773
11,935
29,411

3

398,830
77,830
489,875

86,012
62,009
214,045

511,006
258,819
885,412

45,000
25,000
80,000

15,000
15,000

18,138
2,613
36,647

45

139,633
243,662
433,923

84,303
104,215
151,880

387,133
384,099
905,765

35,000
20,000
50,000

35,000
15,000
100,000

12,464
16,113
18,165

3,500
309
76

288,472
23,813
734,559

72,019
52,267
253,437

542,300
207,231
1,362,032

30,000
30,000
80,000

40,000
25,000
60,000

13,443
3,182
8,693

2,400

191,185
209,050
343,369

62,617
35,981
196,381

423,691
222,689
653,452

55,000
20,000
75,000

15,000
15,000
50,000

5,188
4,735
28,824

181,796
694,866
1,094,427

43,655
118,676
300,274

259,478
845,703
1,552,372

23,000
85,000
150,000

12,500

5,540
38,974
59,025

79,903
201,953
612,747

87,745
34,999
147,259

393,255
290,379
928,502

41,250
30,000
90,000

25,000

5,332
5,933
60,995

88,721
9,948
16,260

131,385
44,936
30,549

417,945
132,627
121,467

90,000
25,600
29,300

65,000

165,586
296,502
162,468

42,760
32,190
67,361

178,580
329,336
275,082

40,000
27,500
28,500

185,382
222,085
487,138

38,712
59,426
137,687

243,007
316,085
765,327

30,500
60,000
65,000

20,000

5,478
13,647
20,384

1,029

181,971
680,877
52,626

78,669
202,522
11,400

347,334
1,019,249
101,101

32,000
90,000
11,500

5,000

1,367
33,481
1,507

1,001


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

150,000
275,000

25,000
12,500

Other Liabilities

Deposits

134,304
363,794
279,346

Bills Payable and
Rediscounts

Due from Banks and
Cash on Hand

483,579
331,806
1,028,204

Undivided Profits

U. S. Sec., Stock in Fed.
Res. Bk., Other Stocks &
Sec., Other Bonds

IN WISCONSIN ON DECEMBER 31, 1936— Continued

1,100
152
1,696

271
384

2,737
2,502
40,000

6,826
5,743
1,837

308

REPORT OF THE COMMISSIONER OF BANKING

42

Other Assets

Banking House,
Furniture and Fix­
tures and Other
Real Estate

Name of Bank
Total
Footings

Location

Loans, Discounts and
Overdrafts

CONDITION OF INDIVIDUAL STATE BANKS

Orfordville-----

Rank of Oregon
Farmers & Merchants Bank . .

578,818
492,222
465,622

236,696
160,018
73,864

7,600
16,000
2,418

Ofsppnl i)
Oshkosh
O^hk^sb

Bank of Osceola
The New American Bank . . .
Security Bank of

430,893
3,640,189
2,215,510

139,139
875,834
351,642

48,995
179,956
89,178

60
22,430
25,965

Palmyra - .
Park Falls

Bank of Osseo
Palmyra State B ank. .
Park Falls State Bank _

786,620
322,952
372,430

331,939
105,482
144,465

22,881
9,000
20,957

54
681
2,273

Peshtigo
Pewaukee. __

Peshtigo State Bank
Pewaukee State B a n k ..

272,885
671,898
176,042

102,283
319,830
82,526

5,098
24,700
11,419

119
100

Phillips
Pipkpt.t.
Pigeon Falls___

State Bank of Phillips . . .
Pickett State Bank
Pigeon Falls State Bank

471,306
131,437
437,330

85,945
39,048
114,620

6,830
11,635
5,000

1,984
123

Plainfield
Platteville
Platteville . .

Waushara County Bank . .
Mound City B a n k ..
State Bank of Platteville .

346,970
1,022,443
822,485

124,817
294,384
216,540

11,000
22,450
35,343

25
1,450
1,723

Poplar _
Portage
Pt. Washington

Poplar State Bank----City Bank of Portage
Pt. Washington State B a n k ...

119,977
1,752,510
1,762,786

44,515
411,740
679,068

3,750
81,267
34,300

178
7,496
11,308

201,368
610,356
171,642

89,337
176,017
60,893

20,291
17,000
14,695

382
114

239,293
858,038
237,203

29,715
198,295
70,818

21,692
82,308
11,000

170

1,366,862
1,092,271
939,699

521,733
446,029
78,538

38,288
12,936
9,220

6,140
1,975
3,253

291,722
462,357
607 j 166

88,833
86,862
251,540

8,750
16,000
26,386

20,000

4,378,406
867,710
1,150,981

1,226,668
257,403
242,831

144,500
20,373
4,911

133,750
31,886

689,628
162,834
487,098

167,831
45,736
228,202

4,305
6,169
12,390

41,012
579
88

Oostburg---------

Port W ing . _ First State Bank of
Potinpi
Potosi State Bank
P o L1er ____ — —
Poynetfip*
P oy Sippi____

Rank of Poynette
Farmers State B ank—

Pr. du Chien.
Pr. du Chien _
Prairie du Sac _

Peoples State Bank
Prairie C ity Bank
Bank of Prairie du Sac

Prairie Farm
Princeton--------Pulaski_____

Pulaski State Bank —

. .

First State Bank of

542

Racine
Racine _
Racine

American Bank & Trust C o—
Farmers & Merchants B a n k ..

Racine _
Radisson
R andolph. _

W est Racine B ank. _. —
Chippewa Valley Bank.
Dairyman’s State Bank

Random Lake _
Reedsburg .
Rppdshiirg

State Bank of Random Lake _
Farmers & Merchants Bank ._
The Reedsburg Bank
___

346,619
406,407
2,892,057

101,154
13,840
464,717

22,438
24,665
225,409

6
4,555
25,596

Reedsville.
Reeseville
Rhinelander___

Reedsville State B ank. ._
State Bank of R e e s e v ille -----Merchants State Bank . . .

375,213
532,042
1,137,214

165,874
197,744
495,367

15,101
19,806
70,000

235
298
13,036

Rice L ake.
xvicnneia
Richland C tr ...

State Bank of Rice Lake----

892,171
211,473
1,013,003

297,022
51.894
315,997

2,554
4,200
55,329

9,499


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Farmers & Merchants Bank . .

1

43

REPORT OF THE COMMISSIONER OF BANKING

Other Liabilities

Bills Payable and
Rediscounts

Undivided Profits

Incom e Debentures

Capital and Surplus

Deposits

Due from Banks and
Cash on Hand

U. S. Sec., Stock in Fed.
Res. Bk., Other Stocks &
Sec., Other Bonds

IN WISCONSIN ON DECEMBER 31, 1936— Continued

220,216
231,946
325,435

114,306
84,258
63,905

504,512
446,006
395,572

61,000
35,000
45,000

15,000

13,239
11,216
10,033

185,542
1,884,133
1,421,265

57,157
677,836
327,460

330,928
3,219,468
1,967,379

60,000
225,000
105,500

35,000
175,000
75,000

4,965
1 3 ,7 l l
67,540

7,000
91

305,053
110,743
143,179

126,693
97,046
61,556

692,557
283,146
282,201

60,000
30,000
50,000

30,000
35,000

4,063
9,806
3,636

1,593

87,838
85,864
4,525

77,547
241,404
77,572

240,041
586,681
145,495

27,500
30,000
27,500

262,382
65,839
258,478

114,1.65
14,792
59,232

427,547
113,017
374,778

35,000
17,200
31,250

88,660
224,070
82,652

122,468
480,089
485,722

301,558
965,240
675,992

30,000
50,000
50,000

10,000

48,747
840,394
457,952

22,787
411,613
580,158

98,328
1,585,161
1,521,627

12,200
85,000
200,000

7,500
75,000

931
7,297
37,221

1,018
52
3,938

30,857
290,063
81,636

60,501
127,162
14,418

173,083
518,779
112,137

10,580
55,000
25,000

15,000
35,000
25,000

2,704
1,577
9,402

103

142,826
316,817
107,815

45,060
260,618
47,400

194,600
758,648
203,605

24,000
52,500
15,000

15,000
35,000
15,000

5,693
11,628
3,598

543,519
445,496
665,653

257,182
185,835
183,035

1,187,433
913,670
786,864

60,000
80,000
83,000

70,000
75,000
50,000

39,143
23,601
19,835

124,412
289,041
273,446

49,727
70,454
55,252

224,854
380,129
508,763

30,000
61,000
52,500

20,000
35,000

16,868
21,228
10,903

1,928,499
397,860
687,486

944,989
160,188
215,753

3,997,586
760,609
1,055,822

275,000
60,000
70,000

25,000
15,000

54,580
22,101
10,159

398,643
82,741
190,047

77,837
27,609
56,371

588,503
143,254
417,135

50,000
11,200
52,000

174,653
272,679
1,882,961

48,368
90,668
293,374

274,591
353,196
2,447,876

25,000
50,000
110,000

142,515
256,287
343,815

51,488
57,907
214,996

328,178
446,140
858,742

470,586
115,064
469,137

112,510
40,315
172,539

806,186
177,157
894,948


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

40,000

25,000

50,000

5,327
14,710
3,047

67
17

17
507

8,759
1,220
6,302
5,412
7,203
46,493

1

262
10,286

51,240

40,000
5,000

11,125
2,830
17,963

40,000
200,000

5,028
3,211
129,980

26,000
36,500
145,000

20,000
40,000
100,000

1,035
7,900
33,472

1,502

55,000
31,000
60,000

25,000
40,000

5,985
3,240
13,055

76
5,000

550
2,000
4,201

REPORT OF THE COMMISSIONER OF BANKING

44

Other Assets

Total
Footings

Banking House,
Furniture and Fix­
tures and Other
Real Estate

Name of Bank

Location

Loans, Discounts and
Overdrafts

CONDITION OF INDIVIDUAL STATE BANKS

Richland Ctr.__
Ridgeland-------Rio Creek_____

Richland County Bank.
Farmers State Bank

1,025,260
178,770
149,414

132,811
71,829
9,381

43,000
4,840

5,622
2,600

R ip on -------------R oberts----------Rosendale--------

Ripon State Bank

1,330,499
95,308
239,857

234,027
34,310
75,510

23,000
1,200
53,060

1,715

19,500
5,200
23,904

Rosendale State Bank

1,668

R osholt_______
R udolph______
St. Cloud______

Farmers & Merchants Bank ,_
State Bank of St. C lo u d ., _

527,877
178,529
236,559

363,405
91,776
70,018

St. N azianz-----Sauk C ity _____
S candinavia__

Farmers & Citizens Bank------Commercial State B a n k ---- ---

568,644
1,116,534
214,259

404,639
143,518
61,176

29,302
11,600
8,500

141,768
849,716
624,385

67,718
139,370
129,297

32,954

5
566
494

1,220,986
5,260,482
9,935,025

339,519
2,285,451
2,611,399

24,155
271,406
204,147

10,958
167,874
202,738

1,224,874
607,547
1,040,023

294,277
150,075
193,019

79,490
6,940
35,650

15,429
11,280
14,251

1,588
4,259

Seym our______
Sharon________

Farmers & Merchants State
B ank.
Seymour State Bank _
Sharon State B ank,

Shawano______
Sheboygan------Sheboygan-------

Citizens State B an k. _ .
Bank of Sheboygan,
Citizens State B ank,

Sheboygan------Sheboygan------Sheboygan-------

Merchants State B ank,
North Side State Bank
South West State Bank

Shell Lake_____
Sherwood--------Shullsburg-------

Shell Lake State B ank,
Sherwood State Bank
Farmers & Merchants Bank

276,537
218,547
791,260

60,227
109,498
157,566

5,710
4,060
25,119

214

Silver Lake____
Slinger________
Somerset______

Silver Lake State Bank ---State Bank of Slinger---------Bank of Somerset

288,670
531,810
126,035

94,750
99,254
68,226

24,000
17,000

2,300
127

S. M ilw aukee.,
S. Milwaukee, _
South W ayne, ,

The Home State Bank . . .
South Milwaukee Bank _ _
Bank of South W ayne--------

1,560,989
1,358,859
432,671

442,583
406,139
84,320

28,194
66,599
13,860

407
9,200

Sparta_________
Sparta_________
Spencer_______

Bank of Sparta , ,
Monroe County Bank
Spencer State Bank—

1,361,423
825,322
206,585

681,588
255,714
121,669

16,455
31,031
12,000

2,111
2,747
6,294

Spooner_______
Spring Green , ,
Spring Green . ,

The Farmers State Bank o f—
State Bank o f_______

518,610
417,768
335,351

145,191
220,570
194,868

15,912
6,943
10,545

135
866

Spring V alley, ,
Stanley------------

Thp Bank of
Farmers & Merchants State

477,674

142,693

10,000

Stetsonville____

Farmers State B an k, .

455,616
261,471

121,103
102,749

7,001
10,251

118

Stockbridge----Stoddard______

State Bank of Stockbridge-----Farmers & Merchants State
Bank
Stoughton State B ank--------

255,217

84,407

9,624

4,605

213,268
642,457

48,551
106,169

566
23,500

517

19,335
56,986
14,570

346
24,803
135

Seneca________

Stoughton_____
Stratford______
Sturgeon B a y ._
Sullivan-----------


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

. .
------

., —

Stratford State B ank. _
Bank of Sturgeon Bay
The Farmers State B a n k ____

507,548
2,135,472
297,105

121,982
704,026
65,792

10,900

47

REPORT OF THE COMMISSIONER OF BANKING

45

Other Liabilities

Bills Payable ar.d
Rediscounts

Undivided Profits

Incom e Debentures

Capital and Surplus

Deposits

Due from Banks and
Cash on Hand

U. S. Sec., Stock in FedRes. Bk., Other Stocks &
Sec., Other Bonds

IN WISCONSIN ON DECEMBER 31, 1936— Continued

465,019
74,744
121,405

378,808
24,757
18,628

915,118
141,742
125,229

102.000
13,000
20,300

15,000

583,635
33,834
84,206

488,122
25,964
25,413

1,233,990
78,909
186,125

50,000
11 000
25 000

40 000
5 200
25 000

60,700
47,450
120,324

84,272
34,103
22,313

423,481
151,014
190,737

60 000
23,500
20 000

4,396
3,565
822

450

25,000

58,525
764,932
118,688

76,178
194,896
21,636

527,104
1,048,082
168,004

41,500
35 000
29^400

30 000
15Ì000

3,452
1,055

800

38,300
529,406
389,088

24,845
180,374
72,552

103,623
695,260
578,388

35,000
93,000
43,000

20,000

3,140
41,132
2,868

5
324
129

644,982
1,920,978
4,492,574

201,372
614,773
2,424,167

1,077,120
4,649,369
8,806,184

70,000
220,000
900,000

45,000
350,000

20,866
35,360
83,417

8,000
5,753
145,424

649,074
343,607
636,361

186,604
95,645
160,742

1,077,106
539,370
922,587

125,000
65,000
55,000

22,768
3,177
16,436

1,000

138,212
55,772
398,416

72,174
49,217
210,112

246,338
182,787
713,448

29,000
15 000
45,000

135,594
326,433
43,717

32,026
88,996
14,092

242,552
478,316
93,356

27 500
46*000
15 000

161,918
592,595
210,214

927,887
284,326
124,277

1,422,156
1,147,878
394,479

126,000
101,748
34,300

280,868
375,167
34,948

380,401
160,663
31,674

1,248,068
717,715
164,075

100,000
105,000
26,000

279,844
110,945
45,060

77,663
79,175
84,012

467,184
353,570
266,351

23,000
25 000
26 000

20
20

262,766

62,215

386,699

54 000

260,714
112,781

66,798
35,572

406,498
227,160

37,500
2 5 ’ 000

40,000

8,142
9,028
3,885
6,509
3,732

40

45,000
15

000

20 ! 000
12,500
15,000
85,000

1,199
5,760
9,777

12,833
23,552
3,541

35

681
351

12,522
2,607
6,497

833

27

000
000

8,399
9,198
13,000

25,000

11,975

10,000
20,000

13

4,118
5,861

7,500
3,450
500

123,815

32,766

211,039

18,000

15,000

10,678

150,129
422,407

14,022
89,864

180,069
493’ 204

17,500
75,000

10,000
60 000

5,699
14,253

317,135
794,084
164,951

48,750
555,573
51,657

409,461
1,941,215
260,045

58,350
120,000
21,000

30,000
50,000
12,000

8,087
19,257
4,060


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

3,000

6,118
7,494
2,679

1,650
5,000

46

REPORT OF THE COMMISSIONER OF BANKING

Community Savings B a n k ..
Superior State Bank
-------

Superior----------Suring-------------Sussex_________

Wisconsin State Bank
The Suring State Bank

.

Other Assets

Sun Prairie-----Superior----------Superior-----------

Banking House,
Furniture and Fix­
tures and Other
Real Estate

Name of Bank

Total
Footings

Location

Loans, Discounts and
Overdrafts

CONDITION OF INDIVIDUAL STATE BANKS

588,747
531,974
778,125

106,432
172,796
85,144

58,246
5,500
3,000

451,544
517,587
380,403

213,782
246,520
122,955

9,860
9,026
9,000

388,662
980,794
712,018

77,956
427,762
252,761

5,800
25,093
32,201

87,808
1,170,802
826,919

52,763
308,686
220,609

6,814
30,350
33,569

28
4,000

2,074
4,630
606
640

Theresa----------Thiensville-----Thorp--------------

Thiensville State Bank
Peoples Exchange Bank .

Three Lakes___
Tom ah------------Tom ah________

Peoples State Bank
Bank of T om ah . .
Farmers & Merchants Bank __

Tom ahawk____
Trempealeau—
Turtle Lake —

Bradley Bank _.
Citizens State Bank _
Bank of Turtle Lake—

—
_ —

801,458
164,917
295,217

82,939
67,954
97,796

31,205
10,776
55,639

138
466
36

Two Rivers-----Two Rivers-----Union Grove—

Bank of Two Rivers
..
Two Rivers Savings Bank
State Bank of Union G r o v e ...

2,247,309
968,408
794,713

550,583
396,621
185,427

57,211
76,675
36,700

9,319
15,894
504

Valders________
Verona________
Vesper________

Valders State Bank
.. _
Bank of Verona .
Vesper-Arpin State Bank _

214,200
351,709
86,527

92,104
124,716
39,725

2,600
8,375
12,485

__________
128
25

V iola__________
Viroqua_______
W abeno_______

The State Bank of V iroqua. __
State Bank of Wabeno

279,471
319,483
227,539

75,337
77,341
62,837

21,500
13,891
11,730

800
1,356

W aldo_________
W alworth_____
W aterford_____

Walworth State Bank. . . . .
N oll’s Bank-------

300,445
373,481
725,527

105,990
39,687
127,223

8,300
25,997
39,482

131
109

. . .

367,407

47,113

11,460

172

905,843
2,635,629

312,897
419,442

32,202
21,500

215
6,175

W atertown____

State Bank of Waterford
Farmers & Merchants State
Bank
Bank of W atertow n .. _

W atertown____
W aumandee___
Waunakee--------

Farmers & Citizens Bank
Waumandee State Bank
Farmers State Bank _

.

863,916
237,356
309,720

194,509
52,486
63,951

7,500
11,624
3,800

11,968
177
254

Waunakee-------W aupaca______
W aupun-----------

Waunakee State Bank _ _
The Farmers State Bank of .
State Bank of W aupun-----

352,398
1,162,958
1,143,564

195,413
370,453
140,236

25,500
5,000
37,764

336
1,55 l
10,803

W ausau_______
W ausau_______
Wausaukee____

Citizens State Bank
First American State Bank
Pembine-Wausaukee Bank-----

2,611,103
7,148,614
253,195

490,160
1,994,774
18,463

39,100
200,000
17,000

W autom a_____
W auwatosa-----W auzeka---------

The Union State B an k___
Wauwatosa State B an k. .
Bank of W auzeka___— .

815,429
1,326,852
390,122

289,170
289,829
54,691

11,700
13,509
7,355

W ayside---------W est Allis_____
W est A ll i s ..—

Milwaukee County Bank.
W est Allis State B ank.

240,215
939,928
1,063,925

70,546
147,009
320,373

4,500
3,424
74,807

1,779

West B end____
W estfield--------W est Salem-----

The First State B a n k .......... _
Westfield State Bank _.
Union State Bank of

1,320,871
624,613
725,543

409,063
305,124
169,868

30,520
26,200
15,150

13,895
103
2,875

W aterford_____
W aterloo______


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

28~653
—
203
9,794
243

REPORT OF THE COMMISSIONER OF BANKING

47

Other Liabilities

Bills Payable and
Rediscounts

Undivided Profits

Incom e Debentures

Capital and Surplus

Deposits

Due from Banks and
Cash on Hand

U. S. Sec., Stock in Fed.
Res. Bk., Other Stocks &
Sec., Other Bonds

IN WISCONSIN ON DECEMBER 31, 1936— Continued

283,706
248,932
373,101

140,363
102,672
312,250

500,234
477,816
715,098

36,000
52,000
57,500

131,468
172,007
184,186

95,828
89,394
64,262

375,748
448,078
303,007

41,000
45,000
36,800

10,000
30,000

34,743
14,209
10,596

195,835
278,299
302,994

109,071
249,509
123,953

349,877
865,571
594,591

30,500
100,000
50,000

50,000

8,285
15,223
17,328

18,376
584,160
410,888

9,827
243,606
161,853

58,912
1,069,680
731,920

17,000
50,000
50,000

540,223
58,367
74,845

146,953
27,354
66,901

676,166
142,653
257,466

77,000
11,000
16,247

1,139,793
368,176
435,183

490,403
111,042
136,899

1,907,038
768.963
692,281

230,000
190,000
70,000

90,829
160,066
1,136

28,667
58,424
33,156

180,893
299,520
61,150

29,000
40,000
25,000

131,193
120,574
128,609

51,441
106,877
23,007

227,136
263,662
175,322

46,000
55,821
25,000

20,000

3,217

4,000

129,481
265,517
464,222

56,674
42,280
94,569

267,816
292,125
575,411

20,000
40,000
65,000

5,000
35,000
75,000

7,129
6,356
10,116

500

246,912

61,750

319,538

35,000

12,869

455,332
1,712,455

105,197
476,057

793,887
2,260,186

105,000
300,000

6,956
75,443

522,311
141,787
175,015

127,628
31,282
66,700

753,074
212,517
265,570

100,000
20,500
20,000

39,600
479,771
755,616

91,549
306,377
199,145

296,967
1,056,288
1,017,381

29,000
46,000
90,000

1,655,838
3,444,757
195,243

426,005
1,480,430
22,489

2,242,800
6,491,801
201,928

130,000
400,000
45,000

292,951
784,510
263,893

221,405
229,210
63,940

604,187
1,161,507
323,958

120,000
130,000
24,000

30,000

131,311
509,927
397,651

33,858
279,568
269,315

202,786
866,193
852,385

24,000
60,000
100,000

514,644
255,146
440,039

352,749
38,040
97,611

1,207,681
503,210
601,106

70,000
55,000
65,000


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

30,000

10,000

22,513
1,989
5,324

169
203
53
300

99
935

35,000

961
51,122
9,881

30,000
10,000
20,000

16,292
1,264
1,504

2,000

40,000

70,271
9,443
14,432

18,000

119

2

4,307
12,189
377
6,335

10,842
4,339
9,145

5

25,000
50,000

1,431
4,670
36,169

6,000
14

200,000

5,386
256,813
6,267

75,000

16,242
34,987
12,074

358
90

75,000

3,429
13,735
31,540

5,000

15,000
50,000
50,000

28,190
12,903
6,562

3,500
2,875

15,000

10,000

32,917

48

REPORT OF THE COMMISSIONER OF BANKING

Banking House,
Furniture and Fix­
tures and Other
Real Estate

Loans, Discounts and
Overdrafts

CONDITION OF INDIVIDUAL STATE BANKS

W eyauwega----Whitefish Bay W hitehall_____

Farmers & Merchants Bank
Whitefish B ay State Bank____
John O. M elby & Co. Bank __

515,792
503,664
428,156

184,816
99,905
164,927

17,153
4,000
13,500

Whitewater___
Whitewater___

First Citizens State Bank____
Whitewater Commercial &
Savings B ank______________
Farmers & Merchants State
Bank_______________ ______

2,039,174

497,658

39,230

6,708

603,900

136,022

19,759

1,999

382,578

130,703

14,000

4,634

Wisconsin Dells
W ithee________
W ittenberg____

Kilbourn State Bank_________
State Bank of W ithee________
Citizens State B ank__________

1,071,022
220,974
755,844

211,765
89,696
242,324

28,500
15,000
22,262

287

W onew oc______
W oodford_____
W oodm an_____

State Bank of W onew oc______
W oodford State Bank________
W oodman State Bank________

982,885
253,667
207,895

193,374
70,860
54,852

45,850
13,400
16,073

4,761

W oodruff______
W oodville_____
W rightstown__

W oodruff State B ank________
Citizens State B a n k _________
The Farmers and Traders
Bank______________________

105,998
363,681

47,805
113,508

8,608
23,300

512
6

347,864

65,481

8,000

Zachow.

Farmers State Bank_________

114,769

38,866

3,000

Wisconsin Dells


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Other Assets

Name of Bank

Total
Footings

Location

4,097
1,547

669

525

104

REPORT OF THE COMMISSIONER OF BANKING

49

228,589
2 5 1 ,12b
141,682

85,234
144,546
106,500

416,875
448,096
348,668

45,000
30,000
50,000

50,000
10,000

1,240,825

254,753

1,801,734

165,000

20,000

52,380

180,791

265,329

507,574

50,000

35,000

11,326

170,597

62,644

305,810

32,000

30,000

13,768

103,577
73,239
148,047

936,049
179,196
652,273

100,000
30,000
70,000

7,500
25,000

34,973
4,278
8,571

630,767
129,343
104,556

108,133
40,064
31,889

849,467
216,503
165,515

87,000
23,000
18,000

20,000
12,500
20,000

24,692
764
4,380

30,194
136,967

18,879
89,900

84,106
320,928

10,000
25,300

10,000
15,000

1,607
2,421

215,348

59,035

314,639

28,000

5,225

52,860

19,939

101,818

11,845

1,106


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Other Liabilities

3,917
14,819
29,488

726,511
43 f039
342,924

4

Bills Payable and
Rediscounts

U ndivided Profits

Incom e Debentures

Capital and Surplus

Deposits

Due from Banks and
Cash on Hand

U. S. Sec., Stock in Fed.
Res. Bk., Other Stocks &
Sec., Other Bonds

IN WISCONSIN ON DECEMBER 31, 1936— Continued

60

1,000

1
QOO
285
32

REPORT OF THE COMMISSIONER OF BANKING

50

Beloit Savings B ank--------------Commonwealth Mut. Sav.
Bank
Guardian Mut. Sav. Bank-----The W orkers’ Mut. Sav. Bank

90,963

7,046

817,774
73,014
49,810

23,677
2,051
11,629

6,503
--------- -

Other Assets

•

1,176,446

1,740,470
99,334
133,321

Banking House,
Furniture and Fix­
tures and Other
Real Estate

Loans, Discounts and
Overdrafts

Milwaukee
Superior-

2,888,842

Name of Bank

Location

Beloit _ Milwaukee------

T otal
Footings

CONDITION OF INDIVIDUAL

CONDITION OF INDIVIDUAL

Location

*

Name of Bank
£ 2

0 'S

Sri
=
«0

,

xn

.£ -p

o >
JO

« i b »

« t-H

O
o o
Í È

i’

320,430

52,190

492,806
283,997

114,089
20,377

109,164
24,109

592
24,188

La Crosse____

First Trust Company of-_ The Northwestern Loan &
Trust C o------------------ —
La Crosse Trust C o-----------

M adison_____
M anitowoc___
Milwaukee----

The Central Wis. Trust Co.
Bast Wis. Trustee C o--------First Wisconsin Trust C o._.

3,101,273
209,007
9,294,871

731,191
17,841
405,932

259,687
11,417
417,902

4,553
13,621
88,708

Oshkosh______
Sheboygan----Wausau______

First Trust C om pany---------Sheboygan Trust Com pany_
Wisconsin Valley Trust Co._

583,823
193,327
1,351,629

76,558
111,800
316,756

35,978
20,515
27,430

726

A ppleton_____
Kenosha_____


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

25

REPORT OF THE COMMISSIONER OF BANKING

51

MUTUAL SAVINGS BANKS

TRUST COMPANIES

gm

g

œ m

a m d -d

-p

£ « .3 0

I gl 8
g

¿ .So w

exi
05 fl
m«
-W

>> 3
CÜO
fl, a

Is 03
Qo

103,640

164,598

163,427

150.000

6,356

647

37,150
67,450

231,811
147,873

360,715
194,944

90.000
75.000

42,065
9,501

26
4,522

696,753
85,320
1,569,474

1,409,089
80,808
6,812,855

2,594,435
114,497
7,626,540

310.000
77,500
1,500,000

195,093
5,930
168,331

1,745
11,080

12,951
26,028
466,390

457,610
34,984
541,028

431,851
123,266
1,190,989

120.000
65.000
135,000

31,892
5,061
25,640


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

52

REPORT OF THE COMMISSIONER OF BANKING

LIST OF BANKS IN HANDS OF THE BANKING
COMMISSION FOR LIQUIDATION IN 1936
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
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
Chetek, FARMERS & MERCHANTS STATE BANK
Chili, CHILI STATE BANK
Clear Lake, THE PEOPLES 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 SAYINGS 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
Fond du Lac, THE BANK OF FOND DU LAC
Foster, STATE BANK OF FOSTER
Friendship, FRIENDSHIP STATE BANK
Galesburg, GALESBURG STATE BANK


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Federal Reserve Bank of St. Louis

REPORT OF THE COMMISSIONER OF BANKING
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
Neenah, NEENAH STATE BANK
Nelsonville, STATE BANK OF NELSONVILLE
Neva, NEVA FARMERS BANK
New Diggings, FARMERS & MINERS BANK


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Federal Reserve Bank of St. Louis

53

54

REPORT OF THE COMMISSIONER OF BANKING
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
Superior, AMERICAN EXCHANGE 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
Westbv, WESTBY STATE BANK
West Milwaukee, ANCHOR STATE BANK
West Wrightstown, THE PEOPLES BANK
Weyerhaeuser, WEYERHAEUSER STATE BANK


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Federal Reserve Bank of St. Louis

REPORT OF THE COMMISSIONER OF BANKING
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
Liquidations completed.


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Federal Reserve Bank of St. Louis

55

56

REPORT OF THE COMMISSIONER OF BANKING

ALMENA STATE BANK
Almena
E. C. A jer, 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 31, 1933
L ia b ilitie s

R e so u rc e s

C a p it a l_______________________ $ 20,000.00
Surplus and U ndivided Profits
18,068.89
D eposits:
T i m e ___________$141,005.36
D e m a n d _______
41,436.07
T ota l Loans and D iscoun ts $255,382.85
I n v e s tm e n ts __________________
1,000.Oo
T otal D eposits ------------------ $182,441.43
All other r e s o u r c e s __________ 18,913.45
Borrow ing's from other Banks
54,785.98
Loans and D iscou n ts:
On real esta te__$ 73,392.26
Other __________ 181,990.59

T ota l

______________________ $275,296.30

T otal

______________________ $275,296.30

R e c e ip ts an d D isb u r se m e n ts D a te o f C losin g- t o D e c e m b e r 31, 1930
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s ------------$157,689.02
7,021.55
Assessments on s to c k ----------Other C o lle c t io n s ____________
6,366.48
D.L.B. Loan from R P C ______
7,138.57
Cash date o f c l o s i n g ------------9,420.20

$187,635.82

Total

898.05
L eg al ________________________ $
4,861.00
A dm in istration ---------------------Taxes, I n s u r a n c e -------------------333.73
Other E x p e n s e s ______________
3,911.41
B ills P a y a b l e ------------------------- 61,924.55
P referred C la im s ____________
1,901.23
D ividends ____________________ 52,850.35
Offsets _______________________
8,484.86
Cash on hand Dec. 31, 1936 ---1,7 64.85
50,705.79
C om prom ises ________________
$187,635.82

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 B E R 31, 1936
L ia b ilitie s

R e so u rc e s

Loans and D iscou n ts------------- $ 98,966.12 Capital ______________________ $ 20,000.00
8,256.07 D eposits and C la im s ------------- 123,138.09
B ank ing H ouse and P. and P.
Cash oh hand and due from
1,764.85
banks ______________________
567.34
A ll other r e s o u r ce s !______ ___
33,583.71
P rofit & Loss ( D e b i t ) ----------T o ta l


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$143,138.09

Total

$143,138.09

57

REPORT OF TH E COMMISSIONER OF BANK ING

FARMERS TRI-COUNTY STATE BANK
Aniwa
Ch a s . 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 o n d ition ns 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 D iscoun ts:
On real esta te__$ 11,858.14
Other __________ 37,696.77

C a p it a l------------------------------------$ 10,000.00
Surplus and Undivided Profits
774.71
D eposits:
T i m e ___________$ 36,483.56
T ota l Loans and D iscounts $ 49,554.91
D e m a n d _______
16,871.22
Other R eal E s t a t e ___________
5,756.85
I n v e s t m e n t s __________________
8,630.00
T otal D e p o s it s _____________ $ 53,354.78
A ll other r e s o u r c e s __________
187.73
T o t a l ------------------------------------$ 64,129.49

T o t a l _______________________ $ 64,129.49

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 J a n u a r y 2 , 1937
C o lle c tio n s

D is b u r s e m e n ts

L iqu idation o f A s s e t s _______ $ 15,931.37
A ssessm ents on s t o c k _______
1,380.00
1,030.00
R e co v e ry on b o n d ____________
Other C o lle c t io n s ____________
1,476.22

A dm in istration ______________ $ 1,753.69
Taxes, I n s u r a n c e ____________
435.09
2,024.41
Other E x p e n s e s _________
D ividends 1 / & 2 ____________ 13,303.75
Cash on hand Dec. 30, 1936 ___
2,300.65

T o t a l _______________________ $ 19,817.59

T o t a l _______________________ $ 19,817.59

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s ________ $ 33,623.54 C a p it a l------------------------------------$ 10,000.00
B a n k in g H ouse and F. and F.
4.900.00 Surplus and Undivided Profits
3,480.74
Other R eal E s t a t e ___________
5,756.85 D eposits and C la im s ________
40,051.03
Bonds and Other S e cu ritie s __
2.700.00
Cash on hand and due from
banks ______________________
2,300.65
A ll otheh resources __________
37.54
E x p e n s e ______________________
4,213.19
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 53,531.77

Total

$ 53,531.77

58

REPORT OF THE COMMISSIONER OF BANKING

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, 1928
L ia b ilitie s

R e so u rc e s

C a p it a l_______________________ $ 25,000.00
Surplus and Undivided Profits
4,936.67
D eposits:
T i m e ___________$ 28,272.70
70,487.43
D e m a n d _______
T ota l Loans and D iscoun ts $116,268.88
7,750.00
Other R ea l E s t a t e ___________
T ota l D eposits ____________$108,760.13
I n v e s t m e n t s _______ :_________
14,983.21
5,000.00
A ll oth er r e s o u r c e s _________
4,694.71 Borrow ing's from other B anks
Loans and D iscoun ts:
On rea l esta te_$ 46,338.50
Other _________
69,93u.38

$143,696.80

Total

$143,696.80

T otal

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, 1936
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s _______ $ 95,682.34 L eg a l ------------------------------------- $ 3,359.43
7,948.71
21,381.05 A dm in istration ---------------------Assessm ents on s t o c k ________
3,092.15
Other C o lle c t io n s ____________
7,034.75 Taxes, In s u r a n c e -------------------3,860.58
A d ju s t m e n ts ___________________ 40,377.10 Other E x p e n s e s ---------------------B ills P a y a b le ________________
5,000.00
P referred C l a i m s -----------------2,850.00
D ividends -----------------------------48,963.16
8,645.52
Offsets ____________ :----------------Cash on hand Dec. 30, 1936 —
1.49
83,721.04

T otal

83,721.04

T otal

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, 1936
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s ------------- $ 31,912.18 C a p it a l_______________________ $ 25,000.00
2,500.00
B ank ing H ouse and P. and F. 13,965.50 Surplus and Undivided Profits
49,775.75
Other R eal E s t a t e ___________
2,000.00 D eposits and C la im s ________
Cash on hand and due from
banks ______________________
1.49
A ll other r e s o u r c e s __________
136.78
Undivided p r o f i t s ------------------ 29,259.80
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 77,275.75

Total

$ 77,275.75

59

REPORT OF THE COMMISSIONER OF BAN K IN G

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 o n d ition as o f A u g u s t 4, 1930
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real esta te_$ 31,860.84
Other --------------- 370,569.81

C a p it a l------------------------------------$ 32,000.00
Surplus and U ndivided Profits
20,358.77
D eposits:
T i m e ___________$168,028.45
T ota l Loans and D iscoun ts $402,430.65
D e m a n d _______ 141,836.42
Other R eal E s t a t e ___________ 23,800.00
A ll other r e s o u r c e s __________ 37,061.66
T otal D eposits ____________ $309,864.87
B orrow in gs from other Banks
93,145.00
7,923.67
Other L ia b ilit ie s _____________
T otal

----------------------------------$463,292.31

T otal

______________________ $463.292.31

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, 1936
D is b u r s e m e n ts

C o lle c tio n s

Liqu idation of A s s e t s _______ $164,248.21 L egal ________________________ $
16,968.05 A dm in istration ______________
A ssessm ents on s t o c k _______
Other C o lle c t io n s ____________ 32,346.48 Taxes, I n s u r a n c e ____________
Other E x p e n s e s ______________
B ills P a y a b l e ________________
P referred C la im s ____________
D ividends ____________________
Offsets _______________________
Cash on hand Dec. 30, 1936 ___
In terest on Bills P a y a b le ____
Other R eal E s t a t e ______
T o t a l _______________________ $213,562.74

4,311.66
9,878.54
8,603.59
10,723.01
93,145.00
3,957.40
43,885.65
16,052.27
18,174.76
2 939.90
1,890.96

T o t a l _______________________ $213,562.74

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, 1936
R e so u rc e s

Loans and D is c o u n t s ________
B anking H ouse and P. and F.
Other Real E s t a t e ___________
Losses _______________________
Cash on hand and due from
banks ___________ ___________
A ll oth er resources _________
Claim s fo r Int. and E x p . ___
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L ia b ilitie s

48,232.44 C a p it a l_______________________ $ 32,000.00
4,606.50
u pin; and IJn WicLd Profits 2 '.3*8.77
43,738.08 D eposits and C la im s ________ 250,252.63
92,385.82 Other L ia b ilities ____________ 59,248.07
18.174.76
50.668.77
4,053.10
$361,859.47

Total

$361,859.47

60

REPORT OF THE COMMISSIONER OF B ANK ING

ARLINGTON STATE BANK
Arlington
F. W .

P

f is 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 e r 3, 1933
L ia b ilitie s

R e so u rc e s

Capital ---------------------------------- $ 15,000.00
21,766.90
Surplus and Undivided Profits
D eposits:
$136,858.08
Tim e —
10,312.50
Demand
T ota l L oans and D iscoun ts $169,929.62
I n v e s t m e n t s __________________ 33,058.75
T
ota
l
D
eposits
-----------------$147,170.58
A ll oth er r e s o u r c e s --------------- 27,755.06
B orrow ing's from oth er Banks 46,805.95
Loans and D iscoun ts:
On real esta te— $ 54,169.62
Other __________ 115,760.00

$230,743.43

Total

$230,743.43

Total

R e c e ip ts an d D isb u r se m e n ts D a te o f C losing- to D e c e m b e r 31, 1936
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s ------------$144,691.40
Other C o lle c t io n s ____________ 10,035.00
Rec. from R.P.C. & Cred. to
Bills P a y a b le ______________
27,279.45
Cash on hand 10/3/33 ----------- 16,236.69

T o t a l _______________________ $198,242.54

L eg al ________________________ $
A dm in istration ---------------------Taxes, I n s u r a n c e -----------------Other E xpenses -------------------B ills P a y a b l e ------------------------P referred C la im s ____________
D ividends (50% ) -----------------Offsets -----------------------------------Cash on hand 12/31/36 ---------Adj. & L o s s e s ------------------------

1,286.31
2,994.03
76.06
1,784.73
76,491.96
10,495.85
65,203.49
3,184.27
11,763.28
24,962.56

T o t a l _______________________ $198,242.54

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s ----------- $
Bonds and Other S ecu rities—
Cash on hand and due from
banks ______________________
A ll other r e s o u r c e s --------------D ividend ( 5 0 % ) ---------------------T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

64,362.92 C a p it a l _______________________ $ 15,000.00
6,672.94
992.50 Surplus and Undivided Profits
D eposits and C la im s ------------- 72,126.87
152.50
11,763.28 Other L ia b ilit ie s -------------------65,203.49
16,833.61 D ividend ______________
65,203.49

$159,155.80

Total

$159,155.80

REPORT OF TH E COMMISSIONER OF B AN K IN G

61

ARNOTT STATE BANK
Arnott
N. W . H a h 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 O ctob er 28, 1931
R e so u rc e s

L ia b ilitie s

Loans and D iscou n ts:
On real esta te__$ 9,035.00
Other __________ 31,720.78
T otal Loans and D iscounts $ 40,755.78
Other R eal E s t a t e ___________
4,458.63
I n v e s t m e n t s __________________ 92,293.75
All oth er r e s o u r c e s __________
5,128.13
T otal

______________________ $142,636.29

C a p it a l_______________________ $ 10,000.00
Surplus and Undivided Profits
5,999.81
D eposits:
T i m e ___________$ 74,810.97
D e m a n d _______
26,801.51
T otal D eposits ____________ $101,612.48
Borrow ing's from other Banks 25,000.00
Other L iabilities ____________
24.00
Total

______________________ $142,636,29

R e c e ip ts an d D isb u r se m e n ts D a te o f C losing- t o D e c e m b e r 31, 1936
C o lle c tio n s

Liqu idation o f A s s e t s ______ $ 53,593.57
6,267.00
Assessm ents on s t o c k _______
Other C o lle c t io n s ____________ 13,009.37
Cash on hand 1 0 /2 8 /3 1 ______
2,502.67

Total

$ 75,372.61

D is b u r s e m e n ts

649.36
L egal ------------------------------------- $
A dm in istration ______________
3,391.36
Taxes, I n s u r a n c e ____________
877.09
Other Expenses _____________
1,036.62
B ills P ayable _______________
25,589.57
P referred C la im s ____________
212.46
D ividends ____________________ 32,789.23
Offsets _______________________
2,778.58
Cash on hand Dec. 31, 1936 _
8,048.34
Total

$ 75,372.61

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 11,401.84 C a p it a l_______________________ $ 10,000.00
B ank ing H ouse and F. and F.
2,300.00 D eposits and C la im s ________
66,677.89
Other R eal E s t a t e _____________
5,240.80 Other L ia b ilit ie s _____________
24.00
Bonds and Other S ecu rities__ 41,363.75 Stock Assessm ent P a i d ______
6,267.00
Cash on hand and due from
b a n k s ____;___________________
8,048.34
Surplus A c c o u n t _______ '._____ 14,614.16
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 82,968.89

Total

$ 82,968.89

REPORT OF THE COMMISSIONER OF B AN K IN G

62

AUGUSTA STATE BANK
Augusta
M. I. G ilb 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 A p r il 25, 1031
L ia b ilitie s

R e so u rc e s

T ota l Loans and D iscoun ts $294,606.88
Other H eal E s t a t e ----------------- 27,330.50
I n v e s tm e n ts __________________ 10,625.55
All other r e s o u r c e s --------------8,184.39
B anking H ouse _____________
9,750.00
$350,497.32

T ota l

40,000.00
5,387.21

C â i P Î t â l _____________ _________—_—____ ^

Loans and D iscoun ts:
On real esta te__$ 95,963.41
Other __________ 198,643.47

Surplus and U ndivided Profits
D eposits:
$162,371.61
Tim e
78,838.00
Demand

T otal D eposits -------------------$241,209.61
B orrow in gs from other B anks
57,400.50
Other L ia b ilities -----------------6,500.00
$350,497.32

T otal

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, 1936
D is b u r s e m e n ts

C o lle c tio n s

Liqu idation o f A s s e t s ------------$133,752.74 L eg al ------------------------------------- $
755.53 Administration ---------------------Assessm ents on s t o c k ---------Other C o lle c t io n s ------------------ 22,576.45 Taxes, Insurance -----------------Other E xpenses -------------------B ills P a y a b l e ------------------------P referred C l a i m s -----------------Dividends -----------------------------Offsets _______________________
Cash on hand 1 2 /3 1 /3 6 ---------L oss --------------------------------------$157,084.72

Total

3,864.49
10,092.14
9,941.54
7,827.64
59,202.75
1,409.85
23,746.02
12,630.62
4,736.84
23,632.83

$157,084.72

Total

C O N D E N S E D S T A T E M E N T O P C O N D IT IO N D E C E M B E R 3 1 , 1936
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s ------------$118,236.02 C a p it a l_______________________ $ 40,000.00
B a n k in g H ouse and F. and F. 11,990.45 D eposits and C la im s ------------- 211,756.07
2,314.43
Other R eal E s t a t e ___________ 75,608.33 Other L ia b ilit ie s -------------------Bonds and Other S ecu rities—
8,800.00
Cash ,on hand and due from
banks ______________________
4,736.84
A ll oth er r e s o u r c e s --------------4,391.27
Loss __________________________ 30,307.59
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$254,070.50

Total

$254,070.50

63

REPORT OF TH E COMMISSIONER OF B AN K IN G

AVOCA STATE BANK
Avoca
T. M. W e b st 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
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real esta te_$ 29,773.28
Other __________ 54,143.55
T otal Loans and D iscoun ts $
Other R eal E s t a t e ___________
I n v e s t m e n t s __________________
All oth er r e s o u r c e s __________
Total

83,916.83
10,813.00
62,264.75
14,613.54

----------------------------------$171,608.12

C a p it a l_______________________ $ 15,000.00
3,213.82
Surplus and Undivided Profits
D eposits:
T i m e ___________$ 90,712.73
44,798.64
D e m a n d _______
T ota l D eposits ____________ $135,511.37
B orrow in gs from other Banks 12,700.00
Other L ia b ilities ____________
5,182.93
Total

_______________________$171,608.12

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, 1930
C o lle c tio n s

D is b u r s e m e n ts

L iquidation o f A s s e t s _______ $ 76,884.84
Assessm ents on s t o c k _______
8,639.25
Other C o lle c t io n s ____________ 12,825.09
2,678.29
Cash on hand 9/23/32 _______

L egal ________________________ $ 1,493.61
7,766.71
A dm in istration ______________
Taxes, In s u r a n c e _____________
1,243.63
Other E x p e n s e s ______________
826.77
Bills P a y a b le ________________
13,084.90
P referred C la im s ____________
637.52
D ividends ____________________ 67,603.74
Offsets _______________________
2,143.86
Cash on hand Dec. 31, 1936 __
5,801.73
Other D is b u r s e m e n t s _______
425.00

Total

$101,027.47

Total

$101,027.47

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, 1936
R e so u rc e s

Loans and D is c o u n t s _______
B a n k in g H ouse and F. and F.
Other Real E s t a t e ___________
Cash on hand and due from
banks ______________________
A ll oth er resources _________
D eficit in S u r p lu s ____________
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L ia b ilitie s

16,486.19 C a p it a l_______________________ $ 15,000.00
1,966.00 D eposits and C la im s ________
68,377.56
6,236.60 Stock a s s e s s m e n t s ___________
8,639.25
5,801.73
312.89
61,213.40
92,016.81

Total

92,016.81

64

REPORT OF THE COMMISSIONER OF BANKING

BARRONETT STATE BANK
Barronett
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 r ii 8 , 1031
R e so u r c e s

L ia b ilitie s

C a p it a l_______________________ $ 10,000.00
Surplus and Undivided Profits
3,131.27
D e p osits:
T i m e ___:_______ $ 19,730.91
D e m a n d _______
18,924.53
T ota l Loans and D iscoun ts $ 56,072.50
I n v e s t m e n t s -_______________
7,555.98
T ota l D eposits ____________$ 38,655.44
A ll oth er resources ________
4,401.23
B orrow in gs from other Banks 15,500.00
Other L ia b ilit ie s _____________
743.00
Loans and D iscou n ts:
On real esta te__$ 39,057.85
Other _________
17,014.65

T otal

______________________ ? 68,029.71

T ota l

______________________ $ 68,029.71

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, 1936
D is b u r s e m e n ts

C o lle c tio n s

Liqu idation o f A s s e t s _______ $ 12,085.13 L eg a l ________________________ $
Assessm ents on s t o c k _______
1,195.00 A dm in istration ---------------------884.11 Taxes, I n s u r a n c e ____________
Other C o lle c t io n s ____________
Other E xpenses -------------------B ills P a y a b le ________________
P referred C la im s ____________
Cash on hand Dec. 31, 1936 —
T o t a l _______________________ $ 14,164.24

247.90
1,707.13
195.60
77.59
6,236.07
5,661.91
38.04

T o t a l ____________________:___$ 14,164.24

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, 1936
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s _______ $ 50,691.40 C a p it a l_______________________ $ 10,000.00
2,000.00
B anking H ouse and F. and F.
2,400.00 Surplus and U ndivided Profits
975.05 D eposits and C la im s ------------- 33,086.93
Bonds and Other Securities
Other L ia b ilities ____________ 15,687.67
Cash on hand and due from
38.04
banks ______________________
6,670.11
A ll oth er resources __________
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

60,774.60

Total

60,774.60

65

REPORT OF THE COMMISSIONER OF BAN K IN G

FARMERS & MERCHANTS STATE BANK
Bayfield

J ohn R. H ayes , D is tr ic t S p ecia l D e p u ty C om m ission er
C on dition ns o f O ctob er 0, 192.»
L ia b ilitie s

R e so u rc e s

C a p it a l_______________________ $ 25,000.00
Loans and D iscoun ts:
T ota l Loans and D iscoun ts $ 41.650.54 D eposits:
T i m e ___________$ 14,849.41
A ll oth er r e s o u r c e s __________
4,522.12
D e m a n d _______
8,705.53
Paid out in excess o f earn ­
ings ________________________
3,407.28
T ota l D eposits ____________ $ 23,554.94
B orrow in gs from other Banks
1,025.00
Total

______________________ $ 49,579.94

T otal

______________________ $ 49,579.94

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 3 1 , 1936
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s ----------- $ 14,679.35 Legal ________________________ $ 3,382.60
191.80
A ssessm ents on s t o c k ----------5,586.04 A dm in istration ---------------------700.00
R ecovery on ju d g m e n t s _____
765.00 Bills P ayable _______________
R
e
D
is
c
o
u
n
t
s
________________
325.00
Other C o l l e c t i o n s _,________
2,069.27
P referred Claims Int. P aid_
12.72
D ividends ____________________ 16,790.04
A djustm en t in O ffs e t s _______
84.50
Offsets _______________________
33.94
Cash on hand Dec. 31, 1936 —
1,579.06
T o t a l _________ r ____________ $ 23,099.66

T o t a l _______________________ $ 23,099.66

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 3 1 , 1936
L ia b ilitie s

R e so u rc e s

Due to c l a i m s -------------------- — $
Cash on hand and due from
banks ______________________ $ 1,579.06 To be refunded to s to ck h o ld ­
ers w hen collected f r o m
A ll oth er r e s o u r c e s __________ 12,110.00
ju dgm en ts less expense a c­
cou nt ______________________
Total

5


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

.$ 13,689.06

Total

7,182.23

6,506.83

$ 13,689.06

66

REPORT OF THE COMMISSIONER OF BAN K IN G

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 m is s i o n e r

C o n d ition as o f J u ly 12, 1932
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
9,000.00
D ep osits:
T i m e ___________$160,333.91
D e m a n d _______
65,357.00
T otal Loans and D iscoun ts $260,377.40
Other R eal E s t a t e ___________ 15,500.00
T ota l D eposits ____________ $225,692.91
Investm ents __________________ 31,000.00
A ll other r e s o u r c e s __________ 16,300.16 B orrow in gs from oth er Banks
62,800.00
Other L ia b ilit ie s _____________
5,684.65
Loans and D iscou n ts:
On real esta te__$ 60,107.66
Other _________ 200,269.74

T otal

______________________ $323,177.56

T ota l

R e ce ip ts and D isb u r se m e n ts Da

o f C lo s in g to J a n u a r y 1, 1937

C o lle c tio n s

L iquidation o f A s s e t s ________$150,527.57
A ssessm ents on s t o c k _______
16,612.00
R e covery on b o n d ___________ 13,538.28
Other C o lle c t io n s ____________ 15,974.10
RFC L o a n ____________________ 21,856.34
Cash on hand 7 /1 2 /3 2 _______
4,154.95

T o t a l _______________________ $222,663.24

______________________ $323,177.56

D is b u r s e m e n ts

B elm ont Cry C o . _____________ $
L eg al ________________________
A dm in istration ______________
Taxes, I n s u r a n c e ____________
Other E xpenses _____________
Bills P ayable _______________
P referred C la i m s ______ :_____
Loss— C o m p r o m is e ___________
D ividends ____________________
Offsets _______________________
Cash on hand Jan. 1, 1937 __
Federal T ax P a i d ___________

3,992.67
3,099.87
7,977.92
2,764.00
2,506.53
87,738.70
1,775.81
53,955.86
21,837.34
14,947.36
22,059.08
8.10

T o t a l ______________ a_______ $222,663.24

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, 1937
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s ________$100,574.34 C a p it a l_______________________ $ 20,000.00
B a n k in g H ouse and F. and F.
2,905.15 D eposits and Cla m s ________ 197,495.56
Other R eal E s t a t e ___________ 15,500.00
$217,495.56
Bonds and Other S ecu rities—
9,025.00
D eficit _______________________
Cash on hand and due from
66,052.26
banks ______________________
22,059.08
A ll other r e s o u r c e s __________
749.97
Claims Other than D e p ._____
629.76
T o t a l _______________________ $151,443.30


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T o t a l _______________________ $151,443.30

REPORT OF THE COMMISSIONER OF BANK ING

67

BIG BEND STATE BANK
Big Bend
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 A u g u s t 10, 1032
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real esta te_$ 32,053.98
Other --------------- 77,591.34

C a p it a l------------------------------------$ 15,000.00
Surplus and Undivided Profits
11,410.21
D eposits:
T i m e ---------------- $ 93,438.64
T otal Loans and D iscoun ts $109,645.32
D e m a n d _______
32,021.55
Other R eal E s t a t e ___________
2,633.66
In v e s tm e n ts __________________ 43,405.75
T otal D e p o s it s _____________$125,460.19
A ll oth er r e s o u r c e s __________ 19,617.21 B orrow in gs from oth er Banks 18 000.00
Other L ia b ilities ____________
5,431.54
Total

----------------------------------$175,301.94

T otal

---------------------------------- $175,301.94

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, 1936
C o lle c tio n s

D is b u r s e m e n ts

L iqu idation o f A s s e t s ________$133,747.00 L eg a l ------------------------------------- $ 1,789.35
Assessm ents on s t o c k _______
14,370.00 A dm inistration ______________
5,533.95
Other C o lle c t io n s ____________ 10,256.06 Taxes, I n s u r a n c e ____________
639.47
Other E xpenses _____________
4,233.41
B ills P a y a b l e ________________
18,078.28
P referred C la im s ____________
2.026.48
D ividends ____________________ 72,783.84
Offsets _______________________
3.234.48
Cash on hand Dec. 31, 1936 _
2,313.79
Losses _______________________
47,740.01
Total
$158,373.06
Total
$158,373.06

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, 1930
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 24,625.61 C a p it a l------------------------------------$
B a n k in g H ouse and P. and P.
5,150.42 Surplus and Undivided Profits
Other R eal E s t a t e ___________
2,633.66 D eposits and C la im s ________
Bonds and Other S e cu ritie s-1,965.00 Other L ia b ilit ie s _____________
Cash on hand and due from
banks ______________________
2,313.79
All oth er r e s o u r c e s _________
32.72
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 36,721.20 i

Total

15,000.00
41,694,26

49,012.74
14,402.72

$ 36,721.20

REPORT OF THE COMMISSIONER OF BANKING

68

BLACK H AW K STATE BANK

Black Hawk
J. M.

M

e ie 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 arch 2, 15)33
L ia b ilitie s

R e so u rc e s

Capital ______________________ $ 15,000.00
Surplus and Undivided Profits
2,533.80
D eposits:
T i m e ___________$ 54,354.29
34,207.91
D e m a n d _______
T otal Loans and D iscoun ts $ 61,635.77
Other R eal E s t a t e ----------------2,800.00
T otal D eposits ------------------ $ 88,562.20
I n v e s t m e n t s ___________________ 35,179.89
5,600.00
All oth er r e s o u r c e s ___________ 11,480.34 Borrow ing's from other Banks
$111,096.00
Total
$111,096.00
Total
Loans and D iscou n ts:
On real esta te__$ 16,730.60
Other __________ 44,905.17

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, 1930
D is b u r s e m e n ts

C o lle c tio n s

Liqu idation o f A s s e t s ----------- $ 91,161.46
Assessm ents on s t o c k ----------9,033.49
Other C o lle c t io n s ____________
5,084.45
Cash on hand on date of
c l o s i n g _____________________
9,778.86
R.F.C. Loan ( P a i d ) __________
4,675.11

$119,733.37

Total

L eg al ________________________ $
600.88
A dm in istration ---------------------2,809.18
290.49
Taxes, Insurance -----------------Other E xpenses _____________
1,451.81
B ills P a y a b l e --------------9,714.48
6 100.87
P referred C la im s ------------------ D ividends (75% ) -----------------62,455.37
Offsets _______________________
6,304.71
Cash on hand Dec. 31, 1936 —
89.25
Loss in Conversion of Assets
29,916.33
$119,733.37

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 B E R 31, 1936
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s ----------- $
B ank ing H ouse and F. and F.
Bonds and Other S ecu rities—
Cash on hand and due from
banks ______________________
All other r e s o u r c e s - 31,346.07
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

9,546.09 C a p it a l_______________________ $ 15,000.00
896.35
4,354.00 Surplus and Undivided Profits
470.10 D eposits and C la im s ------------- 20,875.67
Stock A ssessm ent C ollected—
9,033.49
89.25

.$ 45,805.51

Total

.$ 45,805.51

REPORT OF THE COMMISSIONER OF B AN K IN G

69

BLUE MOUNDS STATE BANK
Blue Mounds
Jo 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 sio n e r -

C o n d ition as o f F e b r u a r y 27, 1033
R e so u rc e s

L ia b ilitie s

Loans and D iscou n ts:
On real esta te_$ 3,359.50
Other --------------- 42,546.11

Capital ----------------------------------$ 15,000.00
Surplus and Undivided Profits
10,386 35
D eposits:
T i m e ---------------- $ 28,335.95
T otal Loans and D iscoun ts $ 45,905.61
D e m a n d --------- 18,080.94
Other R eal E state __________
2 500 00
I n v e s t m e n t s --------------------------- 24’490.00
T ota l D eposits ____________ $ 46,416 89
A ll other r e s o u r c e s __________
5,843 92 B orrow in gs from oth er Banks
6,500.00
Other L ia bilities ____________
436.29
Total ----------------------------------$ 78,739.53
T otal ---------------------------------- ? 78,739.53

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, 1936
C o lle c tio n s

D is b u r s e m e n ts

Liqu idation o f A s s e t s _______ $ 22,133.84 L eg al ------------------------------------- $ 1,096.73
Assessm ents on s t o c k _______
9,376.72 A dm in istration ______________
3,038.87
R ecovery on bond ___________
1,055.00 Taxes, I n s u r a n c e ____________
187.03
Other C o lle c t io n s ____________ 21,078.46 Other E xpenses _____________
1.046.86
B ills P ayable _______________
6,531.60
P referred C l a i m s ____________
933.02
D ividends ____________________ 33,648.21
Offsets _______________________
1,975.83
Cash on hand Dec. 31, 1936 _
4.887.86
In terest Paid ________________
298.01
Total
$ 53,644.02
Total
$ 53,644.02

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n ts ________ $ 18,502.52 C a p it a l------------------------------------$ 15,000.00
B anking H ouse and F. and F.
3,875.00 D eposits and C la im s ________
11,311.37
Other R eal E s t a t e ___________
1.359.50 Stock A s s e s s m e n ts ___________
9,376.72
Cash on hand and due from
banks ______________________
4,887.86
A ll other resources _________
17.46
Surplus ______________________
7,045.75
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 35,688.09

Total

$ 35,688.09

70

REPORT OF THE COMMISSIONER OF BAN K IN G

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 a s o f F e b r u a r y 21, 1934
L ia b ilitie s

R e so u rc e s

Loans and D iscou n ts:
On real esta te_$ 12,971.00
Other __________ 29,808.92
T otal Loans and D iscoun ts $42,779.92
3,300.00
Other R eal E s t a t e ___________
I n v e s t m e n t s __________________ 57,134.31
A ll other r e s o u r c e s __________
270.96
T o t a l _______________________ $103,485.19

C a p it a l_______________________ $ 15,000.00
Surplus and Undivided Profits
7,314.26
D e p osits:
T otal D e p o s i t s ____________ 81,170.93

T o t a l _______________________ $103,485.19

R e c e ip ts and D isb u r se m e n ts D a te o f Closing- to J a n u a r y 2, 1937
D is b u r s e m e n ts

C o lle c tio n s

Liqu idation o f A s s e t s ____ ___ $ 14,820.70 A dm in istration ______________ $ 1,794.39
303.28
Assessm ents on s t o c k _______
7,858.61 Taxes, In s u r a n c e _____________
2,429.57
R e covery on bond ___________ 13,778.86 Other E xpenses ______________
43.93
2,706.97 P referred C l a i m s ____________
Other C o lle c t io n s ____________
31,504.39
D ividends -----------------------------748.16
Offsets ____________________ ___
2.341.42
Cash on hand Dec. 30, 1936 —
Total

39,165.14

39,165.14

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, 1936
R e so u rc e s

Loans and D is c o u n t s _______ :
Banking- H ouse and F. and F.
Other R eal E s t a t e ___________
Bonds and Other S e cu ritie s...
Cash on hand and due from
banks ______________________
A ll oth er resources __________
Exp. __________________________
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

28,759.22
2.900.00
2.500.00
40,471.16
2,341.42
314.89
4,527.24

$ 81,813.93

L ia b ilitie s

C a p it a l_______________________ ! 15,000.00
7,314.26
Surplus and Undivided Profits
D eposits and C la im s ------------- 48,918.38
2,722.68
Other L iabilities -----------------7,858.61
A ssessm ents C o l l .____________

Total

$ 81,813.93

REPORT OF THE COMMISSIONER OF BANKING

71

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
R e so u rc e s

L ia b ilitie s

Loans and D iscou n ts:
Capital ----------------------------------$ 12,500.00
T ota l Loans and D iscoun ts $230,396.36 Surplus and Undivided Profits
6,494.88
Other R eal E s t a t e _____________
7,122.00 D eposits:
In vestm ents __________________ 15,997.50
T ota l D eposits ____________ $165,936.34
A ll oth er r e s o u r c e s ___________
8,598.34B orrow in gs from oth er Banks
77,182.98
T otal

---------------------------------- $262,114.20

T otal

______________________ $262,114.20

R e c e ip ts a n d D isb u r se m e n ts D a te o f C losin g; t o D e c e m b e r 31, 1936
C o lle c tio n s

L iqu idation o f A s s e t s ________$211,430.55
Assessm ents on s t o c k ______
9.715.10
R e co v e ry on b o n d ___________ 15,997.50
Other C o lle c t io n s ____________ 13,749.65
Cash on hand 2/23/33 _______
1,249.04

Total

$252,141.84

D isb u r s e m e n ts

L eg al ------------------------------------- $
A dm in istration ______________
Taxes, I n s u r a n c e ____________
Other E x p e n s e s ______________
B ills P ayable _______________
P referred Claims ____________
D ividends ------------------------------Offsets -----------------------------------Cash on hand Dec. 31, 1936 __
L oss --------------------------------------T otal

3,000.63
5,861.32
2,029.57
7,090.46
77,182.98
350.30
63,265.29
10,547.86
3,175.04
79,638.39

$252,141.84

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 31, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 32,380.76 C a p it a l------------------------------------$ 12,500.00
B ank ing H ouse and F. and F.
61.75 D eposits and C la im s ________
92,419.50
Cash on hand and due from
banks ______________________
3,175.04
Surplus and Undivided Profits
D eficit _____________________
69,301.95
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$104,919.50

Total

$104,919.50

72

REPORT OE THE COMMISSIONER OF BANKING

FARMERS STATE BANK

Brandon
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 as of F e b r u 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
D eposits:
T i m e __________ $147,618.84
D e m a n d _______ 53,056.06
T otal Loans and D iscoun ts $104,788.95
Other R eal E s t a t e ___________ 12,000.00
T otal D eposits ____________ $200,674.90
Investm ents __________________ 118,662.50
A ll oth er r e s o u r c e s __________ 20,808.38 B orrow in g s from oth er Banks 20,340.00
Loans and D iscoun ts:
On real esta te_$ 27,295.00
Other __________ 77,493.95

T ota l

______________________ $256,259.83

T ota l

______________________ $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 s in g to D e c e m b e r 31, 1936
D is b u r s e m e n ts

C o lle c tio n s

Liquidation o f A s s e t s ------------$170,789.57 L eg al ------------------------------------- $ 1,052.09
6.876.63
A ssessm ents on s t o c k _______
17,912.84 A dm in istration ---------------------1,341.57
Other C o lle c t io n s ____________ 21,867.43 Taxes, I n s u r a n c e -----------------2,342.72
Other Expenses -------------------20.340.00
Bills P ayable ----------------------P referred C la im s ____________ 14.472.01
D ividends ------------------------------ 156,042.01
4,818.18
Offsets -----------------------------------3.284.63
Cash on hand Dec. 31, 1936 __
$210,569.84

Total

$210,569.84

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, 1936
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s ----------- $ 11,558.88 Capital _______________________ $ 20,000.00
B a n k in g H ouse and F. and F.
7,655.50 D eposits and Claim s ----------- 27,769.92
Cash on hand and due from
banks ______________________
3,284.63
Undivided P r o f i t s ____________ 25,270.91
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 47,769.92

Total

.$ 47,769.92

REPORT OF THE COMMISSIONER OF BANKING

73

HOME STATE BANK
Bristol
A lfred N e w l a n d e r , S p ecia l D e p u ty C om m ission er

C on dition as o f D e c e m b e r 1 , 1932

R esources

L ia b ilitie s

Loans and D iscoun ts:
On real estate__$ 17,690.00
Other --------------- 132,892.26

C a p it a l------------------------------------$ 10,000.00
Surplus and Undivided Profits
8,170 82
D eposits:
T i m e -----------------$ 92,072.36
T otal Loans and D iscoun ts $150,582.26
42,717.29
D e m a n d _______
Other R eal E s t a t e ___________
305 20
I n v e s tm e n ts __________________
7,695.00
T ota l D eposits ------------------ $134,789.65
A ll oth er r e s o u r c e s _________
22,’ 758!88 B orrow ing's from other Banks 20,000.00
Other L ia b ilit ie s _____________
8,380 87
Total
$181,341.34
T otal ---------------------------------- $181,341.34

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 3 1 , 1930
C o lle c tio n s

D isb u r s e m e n ts

L iqu idation o f A s s e t s _______ $ 68,751.53
Assessm ents on s t o c k _______
9,605.00
R e co v e ry on b o n d ___________
L564.70
Other C o lle c t io n s ____________
2,148.40
Cash and due from b a n k s ____
2,957.82

L eg al ------------------------------------- $
564.23
A dm in istration ______________
5,260.95
Taxes, I n s u r a n c e ____________
760.99
Other Expenses _____________
2,372:43
B ills P ayable _______________
2 0 ,0 0 0 . 0 0
P referred C la im s ____________
213.75
D ividends ________________
38,370.18
Offsets _______________________
7,578.31
Cash on hand Dec. 31, 1936 __
5,245.45
Losses _________________
4,661.16
$ 85,027.45
Total
.$ 85,027.45

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, 193 «
R e so u rc e s

Loans and D is c o u n t s _______
B ank ing H ouse and F. and F.
Other R eal E s t a t e ___________
Bonds and Other S e c u r it ie s __
Cash on hand and due from
banks ______________________
A ll other resources _________
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

82,558.55
8,029.00
2,363.28
300.00

L ia b ilitie s

C a p it a l------------------------------------$ 10,000.00
Surplus and Undivided Profits
7 ,901.4«
89 875 56
D eposits and C la im s ________
9 605 00
Other L iabilities ____________

5,245.45
3,079.82
$101,576.10

Total

$101,576.10

74

REPORT OF THE COMMISSIONER OF BANKING

BRULE STATE BANK
Brule
J o h n R. H a y e s , 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 M a y 2, 1933
L ia b ilitie s

R e so u rc e s

Capital ______________________ $ 10,600.00
Surplus and Undivided Profits
3,000 00
D eposits:
T i m e ___________$ 9,834.47
D e m a n d _______
12,292.06
T otal Loans and D iscoun ts $ 47,763.29
Other R eal E state __________
1,837.75
T ota l D eposits ____________ $ 22,126.53
I n v e s t m e n t s __________________
2,667.73
A ll oth er resources ________
8,036.81 B orrow ing's from other Banks 24,796.10
Other L ia b ilit ie s _____________
387.95
Loans and D iscou n ts:
On real esta te_$ 7,994.10
Other __________ 39,774.19

$ 60,310.58

T otal

60,310.58

T otal

R e c e ip ts an d D is b u r s e m e n ts D a te o f Closing- to D e c e m b e r 31, 1930
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s ----------- $
Assessm ents on s t o c k ---------Other C o lle c t io n s -----------------Cash date o f c l o s i n g -----------

7,873.65
45.00
2,395.92
2,078.53

T o t a l _______________________ $ 12,393.10

L eg al ________________________ $
A dm inistration ______________
Taxes, Insurance ____________
Other Expenses -------------------Interest on B ills P a y a b l e ___
R.F.C. E x p e n s e ______________
P referred a d ju s tm e n t s ______
Offsets _______________________
Cash on hand Dec. 31, 1936 __
Special T rust A c c o u n t s _____
Com prom ise L o s s ____________

5.00
1,283.93
219.28
6,660.jj7
1,413.76
759.14
77.53
71.67
169.43
982.84
749.95

T o t a l _______________________ $ 12,393.10

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, 193(5
R e so u rc e s

Loans and D is c o u n t s ----------B a n k in g H ouse and F. and F.
Other R eal E s t a t e ----------------Bonds and Other S ecu rities—
Cash on hand and due from
banks ---------------------------------A ll other resources --------------T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L ia b ilitie s

40,950.50
1,530.50
1,837.75
2,617.73

C a p it a l_______________________ $ 10,000.00
Surplus and Undivided Profits
2,862.80
D eposits and C la im s ------------- 21,426.16
Other L ia b ilit ie s _____________
2,555.06
B ills P ayable _________________ 18,129.28
6.25
169.43
7,873.64

$ 54,979.55

Total

54,979.55

REPORT OF THE COMMISSIONER OF BANKING

75

STATE BANK OF BUTLER
Butler
T. P. M c D e r m o t t , S p ecia l D e p u t y C om m ission er
C o n d ition as o f J a n u a ry 18, 1933
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real esta te__$ 53,483.66
Other --------------- 19,905.64

Capital ----------------------------------$ 10,000.00
Surplus and U ndivided Profits
3,619.79
D eposits:
T i m e ---------------- $ 34,260.65
T otal Loans and D iscoun ts $ 73,389.30
17,637.01
D e m a n d _______
I n v e s t m e n t s __________________ 18,412.94
A ll oth er r e s o u r c e s __________
7,800.33
T otal D eposits ------------------ $ 51,897.66
Borrow ing's from oth er B anks 34,069.78
Other L ia b ilities ____________
15.34
Total
.$ 99,602.57
Total
$ 99,602.57

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, 1936
C o lle c tio n s

D is b u r s e m e n ts

L iqu idation o f A s s e t s _______ $ 71.878.02 L osses on Bonds & HOLC
A ssessm ents on s t o c k _______
2,664.39
Settlem ents _______________ $ 5,233.62
Other C o lle c t io n s ____________
4,791.93 A dm in istration ______________
3,210.00
Cash January 18, 1933 ______
265.42 Taxes, I n s u r a n c e ____________
73.37
Other E xpenses _____________
2,053.80
B ills P a y a b le ________________
34 069.78
P referred Claims ____________
152.20
D ividends ____________________ 29,005.14
Offsets _______________________
3,533.51
Cash on hand Dec. 31, 1936 __
120.28
In terest Paid _______________
2,148.06
Total
79,599.76
Total
$ 79,599.76

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 19,176.28 C a p it a l------------------------------------$ 10,000.00
B a n k in g H ouse and F. and F.
7,500.00 Surplus and Undivided Profits
Bonds and Other Secu rities__
292.41
D eficit -------------------------------2,800.98
Cash on hand and due from
D eposits and C la im s ________
19,999.81
banks ---------------------------------109.53
A ll oth er r e s o u r c e s __________
120.61
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 27,198.83

Total

$ 27,198.83

76

REPORT OF THE COMMISSIONER OF BANKING

CABLE STATE BANK

Cable
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 i s 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 it a l_______________________ $ 20,000.00
Surplus and U ndivided Profits
1,801.64
D eposits:
T i m e ___________$ 22,704.12
D e m a n d _______
45,313.49
T otal Loans and D iscoun ts $ 65,842.60
I n v e s t m e n t s __________________
8,769.29
Total D eposits ------------------ $ 68,017.61
A ll oth er r e s o u r c e s __________ 15,347.37
Other L ia b ilit ie s -------------------139.01
Loans and D iscoun ts:
On real esta te_$ 16,291.32
Other _________
39,551.28

T o t a l _______________________ $ 89,958.26

T o t a l _______________________ $ 89,958.26

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, 1936
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s _______ $ 40,094.75
Assessm ents on s t o c k ______
8,650.00
Other C o lle c t io n s ____________
1,701.45
Cash date o f c lo s in g -________
4,114.24

Total

54,560.44

214.50
L egal ------------------------------------- $
2,128.74
A dm in istration ______________
Taxes, Insurance ____________
367.21
Other E xpenses _____________
198.78
Com prom ise Loss ___________ 13,397.25
1,894.23
P referred Claim s ____________
D ividends ____________________ 31,228.75
Offsets _______________________
4,195.05
Cash on hand Dec. 31, 1936 —
765.74
A dju stm en t __________________
170.19
Total

54,560.44

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, 193«
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s _______ $ 35,913.73 C a p it a l _______________________ $ 20,000.00
B a n k in g H ouse and P. and F.
6,942.50 D eposits and Claim s _______
30,819.63
Bonds and Other S ecu rities__
368.15 Other L ia b ilities ____________
338.81
Cash on hand and due from
banks _______________
765.74
A ll other r e s o u r c e s __________
7,168.32
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 51,158.44

T ota l

$ 51,158.44

REPORT OF THE COMMISSIONER OF BANKING

77

FARMERS STATE BANK
Calumet Harbor
J. C.

S t a d l e r , S p ecia l D e p u ty C om m ission er

C o n d ition ns ot' J a n u a ry 12, 1031
R e so u rc e s

L ia b ilitie s

Loans and D iscou n ts:
On real esta te__$ 51,195.00
Other _________
73,515.51

C a p it a l------------------------------------$ 20,000.00
Surplus and U ndivided Profits
13,610.45
D eposits:
T i m e ----------------$115,620.01
T otal Loans and D iscoun ts $124,710.51
D e m a n d ----------- 51,987.03
Other R ea l E s t a t e ___________ 10,514.00
Investm ents __________________ 92,753.00
T otal D eposits ------------------ $167,607.04
A ll oth er r e s o u r c e s __________ 15,539.98 B orrow ing's from other Banks 42,300.00
T ota l

----------------------------------$243,517.49

T otal

----------------------------------$243,517.49

R e c e ip ts an d D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1930
C o lle c tio n s

Liqu idation o f A s s e t s ________$196,036.30
A ssessm ents on s t o c k ______
17,131.96
Other C o lle c t io n s _________
18,526.16
D rafts O u ts ta n d in g __________
5.01

Total

$231,699.43

D is b u r s e m e n ts

L egal ______________________ _ $ 1,312.02
A dm in istration ______________
8,441.51
Taxes, I n s u r a n c e ____________
686.13
Other Expenses _____________
910.85
B ills P a y a b le ________________
42,300.00
P referred C la i m s ____________ 13,015.54
D ividends ____________________ 156,057.97
Offsets _______________________
4.824.08
Cash on hand Dec. 31, 1936 __
4,151.33
Total

$231,699.43

C O N D E N S E D S T A T E M E N T O E C O N D IT IO N D E C E M B E R 31, 193e
R e so u rc e s

Loans and D is c o u n t s _______ $
B ank ing H ouse and F.and F.
Other R eal E s t a t e _
1,500.00
Bonds and Other Secur ties__
Cash on hand and due from
hanks ________________
Undivided P r o f i t s _ 12.745.95
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L ia b ilitie s

1,959.87 C a p it a l----------------------------------- $ 20,000.00
4,079.00 D eposits and C la im s ________
8,368.65
3,932.50
4,151.33

$ 28,368.65

Total

$ 28,368.65

REPORT OF THE COMMISSIONER OF BANKING

FARMERS STATE BANK
Calvary
M. H. H a b e r m a n , 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 4, 1932
L ia b ilitie s

R e so u rc e s

C a p it a l------------------------------------? 15,000.00
31,836.49
Surplus and Undivided Profits
D eposits:
$127,176.49
T i m e __
26,317.83
Demand
T otal Loans and D iscounts $168.583.50
8,739.49
Other R eal E s t a t e ---------------T
otal
D
eposits
-------------------$153,494.32
.
42,180.58
I n v e s tm e n ts -------------------------30,000.00
16,347.12 B orrow ing's from other Banks
A ll oth er resou rces -------------Other L ia b ilities -----------------5,519.88
Loans and D iscoun ts:
On real esta te— $ 29,700.00
Other __________ 138,883.50

$235,850.69

Total

$235,850.69

Total

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, 193(5
C o lle c tio n s

Liqu idation o f A s s e t s ---Assessm ents on stock —
Other C o lle c t io n s ----------Cash 6/4/32 --------------------

D is b u r s e m e n ts

$166,572.91 L eg al ________________________ $
4,154.43 A dm in istration ---------------------11,794.70 Taxes, I n s u r a n c e ------------- -—
9,217.33 Other Expenses -------------------B ills P ayable ----------------------D ividends -----------------------------Offsets _______________________
Cash on hand Dec. 31, 1936 —
Losses E stablished --------------$191,739.37

Total

1,167.26
2,548.01
507.20
3,011.97
30,000.00
17,235.99
95,993.88
8,742.73
32,532.33

$191,739.37

T otal

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s ----------- $ 39,591.17 C a p it a l_______________________ $ 15 000.00
2,264.51
Other R eal E state — :----------- 10,739.49 Surplus and U ndivided Profits
40,254.45
Bonds and Other S ecu rities—
2,600.00 D eposits and C la im s ________
-----------------4,154.43
Other
L
ia
b
ilities
Cash on hand and due from
banks ---------------------------------8,742.73
.$ 61,673.39
Total
$ 61,673.39
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

REPORT OF THE COMMISSIONER OF BANKING

79

THE CASSVILLE BANK
Cassville
T . M. W

ebster ,

S p ecia l D e p u ty C om m ission er

C o n d ition as o f June 15, 1034
R e so u rc e s

Loans and D iscoun ts:
On real esta te_$ 63,475.00
Other _________
46,215.51

L ia b ilitie s

C a p it a l_______________________ $ 30,000.00
Surplus and Undivided Profits
1,019.69
D ep osits:
T i m e _____ ______ $ 79,015.81
D e m a n d ________ 35,849.43

Total Loans and D iscoun ts $109,690.51
Other R eal E s t a t e ___________
4,422.45
I n v e s t m e n t s __________________ 10,757.55
Total D eposits ___________ $114,865.24
A ll other r e s o u r c e s __________ 21,231.84 Other L ia b ilit ie 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 losing- to D e c e m b e r 31, 1930
C o lle c tio n s

D is b u r s e m e n ts

L iqu idation o f A s s e t s _______ $ 38,286.24
Assessm ents on s t o c k ______
5,071.74
Other C ollection s ___________
5,683.03
Cash on hand 6 /1 5 /3 4 ______
17,536.85

L eg al ------------------------------------- $ 1,146.11
4,207.94
A dm in istration ______________
Taxes, I n s u r a n c e ____________
691.20
2,277.76
Other E x p e n s e s _____ ,_______
P referred C la im s ____________
201.92
41,385.36
D ividends --------------------------Offsets -----------------------------------7,603.42
Cash on hand Dec. 31, 1936 _
9,064.15

T o t a l _______________________ $ 66,577.86

T o t a l ------------------------------------$ 66,577.86

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, 193«
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 78,855.99 C a p it a l------------------------------------$ 30 000.00
B anking H ouse and F. and F.
3,062.65 D eposits and C la im s ________
65,933.96
Other R eal E s t a t e ___________
4,422.45 Stock A s s e s s m e n t ___________
5,071.74
Bonds and Other S ecu rities__
605'. 60
Cash on hand and due from
9,064.15
banks __________________
D eficit in S u r p lu s __________
4,994.86
T o t a l _______________________ $101,005.70


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T o t a l -----------.----------------------- $101,005.70

80

REPORT OF THE COMMISSIONER OF BANKING

FARMERS & MERCHANTS STATE BANK
Chetek
W. E. L uell, S p ecia l D e p u ty C om m ission er
C o n d ition ns o f A u g u s t 4, 1931
R e so u rc e s

Loans and D iscou n ts:
On real esta te__$139,897.88
Other __________ 112,802.98
T ota l Loans and D iscounts $252,700.86
I n v e s tm e n ts __________________
1,040.05
All oth er r e s o u r c e s __________ 41,481.91

T ota l

______________________ $295,222.82

L ia b ilitie s

Capital ______________________ $ 35,000.00
Surplus and Undivided Profits
4,178.15
D e p osits:
Tim e __________$ 86,933.29
D e m a n d _______ 125,314.75
T ota l D e p o s it s _____________ $212,248.04
Borrow ing's from other Banks
34,796.63
Other L ia b ilit ie s _____________
9,000.00
T otal

______________________ $295,222.82

»V c e ip ts and D is b u r s e m e n ts D a te o f C lo sin g to D e c e m b e r 31, 193(5
C o lle c tio n s

D is b u r s e m e n ts

L iqu idation o f A s s e t s ________$183,534.66
A ssessm ents on s t o c k ______
10,483.13
Cash 8/4/31 __________________
9,762.95
Other C o lle c t io n s ____________ 24,447.37

C om prom ise L o s s ____________ $103,207.09
809.06
L egal ------------------------------------A dm in istration ______________
9,489.55
Taxes, I n s u r a n c e ____________
7,665.08
10,965.46
Other E xpenses _____________
B ills P ayable _________
34,796.63
3,344.87
P referred C la im s ____________
D ividends ____________________ 29,624.39
Offsets _______________________
13,963.87
Cash on hand Dec. 31, 1936 __
4,970.61
Paym ent on B u i l d i n g ______
9,391.50

T o t a l ------------------------------------$228,228.11

T o t a l ------------------------------------$228,228.11

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, 193(5
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 48,688.04 C a p it a l-------------------- --------------- $ 35,000.00
B a n k in g H ouse and F. and F. 30,966.50 D eposits and C l a i m s _______ 170,583.86
Other R eal E s t a t e ___________ 15,194.82 Other L ia b ilit ie s ______ ______
94.2/
Undivided P r o f i t s ____________ 104,826.69
Cash on hand and due from
banks ---------------------------------4,970.61
A ll oth er r e s o u r c e s __________
1,031.47
T o t a l ------------------------------------$205,678.13


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T o t a l ----------------------------------- $205,678.13

81

REPORT OF THE COMMISSIONER OF BANKING

CHILI STATE BANK
Chili
H. M. Bergemann, S p ecia l D e p u ty C om m ission er
C o n d ition ns o f O ctob er 15, 1032
L ia b ilitie s

R e so u rc e s

C a p it a l ________________ ______ $ 13,000.00
Loans and D iscou n ts:
7,668.42
T otal Loans and D iscounts $102,685.37 Surplus and Undivided Profits
Other R eal E s t a t e ----------------8,400.00 D ep osits:
T
i
m
e
___________$
51,759.77
Investm ents --------------------------- 30,883.45
D e m a n d _______
34,051.16
A ll oth er r e s o u r c e s --------------4,875.66
T otal D eposits ------------------ $ 85,810.93
B orrow in gs from oth er B anks
35,975.00
Other L ia b ilities -----------------4,390.13
T otal

______________________ $146,844.48

T otal

______________________ $146,844.48

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 8 1 , 1930
D is b u r s e m e n ts

C o lle c tio n s

499.40
L iqu idation o f A s s e t s ----------- $ 82,521.11 L eg al ________________________ $
5,484.10
A ssessm ents on s t o c k ---------8,563.69 A dm in istration ---------------------616.67
Other C ollection s ---------------7,660.16 Taxes, Insurance ____________
Other Expenses -------------------1,915.60
B ills P ayable _______________
35,975.00
P referred C la im s -----------------2,045.42
D ividends ------------------------------- 24,164.19
Offsets _______________________
5,354.88
Cash on hand Dec. 31, 1936 —
5,721.55
Loss __________________________ 16,968.15
$ 98,744.96

Total

$ 98,744.96

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, 193«
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s ----------- ! 47,091.97 C a p it a l_______________________ ! 13,000.00
8,864.68
4,264.50 Surplus and Undivided Profits
B ank ing H ouse and F. and F.
80,825.77
8,275.00 D eposits and C la im s ________
Other R eal E s t a t e --------------12,703.21
Other L iabilities -----------------Cash on hand and due from
5,721.55
banks ---------------------------------A ll oth er resources ------------- 50,040.64
Total

6


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$115,393.66

T otal

$115,393.66

82

REPORT OF THE COMMISSIONER OF BANKING

THE PEOPLES BANK
Clear Lake
M erto n F . B a k e r , S p ecia l D e p u ty C om m ission er

C o n d ition a s o f D e c e m b e r 13, 1932
L ia b ilitie s

R e so u rc e s

C a p it a l _______________________ $ 25,000 00
Surplus and Undivided Profits
7,089.40
D e p osits:
Tim e ___________$ 74,870.47
D e m a n d ----------- 29,962.82
T otal Loans and D iscounts $107,722.12
Other R eal E state --------------9,237.85
Total D eposits ____________ $104,833.29
I n v e s t m e n t s --------------------------- 44,930.94
A ll oth er r e s o u r c e s -------------._ 15,310.61 B orrow ing's from oth er B anks 32,084.00
Other L ia b ilities -----------------8,194.83

Loans and D iscou n ts:
On real esta te— $ 35,640.26
Other _________
72,081.86

T otal

______________________ $177,201.52

Total

______________________ $177,201.52

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, 193G
D is b u r s e m e n ts

C o lle c tio n s

251.37
L iqu idation o f A s s e t s ------------$139,263.62 L eg al ________________________ $
4,100.00
Assessm ents on s t o c k ---------9,532.66 A dm in istration ---------------------1,665.31
Other C o lle c t io n s -----------------11,774.30 Taxes, I n s u r a n c e -----------------4,105.58
1,404.72 Other Expenses _____________
A djustm en t --------------------------32,084.00
B ills P ayable ----------------------P referred Claim s ____________
2,513.68
D ividends ____________________ 51,780.56
Offsets _______________________
4,593.12
Cash on hand Dec. 31, 1936 —
800.76
Cash O.D. Dec. 13. 1932 _____
886.97
Losses Charged O f f --------------- 59,193.95
$161,975.30

T otal

$161,975.30

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 B E R 31, 193«
R e so u rc e s

L ia b iü tie s

Loans and D is c o u n t s ----------- $ 24,503.31 C a p it a l _______________________ $ 25,000.00
2,400.00 D eposits and C l a i m s ----------- 53 150.26
Other R ea l E s t a t e ___________
Bonds and Other S e cu ritie s-1,635.14 Other L iabilities ____________ 14,101.04
Cash on hand and due from
banks ______________________
800.76
A ll other r e s o u r c e s --------------64.14
Undiv. P ro f. Def. & L o s s ___ 62,847.95
T o t a l ____________________ ____$ 92,251.30


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T o t a l _______________________ $ 92,251.30

83

REPORT OF THE COMMISSIONER OF BANKING

STATE BANK OF CORNELL
Cornell

J. R. H a y e s , D is tr ic t S p ecia l D e p u ty C om m ission er
C o n d ition ns o f O ctob er 7, 1932
R e so u rc e s

L ia b ilitie s

Loans and D iscounts.
On real esta te__$ 51,589.13
Other --------------- 57,721.37

C a p it a l_______________________ $ 25,000.00
Surplus and Undivided Profits
3,027.36
D eposits:
T i m e ___________$ 31,563.11
Total Loans and D iscoun ts $109,310.50
53,702.88
D e m a n d _______
Other R eal Estate __________ 10,373.06
Investm ents __________________ 14,138.38
T otal D eposits ____________ $ 85,265.99
A ll oth er r e s o u r c e s _________ 14,092.50 B orrow in gs from other Banks
32,709.36
Other L ia b ilities -----------------1,911.73
T ota l

______________________ $147,914.44

T ota l

---------------------------------- $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 3 1 , 193G
C o lle c tio n s

D is b u r s e m e n ts

Liqu idation o f A s s e t s _______ $ 68,982.32
Assessm ents on s t o c k ______
4,574.60
R e co v e ry on b o n d ___________
6,196.26
3,058.53
Other C o lle c t io n s ____________
Unpaid D rafts applied on
Bills P ayable _____________
3,642.87
Bills Payable, R ice Lake, W is.
5,500.00

Bills P ayable R ice L a k e ____ $ 5,500.00
L eg al ________________________
1,311.36
A dm in istration ______________
5,222.92
Taxes, I n s u r a n c e ____________
1,521.11
2,177.37
Other Expenses _____________
B ills P ayable _______________
32,709.36
P referred C la im s ____________
9,324.62
Interest Paid, B ills P a y a b le __
2,870.71
Offsets _______________________
8,285.78
Cash on hand Dec. 31, 1936 __
2,729.43
C om prom ise L o s s ______ _____ 20,301.92

T o t a l _______________________ $ 91,954.58

T o t a l _______________________ $ 91,954.58

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 54,491.44 C a p it a l_______________________ $ 25,000.00
7,988.87 D eposits and Claim s ________
B a n k in g H ouse and F. and F.
71,929.77
7,555.00 Other L ia b ilities ____________
Other R eal E s t a t e ---------------51.00
3,186.05
Bonds and Other S ecu rities—
Cash on hand and due from
2,729.43
banks ______________________
A ll other resources _________
562.93
Undivided P r o f i t s ____________ 20,467.05
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 96,980.77

Total

$ 96,980.77

84

REPORT OF THE COMMISSIONER OF BANKING

STATE BANK OF CRIVITZ
Crivitz
J e ss ie K . C l e a r y , S p ecia l D e p u ty C om m ission er

C o n d ition as o f D e c e m b e r

1927
L ia b ilitie s

R e so u rc e s

C a p it a l _______________________ $ 25,000.00
Surplus and Undivided Profits
2,000.00
D eposits:
T i m e ___________$ 79,376.77
Demand _______
33,693.04
T otal Loans and D iscounts $ 95,551.68
Other R eal E s t a t e ___________ 25,560.65
Total
D
eposits
____________
$113.069.81
I n v e s tm e n ts __________________ 12,955.53
5,455.33
A ll oth er r e s o u r c e s __________ 13,924.54 Borrow ing's from oth er Banks
Other L ia b ilit ie s _____________
2,467.26
Loans and D iscou n ts:
On real esta te_$ 41,323.19
Other __________ 54,228.49

T ota l

______________________ $147,992.40

T otal

________________ ______ $147,992.40

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, 1936
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s ----------- $ 82,138.47
Assessm ents on s t o c k ---------- 18,241.56
Other C o lle c t io n s ____________
364.89
“ Sh ort” ______________________
1.45

808.16
L eg al ------------------------------------- $
8,758.02
A dm in istration ______________
Taxes, I n s u r a n c e ____________
2,577.55
Other Expenses _____________
5,439.72
D ividends ____________________ 79,185.75
Offsets _______________________
3,774.06
Cash & item on hand Dec. 31,
1936 ________________________
203.11

T o t a l _______________________ $100,746.37

T o t a l _______________________ $100,746.37

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 3 1 , 1936
L ia b ilitie s

R P G n iir o A a

Loans and D is c o u n t s ----------- $ 21,702.12
P. and F. ____________________
4,379.22
Other R eal E s t a t e ----------------- 16,364.75
Bonds and Other S ecu rities—
1 057.32
Cash on hand and due from
banks ______________________
203.11
A ll other r e s o u r c e s __________ 46,360.57
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 90,067.09

C a p it a l_______________________ $ 25,000.00
Surplus and U ndivided Profits
4,473.01
D eposits and C la im s ________
32,675.09
Other L ia b ilit ie s _____________ 27,918.99

Total

$ 90,067,09

REPORT OF THE COMMISSIONER OF BANKING

85

ISLAND CITY STATE BANK
Cumberland
J o h n R. H a y e s , 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 J a n u a ry 10, 1929
R e so u r c e s

L ia b ilitie s

Loans and D iscoun ts:
C a p it a l------------------------------------$ 25,000.00
T otal Loans and D iscoun ts $226,281.42 Surplus and Undivided Profits
5,268.50
Other R eal E s t a t e ___________ 16i90(h00 D eposits:
A ll other r e s o u r c e s __________ 14,353.82
T i m e ----------------$149,435.03
D e m a n d _______
52,831.71
T otal D eposits ____________$202,266.74
B orrow in gs from oth er Banks 25,000.00
T ota l

---------------------------------- $257,535.24

T ota l

---------------------------------- $257,535.24

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, 1936
C o lle c tio n s

Liquidation o f A s s e t s ________$109,133.13
A ssessm ents on s t o c k ______
7,275.00
Charge O f f ----------------------------5,705.00
Other C o lle c t io n s ____________ 13,649.14

Total

$135,762.27

D is b u r s e m e n ts

L egal ------ ------------------------------- $
A dm in istration ______________
Taxes, I n s u r a n c e ____________
Other Expenses _____________
B ills P a y a b le ------------------------Com prom ise L o s s ____________
D ividends -----------------------------Offsets -----------------------------------Cash on hand Dec. 31, 1936 _
Total

2,074.19
9,702.65
10,461.17
3,192.08
25,391.44
32,916.27
37,253.79
5,047.65
9,723.03

$135,762.27

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, 193«
R e so u rc e s

Loans and D is c o u n t s _______ $ 67,246.32
Other R eal E s t a t e ___________ 10,472.25
Cash on hand and due from
banks ---------------------------------9,723.03
A ll other r e s o u r c e s __________ 103,205.60
3rd D ividend ________________
9,817.29
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$200,464.49

L ia b ilitie s

C a p it a l------------------------------------$ 25,000.00
Surplus and Undivided Profits
5,000.00
D eposits and C la im s ________ 170,015.76
Other L ia b ilit ie s
________
448.73
Total

$200,464.49

86

REPORT OF THE COMMISSIONER OF BANKING

STATE BANK OF CYLON
Cylon
J o h n R. H a y e s , 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£ J u ly 1, 1027
L ia b ilitie s

R e so u rc e s

C a p it a l------------------------------------$ 10,000.Ou
'joans and D iscou n ts:
T ota l Loans and D iscoun ts $ 34,052.91 D eposits :
T i m e ___________$ 10,715.76
Other R eal E s t a t e ___________
2,000.00
D e m a n d _______
24,496.05
in v e s tm e n t s __________________
4,221.00
All other r e s o u r c e s --------------4,937.90
T otal D e p o s i t s ------------------ $ 35,211.81
.$ 45,211.81

T otal

? 45,211.81

Total

R e c e ip ts a n 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 , 1936
D is b u r s e m e n ts

C o lle c tio n s

Liquidation o f A s s e t s ----------- $ 17,993.54 L eg al ______________________ — $
887.45 A dm in istration ---------------------A ssessm ents on s t o c k ----------Other C o lle c t io n s ____________
1,807.02 Taxes, I n s u r a n c e -----------------Other Expenses -------------------P referred C la im s -----------------D ividends ---------Offsets -----------------------------------Cash on hand Dec. 31, 1936 —
T ota l *______________________ $ 20,688.01

201.05
5,132.49
391.26
42.13
1,298.81
9,346.38
2,910.59
1,365.30

T o t a l _______________________ $ 20,688.01

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 3 1 , 1936
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s ----------- $ 16,580.51 C a p it a l___________________
B a n k in g H ouse and F. and F.
3,936.75 D eposits and C la im s -----Cash on hand and due from
b a n k s ---------------------------------1,365.30
9,758.04
A ll other r e s o u r c e s --------------Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 31,640.60

Total

10, 000.00

21,640.60

$ 31,640.60

87

REPORT OF THE COMMISSIONER OF BANKING

STATE BANK OF DANE
Dane
F. W. P f is t e r , S p ecia l D e p u ty C om m ission er
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 D iscoun ts:
On real esta te_$ 15,151.90
Other _________ 142,625.87

Capital ______________________ $ 12,000.00
Surplus and Undivided Profits
190.46
D ep o s its :
T i m e __________ $135,164.82
D e m a n d _______
9,909.69
T ota l Loans and D iscoun ts $157,777.77
I n v e s t m e n t s __________________
4,392 50
T ota l D eposits ____________ $145,074.51
A ll oth er r e s o u r c e s __________ 17,695.88
B orrow ing's from oth er Banks
15,538.51
Other L ia b ilities ____________
7,062.67
T otal

$179,866.15

T otal

$179,866.15

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, 1936
C o lle c tio n s

D is b u r s e m e n ts

Liqu idation o f A s s e t s ________$122,331.36 L egal ------------------------------------- $ 1,210.55
A ssessm ents on s t o c k ______
8,672.94 A dm in istration ______________
5,349.22
Other C o lle c t io n s ___________
8,119.88 Taxes, I n s u r a n c e ____________
106.23
Other Expenses _____________
1,252.79
B ills P ayable _______________
11,265.51
19.94
P referred C la i m s ____________
D ividends _____________
74,124.41
Offsets ____________________
9,640.54
1,557.47
Cash on hand Dec. 31, 1936 __
34,597.52
Loss by Com prom ise & A d j___
T o t a l _______________________ $139,124.18

T o t a l _____________ __________$139,124.18

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, 1936
R e so u rc e s

Loans and D is c o u n t s _______
B ank ing H ouse and P. and F.
Bonds and Other S ecu rities_
Cash on hand and due from
banks ______________________
A ll other r e s o u r c e s __________
D ividends (40 % ) ____________
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L ia b ilitie s

43,039.31 C a p it a l--------------------- .------------- $
4,500.00 Surplus and Undivided Profits
100.00 D eposits and C la im s ________
Other L ia b ilit ie s
__________
1,557.47 Dep. Lisb. P a i d ______ .'_______
48,582.66
74,114.41
$171,893.85

Total

12,000.00
10,277.64
66.460.71
9,041.09
74,114.41

$171,893.85

88

REPORT OF THE COMMISSIONER OF BANKING

DE FOREST STATE BANK
De Forest
F. W.

P

f is t e r ,

S p ecia l D e p u ty C om u iission er

C o n d itio n as o f J u n e 12, 1934
R e so u rc e s

L ia b ilitie s

Loans and D iscou n ts:
On real esta te_$ 73,014.35
Other __________ 179,461.75
T otal Loans and D iscoun ts $252,476.10
Other R eal E s t a t e ___________ 32,390.00
I n v e s tm e n ts __________________ 74,162.08
A ll other r e s o u r c e s __________ 21,112.68
T o t a l ------------------------------------$380,140.86

C a p it a l_______________________ $ 50,000.00
Surplus and Undivided Profits
3,502.31
D eposits:
T i m e ___________$201,621.06
D e m a n d _______
82,518.54
Total D e p o s it s _____________ $284,139.60
B orrow in g’s from oth er banks 29,089.35
Other L ia b ilit ie s _______ L_____ 13,409.60
T o t a l _______________________ $380,140.86

R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1936
C o lle c tio n s

L iqu idation o f A s s e t s ________$312,997.04
A ssessm ents on s t o c k ______
37,623.30
Other C o lle c t io n s ____________ 11,843.13
Cash on hand 6 /1 2 /3 4 _______
10,804.51

Total

$373,267.98

D is b u r s e m e n ts

Loss by Com prom ise & Adj.__$
L eg al ________________________
A dm in istration ______________
Taxes, Insurance, Int. Dep.
Liab. _______________________
Other Expenses _____________
B ills P a y a b l e ________________
P referred C la im s ____________
D ividends ____________________
Offsets _______________________
Cash on hand Dec. 31, 1936 __
U. S. Bond & R. E. L i q . ______
Total

90.445.29
4,843.63
4,962.34
7,525.55
1,691.20
29,089.35
40,624.03
96,001.52
14,218.79
20,721.98
63.143.30

$373,267.98

C O N D E N S E D S T A T E M E N T O E C O N D IT IO N D E C E M B E R 31, 193«
R e so u rc e s

Loans and D is c o u n t s _______ ; 77,620.90
Banking- H ouse and F. and F.
5,000.00
Other R eal E state _________
20,743.30
Bonds and Other S ecu rities__ 14,305.20
Cash on hand and due from
banks ______________________
20,338.61
A ll oth er resources __________ 113,680.32
D ividends (40 % ) ____________ 96,001.52
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$347,689.85

L ia b ilitie s

C a p it a l_______________________ $ 50,000.00
Surplus and Undivided Profits 18,786.66
D eposits and C la im s ________ 144,097.52
Other L ia b ilities ____________ 38,804.15
D ef Liab. Pd. ( 4 0 % ) ________
96,001.52

Total

$347,689,85

89

REPORT OF THE COMMISSIONER OF BANKING

CITY AND FARMERS BANK
Dodgeville
J. P.

H

am m aklund

, S p ecia l D e p u ty C om m ission er

C o n d ition as o f N o v em b e r 10, 1927
L ia b ilitie s

R e so u rc e s

C a p it a l------------------------------------$ 25,000.00
Loans and D iscou n ts:
5,696.97
T otal Loans and D iscoun ts $112,409.09 Surplus and Undivided Profits
Other R eal E s t a t e __________
7,250.00 D eposits:
T i m e ___________$ 46,690.77
All other r e s o u r c e s _________
22,042.27
D e m a n d _______
52,343.88
T otal D e p o s i t s ____________ $ 99,034.65
B orrow in gs from other Banks
5,000.00
Other L ia b ilit ie s _____________
6,969.74
Total

$141,701.36

Total

$141,701.36

R e ce ip ts an d D isb u r se m e n ts R a te o f C losin g- to D e c e m b e r 31, 1930
C o lle c tio n s

D is b u r s e m e n ts

L iqu idation o f A s s e t s ----------- $ 92,568.01 T otal Expenses _____________ $ 15,933.84
Assessm ents on s t o c k _______
14,118.07 Other Expenses _____________
5,138.96
Other C o lle c t io n s ____________ 14,429.91 B ills P ayable ___________,____
5,000.00
W. J. P arry J u d g m e n t______
9,620.49 Losses _________________________ 11,138.28
80,408.13
Cash on hand Nov. 10, 1927 __
5,411.22 D ividends _____________________
Offsets _______________________
7,553.02
Cash on hand Dec. 31, 1936 __ 10,975.47
Total

$136,147.70

$136,147.70

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 B E R 31, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 28,243.41 C a p it a l_______________________ $
B ank ing H ouse and P. and F.
3,050.00 Surplus and U ndivided Profits
D eposits and C la im s ________
Cash on hand and due from
b a n k s ______________________ 10,975.47 Other L ia b ilit ie s _____________
A ll other r e s o u r c e s _______ __ 39,370.27 Stock A s s e s s m e n t ___________
W . J. P a rry J u d g m e n t______
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 81,639.15

Total

25,000.00
1,961.06
20,095.49
10,844.04
14,118.07
9,620.49

$ 81,639.15

90

REPORT OF THE COMMISSIONER OF BANKING

BANK OF DOWNING

Downing
E. C. A jer, S p ecia l D e p u ty C om m ission er
C o n d ition as o f June 30, 1933
R e so u rc e s

L ia b ilitie s

Loans and D iscou n ts:
C a p it a l_______________________ $ 15,000.00
Total Loans and D iscoun ts $132,752.36 Surplus and Undivided Profits
987.49
Other R eal E s t a t e ___________ 14,182.85 D eposits:
I n v e s tm e n ts __________________ 13,475.00
T i m e __________ $109,444.43
A ll oth er r e s o u r c e s __________ 20,017.89
D e m a n d _______ 25,253.18
T ota l D e p o s i t s ____________ $134,697.61
B orrow ing's from oth er Banks 29,743.00
T otal

______________________ $180,428.10

T ota l

______________________ $180,428.10

R e c e ip ts an d D is b u r s e m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1936
C o lle c tio n s

D is b u r s e m e n ts

L iquidation o f A s s e t s _______ $ 86,499.49 C om prom ises ________________ $ 29,499.99
562.17
A ssessm ents on s t o c k ______
3,265.61 L eg al ________________________
Other C o lle c t io n s ____________
5,059.09 A d m in is t r a t io n ____ __________
5,309.92
Cash date o f c l o s i n g ________
6,526.79 Taxes, I n s u r a n c e ____________
2,037.04
4,603.47
Other Expenses _____________
Bills P a y a b l e ________________
29,743.00
P referred C l a i m s ____________
208.47
D ividends ____________________ 19,472.04
Offsets _______________________
5,579.62
4,059.34
Cash on hand Dec. 31, 1936 _
Cash I t e m s ___________________
275.92
Total

$101,350.98

Total

$101,350.98

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 59,692.92 C a p it a l _______________________ $ 15,000.00
B a n k in g H ouse and F. and F.
8.632.00 D eposits and C la im s ________ 112,099.63
Other R eal E s t a t e ___________ 11,878.75
Bonds and Other S ecu rities__
3.395.00
Cash on hand and due from
banks ______________________
4,059.34
A ll oth er resources __________
4,604.60
Profit & Loss ( D e b i t ) _______
34,837.02
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$127,099.63

Total

$127,099.63

91

REPORT OF THE COMMISSIONER OF BANKING

FARMERS & MERCHANTS STATE BANK
Downs ville

Geo. J. Schafer,

S p e c ia l D e p u ty C om m ission er

C o n d ition a s o f M arch 1, 1934
L ia b ilitie s

R e so u rc e s

C a p it a l_______________________ $ 10,000.00
Loans and D iscoun ts:
2,481.99
T ota l Loans and D iscou n ts- $133,737.22 Surplus and U ndivided Profits
11,964.39 D eposits:
Other R eal E s t a t e ---------------T
i
m
e
___________$
95,169.38
.
35,685.16
I n v e s tm e n ts --------------------------D e m a n d _______
56,956.93
All oth er resources ---------------. 16,324.02
T otal D e p o s it s -------------------- $152,129.31
B orrow in gs from other Banks 27,615.49
Other L ia b ilities -----------------5,484.00
$197,710.79

Total

$197,710.79

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, 1930
D is b u r s e m e n ts

C o lle c tio n s

Liqu idation o f A s s e t s ------------$103,480.21
A ssessm ents on s t o c k ---------6,533.25
R e covery on b o n d ----------------- 24,178.36
Other C o lle c t io n s ____________
5,048.35
Cash on hand and due from
banks 3 / 1 / 3 4 -------9,210.38

$148,450.55

Total

In terest Paid ---------------------L eg a l ---------------------------------A dm in istration -----------------Taxes, I n s u r a n c e --------------Other Expenses ---------------B ills P ayable -------------------P referred C la i m s --------------D ividends --------------------------Offsets & $650 to O R E -----Cash on hand Dec. 31, 1936
Loss A ccou n t — ----------------Scrip L ia b ilit y --------------------

1,192.69
234.17
3,885.37
1,252.02
2,086.58
27,700.49
22,955.67
36,807.71
7,106.41
3,515.27
38,684.17
3,030.00
$148,450.55

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, 1930
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s ----------- i 45,228.89 C a p it a l_______________________ $ 10,000.00
2,368.16
2,343.50 Surplus and U udivided Profits
B a n k in g H ouse and F. and F.
13,207.39 D eposits and C la im s ------------- 86,096.58
Other R eal E s t a t e ---------------6,533.25
4,410.00 Other L ia b ilities ____________
Bonds and Other S ecu rities—
2,454.00
Scrip L ia b ilit y _______________
Cash on hand and due from
8,420.36
3,515.27 D ouble L i a b i l i t y -------------------banks ---------------------------------A ll other resources --------------- 47,167.30
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$115,872.35

Total

$115,872.35

92

REPORT OF THE COMMISSIONER OF BANKING

DOYLESTOWN STATE BANK, Delinquent

Doylestown
A. J. S perley,

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 •October 18, 1033
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real esta te__$ 23,810.00
Other --------------- 34,524.61

Capital ---------------------------------- $ 10,000.00
Surplus and Undivided Profits
3,444.64
D eposits:
T i m e ___________$ 85,111.31
T otal Loans and D iscoun ts $ 58,334.61
D e m a n d _______
6,423.16
Other R eal E state __________ 19,250.00
I n v e s tm e n ts __________________ 29,463.75
T otal D e p o s i t s ____________ $ 91,534.47
A ll oth er r e s o u r c e s _________
14,789 91 B orrow in g s from other Banks 10,837.10
Other L ia b ilities ____________
6,022.06
Total

----------------------------------$121,838.27

T ota l

______ _______________ $121,838.27

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, 1936
C o lle c tio n s

L iqu idation o f A s s e t s ___
Assessm ents on s t o c k __
R e covery on bond ______
Other C o lle c t io n s _______
R.F.C. Loan _____________

D is b u r s e m e n ts

$ 66,307.87 L eg al ------------------------------------- $
8,758.41 A dm in istration ______________
25,335.50 Taxes, Insurance ___________
8,676.73 Other Expenses _____________
27,633.92 B ills P ayable and Int. P a i d P referred Claims ____________
D ividends -----------------------------Offsets ------------- 1_____________
Cash on hand Dec. 31,1936 ___
Scrip L ia b ility ______________
U. S. Check T ax p a i d _______
Adj. L. & D. ■
—- O.R.E.— HOLC
Bonds— E. Y on kie & A. E.
D ayton Comp, s e t t l e . _____
R e f’ d b ox r e n t _______________

T o t a l ------------------------------------$136,712.43

962.60
5,200.93
2,241.13
2,670.66
39,181.51
18,098.94
41,647.80
2,864.83
2,288.69
6,000.00
32.76
15,521.58
1.00

T o t a l ------------------------------------ $136,712.43

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, 1936'
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 18,822.61 C a p it a l------------------------------------$ 10,000.00
B a n k in g H ouse and F. and F.
4,845.28 Surplus and Undivided Profits 37,105.23
Other R eal E s t a t e ___________ 11,794.00 D eposits and C la im s ________
62,525.34
Bonds and Other S e c u r itie s ..
3,607.50 Stock A ssessm ents C ollected
8,758.41
Cash on hand and due from
banks ______________________
2,288.69
A ll other resources __________
2,820.44
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 44,178.52

Total

.? 44,178.52

93

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
L ia b ilitie s

R e so u rc e s

C a p it a l_______________________ $ 25.000.00
13,067.14
Surplus and Undivided Profits
D ep osits:
T i m e ___________$ 42,158.17
D e m a n d _______
56,059.67
T otal Loans and D iscoun ts $ 98,516.64
Other R eal E s t a t e ___________ 10,000.00
T ota l D eposits ____________$ 98,217.84
I n v e s tm e n ts __________________ 21,113.00
All other r e s o u r c e s __________ 16,655.34 Borrow ing's from other Banks 10,000.00
Loans and D iscou n ts:
On real estate__$ 33,156.11
Other __________ 65,360.53

Total

$146,284.98

$146,284.98

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 ce m b e r 31, 1938
C o lle c tio n s

D is b u r s e m e n ts

54,489.60
13,233.13
17,116.39
12 268.01

L egal ________________________ $ 1,378.86
A dm in istration ---------------------4,050.00
Taxes, I n s u r a n c e -----------------2,314.56
Other E xpenses _____________
2,386.80
P referred Claim s P a i d ---------- 10,511.42
D ividends 85% P a i d ------------- 70,245.97
6,045.54
Offsets _______________________
Cash on hand Dec. 31, 1936 —
173.98

T o t a l _______________________ $ 97,107.13

T o t a l _______________________ $ 97,107.13

L iquidation o f A s s e t s _______ $
A ssessm ents on s t o c k ______
R e co v e ry on b o n d ___________
Other C o lle c t io n s ____________

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, 1 9 3 «
L ia b ilitie s

li,csourccK

Loans and D is c o u n t s _______ $ 33,836.20 C a p it a l----------------------- .----------- $ 25,000.00
B anking H ouse and P. and P.
4,015.17 Surplus and Undivided Profits 33,698.01
Other R eal E s t a t e ----------------- 11,169.67 D eposits and C la im s ------------- 13,224.67
Cash on hand and due from
banks ________________
173.98
A ll oth er r e s o u r c e s __________ 22,727.66
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 71,922.68

Total

$ 71,922.68

94

REPORT OF THE COMMISSIONER OF BANKING

E A U CLAIRE SAYINGS 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 a s o f J u ly 13, 1931
R e so u rc e s

Loans and D iscou n ts:
T ota l Loans and D iscoun ts $681,437.51
Other R eal E s t a t e ___________ 28,985.82
I n v e s t m e n t s __________________ 81,057.44
A ll oth er r e s o u r c e s __________
1,589.45
Cash --------------------------------------- 24,022.47
Total

______________________ $817,092.69

L ia b ilitie s

C a p it a l_______________________ $ 50,000.00
Surplus and Undivided Profits
45,457.16
D e p osits:
T ota l D eposits ____________ $673,613.11
B orrow in gs from oth er B anks 47,240.00
Other L ia b ilities _____________
782.42
Total

______________________ $817,092.69

R e c e ip ts an d D is b u r s e m e n ts D a te o f C losin g- to D e c e m b e r 31, 1930
C o lle c tio n s

Liquidation o f A s s e t s _____ __$394,229.35
Assessm ents on s t o c k ______
23,521.10
Other C o lle c t io n s ____________ 29,825.14
Cash at c l o s i n g _____________ 15,724.78

Total

.$463,300.37

D is b u r s e m e n ts

L eg al ________________________ $ 5,187.10
A dm in istration ______________
12,570.36
Taxes, I n s u r a n c e ____________ 11,113.71
Other Expenses _____________
5,622.53
B ills P a y a b l e ________________
47,202.00
P referred C l a i m s ______
8,221.46
D ividends ____________________ 165,050.21
Offsets _______________________ 203,151.13
Cash on hand Dec. 31, 1936 __
5,181.87
T o t a l _______________________ $463,300.37

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $300,761.06 C a p it a l------------------------------------$ 50,000.00
B ank ing H ouse and F. and F.
9.418.53 D eposits and C la im s ________ 498,633.13
Other R eal E state __________ 68,256.26
Bonds and Other S ecu rities_ 89,180.95
Cash on hand and due from
banks _______ _______________
5,181.87
A ll oth er resources _________
5,942.17
D eficit _______________________
69,892.29
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$548,633.13

Total

$548,633.13

95

REPORT OF THE COMMISSIONER OF BANKING

EAU CLAIRE STATE BANK
Eau Claire

A. C. K oneazny ,

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 ep te m b e r 19, 1931
L ia b ilitie s

R e so u rc e s

Loans and D iscoun ts:
On real e s ­
tate ______ $ 183,421.63
Other ______ 1,950,571.34
T otal Loans and D is­
counts __________________ $2,133,992.97
Other R eal E s t a t e ________
14,508.37
Investm ents ________
1,139,680.72
All other r e s o u r c e s ----------114,564.42
T otal _____________________ $3,402,746.48

Capital _____________________
S u r p l u s and U ndivided
P r o f i t s ____________________
D ep osits:
T i m e _______ $1,684,294.21
D e m a n d ____
951,107.41

$200,000.00
32,593 86

T otal D e p o s it s ___________ $2,635,401.62
B orrow in gs from o t h e r
Banks ____________________
534,751.00
T otal _____________________ $3,402,746.48

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, 193G
D isb u r s e m e n ts

C o lle c tio n s

11,392.21
Liqu idation o f A s s e t s -------- $2,233,369.93 L e g a l -----------------------------------'
28 409.49
A d m in is t r a tio n -------------------A ssessm ents on s t o c k ----------------------------77,590.63
13,184.12
Other C ollection s __________
260,595.58 Taxes, I n s u r a n c e ---------------30,216.10
Other
E
xpenses
-----------------Cash— Sept. 19, 1931 ______
114,564.42
741,429.69
Bills P ayable ---------------------135,423.35
P referred C la im s ---------------D iv id e n d s ------ ---------------------- 1,132,092.17
274,560.80
O f fs e t s ______________________
74,898.48
Cash on hand Dec. 31, 1936_
11,571.56
In terest Paid ---------------------232,942.59
Losses & A d ju s t m e n ts -------$2,686,120.56

Total

$2,686,120.56

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, 193G
L ia b ilitie s

Loans and D is c o u n t s ----------$ 749,753.76 Capital ________________ _____ $ 200,000.00
Other Real E s t a t e _________
42,432.31 D eposits and C l a i m s ---------- 1,161,663.52
Bonds and Other Securities
125,050.77
Cash on hand and due from
banks ____________________
74,898.48
A ll other r e s o u r c e s ------------1,510.63
368,017.57
Loss _______________ __________
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$1,361,663.52

Total

$1,361,663.52

96

REPORT OF THE COMMISSIONER OF BANKING

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 i s s i o n e r

C o n d ition as o f S ep te m b e r 19, 1931
R e so u rc e s

L ia b ilitie s

Loans and D iscou n ts:
C a p it a l_______________________ $ 50,000.00
T otal Loans and D iscoun ts $427,340.23 Surplus and Undivided Profits
9,055.68
Other R eal E s t a t e ___________
4,388.00 D eposits:
I n v e s t m e n t s --------------------------- 56,885.50
T ota l D e p o s i t s ____________ $439,255.24
A ll other r e s o u r c e s __________ 31,419.65 B orrow in gs from oth er B anks 50,900.00
Cash --------------------------------------- 29,177.54
T otal

------------- -------------------- $549,210.92

T otal

______________________ $549,210.92

R e ce 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 3 1 , 1936
C o lle c tio n s

L iqu idation o f A s s e t s ________$330,426.47
Assessm ents on s t o c k ______
42.349.82
Other C o lle c t io n s ____________ 33,975.00
Cash at closing' _____________ 29,177.54

Total

.$435,928.83

D is b u r s e m e n ts

L eg al ________________________ $ 3,378.52
A dm in istration ______________
8,950.75
9,282.72
Taxes, I n s u r a n c e ____________
Other E xpenses _____________
3,161.86
Bills P a y a b le ________________
50,900.00
P referred C la im s ____ :_______ 17,826.29
D ividends ____________________ 221,471.14
Offsets --------------------------------------115,110.81
Cash on hand Dec. 31, 1936 __
5,846.74
Total

.$435,928.83

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s ________$121,845.18 C a p it a l________________________$ 50,000.00
B ank ing H ouse and F. and F. 29,070.00 Surplus and Undiv ded Profits
6,227.51
Other R eal E s t a t e ___________ 14 006.77 D eposits and C la im s ________ 148.889.06
Bonds and Other S e cu ritie s-- 33,557.48
Cash on hand and due from
banks ---------------------------------5,846.74
A ll .other r e s o u r c e s __________
790.40
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$205,116.57

Total

$205,116.57

97

REPORT OF THE COMMISSIONER OF BANKING

ELAND STATE BANK
Eland
Chas.

C. V ogl , S p ecia l D e p u ty C om m ission er
C o n d ition a s 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 it a l_______________________ $ 15,000.00
Surplus and Undivided Profits
203.39
D e p o s its :
T i m e ___________$ 47,398.40
11,896.66
D e m a n d _______
T otal Loans and D iscounts $ 41,812.12
Other R eal E s t a t e ___________
8,510.70
T ota l D e p o s it s ___________59,295.06
I n v e s t m e n t s __________________ 24,118.34
A ll oth er r e s o u r c e s __________
57.29

Loans and D iscoun ts:
On real esta te__$ 11,874.92
Other _________
29,937.20

$ 74,498.45

T otal

$ 74,498.45

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 J a n u a r y 2, 1937
D is b u r s e m e n ts

C o lle c tio n s

L iquidation o f A s s e t s _______ $ 11,224.85
Assessm ents on s t o c k ---------3,203.98
R e co v e ry on b o n d ___________
3,584.83
Other C o lle c t io n s ____________
1,490.27

A dm in istration ----------------------$ 1,755.12
Taxes, Insurance ____________
555.70
2,493.15
Other E xpenses -------------------D ividends ____________________ 11,654.92
Cash on hand Dec. 30, 1936 __
3,045.04

T o t a l _______________________ $ 19,503.93

T o t a l _______________________ $ 19,503.93

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, 1936
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s ----------- $ 32,932.19
B anking H ouse and F. and F.
5,932.30
Other R eal E s t a t e ___________
6,165.78
Bonds and Other S ecu rities— 14,601.21
Cash on hand and due from
banks ______________________
3,045.04
A ll oth er r e s o u r c e s __________
57.29
E x p e n s e ______________________
4,803.97
Total

7


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 67,537.78

C a p it a l_______________________ $ 15,000.00
203.39
Surplus and Undivided Profits
D eposits and C la im s ------------- 47,640.14
4,694.25
Other l i a b i l i t i e s --------------------

Total

.$ 67,537.78

98

REPORT OF THE COMMISSIONER OF BANKING

ELDERON STATE BANK
Elderon
H.

R. Cappel,

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 2 1 , 1934
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real esta te__$ 8,392.57
Other __________ 20,920.33

C a p it a l_______________________ $ 10,000.00
Surplus and U ndivided Profits
4,745.56
D e p osits:
T i m e ___________$ 25,294.16
T otal Loans and D iscoun ts $29,312.90
T otal D e p o s it s _____________$ 25,294.16
Other Real E s t a t e ___________
5,285.84 Other L ia b ilit ie s _____________
305.91
I n v e s t m e n t s __________________
2,145.00
A ll oth er r e s o u r c e s __________
3,601.89
T otal

40,345.63

T otal

40,345.63

R e c e ip ts an d D is b u r s e m e n ts D a te o f C lo sin g to D e c e m b e r 3 1 , 1936
C o lle c tio n s

D is b u r s e m e n ts

L iqu idation o f A s s e t s _______ $ 18,883.41 L egal ------------------------------------- $
261.85
Other C ollection s ___________
2,686.22 A dm in istration ______________
2,841.98
Cash on hand 2 /2 1 /3 4 _______
5.58 Taxes, I n s u r a n c e ________
197.01
Other Expenses _____________
376.26
P referred Claims
________
76.43
D ividends ------------------------------- 16,392.60
Offsets _______________________
305.91
1,114.60
Cash on hand Dec.31, 1936 ___
Loss on Sale o f B o n d s ______
8.57
T o t a l ------------------------------------$ 21,575.21

T o t a l ------------------------------------$ 21,575.21

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 31, 193«
R e so u rc e s

Loans and D is c o u n t s _______ $ 13,989.89
B a n k in g H ouse and F. and F.
3,500.00
Other R eal E s t a t e ___________
2,187.06
Cash on hand and due from
banks ---------------------------------1,114.60
A ll oth er r e s o u r c e s __________
5,469.42
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 26,260.97

L ia b ilitie s

C a p it a l------------------------------------$ 10,000.00
Surplus and Undivided Profits
4,745.56
8,825.13
D eposits and C la im s ________
Other L ia b ilit ie s _____________
2,690.28
Total

$ 26,260.97

REPORT OF THE COMMISSIONER OF BANKING

99

BANK OF ELEVA
Eleva
W. G.

R a t h k e , 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 11, 1930
R e so u rc e s

L ia b ilitie s

Loans and D iscou n ts:
On real esta te_$114,969.13
Other --------------- 187,474.18
T ota l Loans and D iscoun ts $302,443.31
Other R eal E s t a t e ___________
5,300.00
I n v e s t m e n t s __________________
100.00
A ll other r e s o u r c e s __________ 20,370.67
T otal ----------------------------------- $328,213.98

C a p it a l----------------------------------- $ 25,000.00
Surplus and Undivided Profits
7,147.29
D eposits:
T ota l D e p o s it s _____________$253,066.69
B orrow in gs from oth er B anks 43,000.00

T o t a l ----------------------------------- $328,213.98

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, 1936
C o lle c tio n s

D is b u r s e m e n ts

L iquidation o f A s s e t s ________$225,971.40 L eg al ------------------------------------- $ 5,606.58
A ssessm ents on s t o c k _________________ 7,186.65
7,767.39
A dm in istration ______________
Other C o lle c t io n s ____________ 17,906.70 Other E xpenses _____________
8,242.29
B ills P a y a b le ------------------------- 43,000.00
P referred C la im s ____________
33.27
D ividends ------------------------------- 90,271.76
Offsets and L o s s e s ___________ 91,434.48
Cash on hand Dec. 31, 1936 __
4,708.98
Total
$251,064.75
T otal
$251,064.75

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s ________$101,783.65 C a p it a l------------------------------------$ 25,000.00
Cash on hand and due from
Surplus and U ndivided Profits
8,796.76
banks ---------------------------------4,708.98 D eposits and C la im s ________ 225,894.36
All other r e s o u r c e s __________ 83,069.23 Other L ia b ilit ie s _____________ 20,175.77
D ividends -----------------------------90,305.03
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$279,866.89

Total

$279,866.89

100

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 as o f A p r il 17, 1031
L ia b ilitie s

R e so u rc e s

C a p it a l_______________________ $ 25,000.00
Loans and D iscou n ts:
754.76
Surplus and Undivided Profits
T ota l Loans and D iscoun ts $166,607.18
I n v e s t m e n t s __________________
600.00 D eposits:
T otal D e p o s it s -------------------- $132,960.76
A ll oth er resources ------------- 13,906.14
28,225.00
Cash __________________________
5,827.20 B orrow in gs from other Banks
$186,940.52
T otal
$186,940.52
Total

R e c e ip ts an d D is b u r s e m e n ts D a te o f Closing- to D e c e m b e r 31, 1930
D is b u r s e m e n ts

C o lle c tio n s

Liquidation o f A s s e t s ----------- $ 94,312.36 L egal ------------------------------------- $ 2,295.47
5,733.84
6,979.50 A dm in istration ---------------------A ssessm ents on s t o c k --------2,175.50
9,422.08 Taxes, Insurance -----------------Other C o lle c t io n s -----------------2,792.02
Other Expenses -------------------28,225.00
Bills P a y a b l e ------------------------1,467.45
P referred C la im s -----------------D ividends ------------------------------ 37,824.38
28,539.32
Offsets -----------------------------------1,660.96
Cash on hand Dec. 31, 1936 —
$110,713.94

Total

$110,713.94

Total

C O N D E N S E D S T A T E M E N T O E C O N D IT IO N D E C E M B E R 31, 1930
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s ----------- $ 71,927.64 C a p it a l_______________________ $ 25,000.00
B a n k in g H ouse and P. and F. 13,129.90 D eposits and C la im s ------------- 89,158.34
Other R eal E s t a t e ___________
3,020.00
Cash on hand and due from
banks ______________________
1,660.96
A ll oth er r e s o u r c e s --------------384.50
24,035.34
D eficit _______________________
$114,158.34
T otal
$114,158.34
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

101

REPORT OF THE COMMISSIONER OF BANKING

STATE BANK OF EMERALD
Emerald

E.

C. A j e r , S p ecia l D e p u ty C om m ission er
C o n d ition as o f S e p tem b er 20, 1933

R e so u rc e s

Loans and D iscoun ts:
On real esta te_$ 8,110.75
26,013.45
Other _________
T otal Loans and D iscounts
Other R eal E s t a t e __________
A ll oth er resources _________
P /L at Closing- ( D e b i t ) ______
T otal

L ia b ilitie s

Capital ______________________ $ 10,000.00
Surplus and Undivided Profits
1,500.00
D eposits:
T i m e ___________$ 11,425.65
34,124.20
D e m a n d _______
16,915.80
4,349.69
9,337.12
T ota l D eposits ____________ $ 28,341.45
9,138.32
1,168.76 B orrow in gs from other Banks
.$ 48,979.77

Total

.$ 48,979.77

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, 1936
C o lle c tio n s

L iqu idation o f A s s e t s _______ $ 18,712.91
Assessm ents on s t o c k ______
505.64
R.P.C. Loan ( D L B ) __________
4,856.05
Other C o lle c t io n s ____________
754.96
Cash date o f c l o s i n g _____ ___
4,323.12

T otal

29,152.68

D is b u r s e m e n ts

53.40
L egal ------------------------------------- $
A dm in istration ______________
1,410.97
Taxes, Insurance ____________
401.40
1,027.71
Other Expenses _____________
B ills P ayable _______________
13,994.37
Com prom ises ________________
3,600.56
D ividends ------------------------------4,031.52
2,647.29
Offsets _______________________
Cash on hand Dec. 31, 1936 __
1,985.46
Total

$ 29,152.68

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, 1936
R e so u rc e s

L ia b ilitie s

Doans and D is c o u n t s _______ $ 18,411.29 C a p it a l_______________________ $10,000.00
B a n k in g H ouse and F. and F.
2 , 000.00 D eposits and C la im s ________
21,904.19
Other R eal E s t a t e ___________
4,349.69
Cash on hand and due from
banks ______________________
1,985.46
A ll other resources __________
14.00
Profit and Loss ( D e b i t ) ____
5,143.75
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 31,904.19

Total

31,904.19

102

REPORT OF THE COMMISSIONER OF BANKING

FIRST STATE BANK

Endeavor
F. W.

M

oecker,

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, 1931
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 ita l________________________ $ 10,000.00
Surplus and Undivided Profits
1,510.72
Deposits:
T i m e ___________$ 64,407.87
D em an d _______
19,754.76

Total Loans and Discounts $ 65,205.49
Other Real Estate __________ 17,900.00
In vestm en ts___________________
8,015.85 Total Deposits ___________ $ 81,162.63
All other resources___________
4,552.01 Borrowings from other Banks
3.000.0O
Total

---------------------------------- $ 95,673.35

Total

______________________ $ 95.673

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, 1936
C o lle c tio n s

D is b u r s e m e n ts

Liquidation of A s s e ts _______ $ 53,169.10 Legal ________________________ $
552.14
4,052.28 Administration ________ :_____
Assessments on s t o c k ______
4,261.74
Other C ollections____________ 10,933.91 Taxes, In su ran ce____________
1,469.76
1,885.84
Other E xpenses______________
Bills P a y a b le________________
3,000.00
Preferred C la im s____________
1,389.16
51,158.37
Dividends _____________
O ffsets

q 9 9 7 no

Cash on hand Dec. 31, 1936 __
Cash S h o r t___________________
Total

.$ 68,155.29

Total

L204!52
6.67
$ 68,155.29

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D isco u n ts_______ $ 12,772.17 C a p ita l________________ _______ $ 10,000.00
Banking House and P. and P.
4,202.10 Surplus ______________________
2,332.42
6,500.00 Deposits and C la im s________
Other Real E s t a t e ___________
27,680.37
Bonds and Other Securities__
1,000.00 °th er Liabilities_____ ______________ 18.20
Cash on hand and due from
Stock Assessments __________
4,052.28
banks ______________________
1 204.52 Dividends P a i d ______________
51,158.37
Undivided Profits (Deficit)__ 18,404.48
Dividends P a i d _______________
51,158.37
T o t a l------------------------------------$ 95,241.64


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T o t a l______________ ________ $ 95,241.64

REPORT OF THE COMMISSIONER OF BANKING

103

MERCHANTS & FARMERS STATE BANK
Fall Creek
A

lden

L

osby,

S p ecia l D e p u ty C om m ission er

C o n d ition as o f J u n e 16, 1930
R e so u rc e s

L ia b ilitie s

Loans and Discounts:
C a p ita l----------------------------------- $ 15,000.00
Total Loans and Discounts $107,271.20 Surplus and Undivided Profits
2,401.08
Investm ents ,_______________
14,468.19 Deposits:
All other resources__________ 16^602 64
T im e ---------------- $100,809.15
D em an d ----------16,363.31
Total D eposits_____________ $117,172.46
Other L iabilities_____________
3,768.49
Total

$138,342.03

T o t a l------------------------------------$138,342.03

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. 1936
C o lle c tio n s

D is b u r s e m e n ts

Liquidation of A s s e ts ________$108,942.55 Legal ------------------------------------- $
927.70
Assessments on s t o c k ______
12,717.08 Administration ______________
2,167.40
Other Collections ___________
5,779.36 Other E xpenses______________
2,374.56
Dividends ---------------- --------------- 84,358.47
Offsets & L o sse s_____________
31,089.26
Cash on hand Dec. 31, 1936 __
6,521.60
T o t a l----------------------------------- $127,438.99

T o ta l------------------------------------$127,438.99

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, 1936
R e so u rc e s

Loans and D isco u n ts_______ $ 23,099.64
Bonds and OtherSecurities___
3,000.00
Cash on hand and due from
banks ------------------------- -------6,521.60
All other resources_________
30,295 70
Dividends -----------------------------84,358.47
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$147,275.41

L ia b ilitie s

C a p ita l------------------------------------$ 15,000.00
Surplus and Undivided Profits
1,425.92
Deposits and C la im s________ 112,353.05
Other Liabilities ____________ 18,496.44
Total

$147 275.41

REPORT OF THE COMMISSIONER OF BANKING

104

STATE BANK OF FENNIMORE

Fennimore
A. W.

B

ergh

, S p ecia l D e p u ty C om m ission er

C o n d ition as o t J u n e 30, 1932
L ia b ilitie s

R e so u rc e s

Loans and Discounts:
Total Loans and Discounts $338 948.IK
Other Real E s t a t e ___________ 29,300.00
Investments __________________
3,967.50
Cash __________________________
4,622.01
$376,837.66

Total

C a p ita l_______________________ $ 50,000.00
Surplus and Undivided Profits 21,480.38
Deposits:
Total D eposits_____________ $290,356.52
Borrowings from other Banks 15,000.00
-76
Other L iabilities-------------------$376,837.66

Total

R e c e ip ts an d D is b u r s e m e n ts D a te o f C lo s in g to D e c e m b e r 31, li)36
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 ------------$161,649.41
Assessments on s t o c k ---------- 45,637.29
Recovery on b o n d ___________
3,967.50
Other C ollections____________ 18,031.14
Cash on h a n d ----------------------4,622.01
5,677.97
Interest Received ___________
Drafts Outstanding--------------- 16,092.35

$255,667.67

Total

5,464.16
Legal ------------------------------------- !
7,212.32
Administration ---------------------4.034.65
Taxes, In su ran ce-----------------2,794.05
Other Expenses -------------------Bills P a y a b le------------------------- 15,000.00
16,076.68
Preferred C la im s -----------------85,603.34
Dividends -----------------------------10,513.17
Offsets _______________________
942.94
Cash on hand Dec. 31, 1936 —
3,268.27
Due from b a n k s -------------------11.79
Cash I t e m s ----------------------------Other D isbursem ents----------- 104,746.30
$255,667.67

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, 1036
L ia b ilitie s

R e so u rc e s

Loans and D isco u n ts----------- $ 98,711.57 C a p ita l_______________________ $ 50,000.00
Banking House and F. and F. 16,781.10 Deposits and C la im s------------- 201,768.36
Other Real E s t a t e -----------------77,679.75 Other L iabilities-------------------- 85,619.01
Stock Assessm ents___________ 45,627.29
Cash on hand and due from
banks ---------------------------------4,211.21
All other resources___________ 86,533.28
Surplus and Undivided Profits 99,097.75
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$383,014.66

Total

$383,014.66

REPORT OF THE COMMISSIONER OF BANKING

105

THE BANK OF FOND DU LAC
Fond du Lac
J. C. S t a d l e r , iS pecial D e p u ty C om m ission er
C o n d ition as o f M a y 20, 1932
R e so u rc e s

L ia b ilitie s

Loans and Discounts:
On real estate__$ 65,395.37
Other __________ 249,140.72

C a p ita l------------------------------------$100,000.00
Surplus and Undivided Profits 30,353.33
Deposits:
T i m e ---------------- $283,079.05
Total Loans and Discounts $314,536.09
D em a n d _______ 92,436.07
Other Real E s t a t e ___________ 10,960.61
In vestm en ts__________________ 143,332.46
Total Deposits ____________ $375,515.12
All other resources__________ 78,689.29 Borrowing's from other Banks 41,650.00
T o t a l------------------------------------$547,518.45

T o t a l----------------------------------- $547,518.45

R e c e ip ts a n 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, 1936
C o lle c tio n s

D is b u r s e m e n ts

LiQuidation of A s s e ts ________$281,305.95 Legal ________________________ $ 3,654.87
Assessments on s t o c k ______
49,968.69 Administration ______________
15,308.07
Other C ollections____________ 42,213.92 Taxes, Insurance____________
2,591.57
Other Expenses _____________
19,277.41
Bills P a ya b le________________
41,650.00
Preferred C la im s ____________ 11,675.19
Dividends ____________________ 226,068.54
Offsets _______________________
19,316.33
Cash on hand Dec. 31, 1936 __ 33,946.58
Total
$373,488.56
Total
$373,488.56

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, 1936
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 __________
Undivided P rofits____________
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L ia b ilitie s

88,258.86 C a p ita l----------------------------------- $100,000.00
206.10 Deposits and C la im s________ 127,640.77
15,887.54
8,609.62
33,946.58
22.12

80,709.95

$227,640.77

Total

$227,640.77

106

REPORT OF THE COMMISSIONER OF BANKING

STATE B AN K OF FOSTER
Foster
M . I. G ilb e r t , S p ecia l D e p u ty C om m ission er

C o n d ition us o f S e p te m b e r 23, 1931
L ia b ilitie s

R e so u rc e s

Loans and Discounts:
On real estate__$ 73,185.18
Other __________ 175,751.62
Total Loans and Discounts $248,936.80
Other Real E s t a t e ___________ 31,620.70
Investments __________________ 34,313.46

T o t a l_______________________ $314,870.96

C ap ita l_______________________ $ 15,000.00
Surplus and Undivided Profits
13,747.76
Deposits:
T i m e ___________$240,195.36
D em a n d _____ ,__ 36,373.34
Total Deposits ____________ $276,567.70
Borrowing’s from other Banks
9,000.00
Other Liabilities -----------------555.50
Total

______________________ $314,870.96

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, 1930
C o lle c tio n s

D is b u r s e m e n ts

Liquidation of A s s e ts ________$131,863.26
Assessments on s t o c k ______
12,611.88
Recovery on b o n d ___________ 30,708.20
Other C ollections____________ 21,475.34
Eau Claire State Bank Claim
against B. P . ______________
8,240.30

$204,898.98

Total

Loss by Court O rd er________ $ 70,373.92
1,530.15
Legal ________________________
Administration _____________ _
6,608.61
Taxes, In su ran ce____________
1 169.25
1,244.57
Other Expenses _____________
Bills P a ya b le________________
9,081.34
2,794.51
Preferred C la im s ___________
Dividends ____________________ 77,129.22
24,294.15
Offsets _______________________
Cash on hand Dee. 31, 1936 —
4,173.20
O.R.E. Adjustments ________
6,500.00
Total

$204,898.98

C O N D E N S E D S T A T E M E N T O P C O N D IT IO N D E C E M B E R 31, 1936

Loans and D isco u n ts------------$124,442.98
Banking House and F. and F.
3,570.00
6,700.00
Other Real E s t a t e ___________
Bonds and Other Securities—
912.50
Cash on hand and due from
banks ---------------------------------4,173.20
All other resources___________ 161,451.30
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$301,249.98

L ia b ilitie s

C ap ita l_____________ __________$ 15 000.00
Surplus and Undivided Profits 10,768.57
Deposits and C la im s________ 252,815.08
Other L iabilities------------------ - 22,666.33

Total

$301,249.98

107

REPORT OF THE COMMISSIONER OF BANKING

FRIENDSHIP STATE BANK
Friendship
F.

A. Marks, S p ecia l D e p u ty C om m ission er
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

Capital Debentures ------------- $ 10,000.00
C a p ita l_______________________
10,000.00
Surplus and Uhdiv.dJd ij rofits
979.44
Deposits:
T i m e ___________$ 70,156.25
Total Loans and D.scounts $ 73,492.74
55,812.82
D e m a n d _______
1,035.00
Other Real E s t a t e ----------------41,567.71
In vestm en ts_________________
Total Deposits _:____________$125,969.07
30,853.06
All other resources _________
Loans and Discounts:
On real estate__$ 28,876.06
Other _________
44.616.68

$146,948.51

Total

Total

$146,948.51

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 3 1 , 1936
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 ------------$112,503.66 Legal (All) __________________$ 3,871.38
1,772.12
Assessments on s t o c k ---------300.00 Loss by Court O rd er------------86,317.29
Recovery on b o n d ___________
2,584.26 Dividends __________
3,256.37
Offsets _______________________
Cash on hand Dec.31, 1936 __ 20,170.76
T o t a l_______________________ $115,387.92

T o t a l_______________________ $115,387.92

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 3 1 , 1936
R e so u rc e s

Loans and D isco u n ts----------- $ 27,552.56
Banking House and F. and F.
1,000.00
Other Real E s t a t e ___________
3,935.00
Bonds and Other Securities-1,457.75
Cash on hand and due from
banks ______________________
20,170.76
All other resources__________
464.54
Dividends P a i d ---------------------- 86,317.29
T o t a l_______________ - ______ $140,897.90


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L ia b ilitie s

Capita] D ebentures_________ $ 10,000.00
C a p ita l_____ __________________ 10,000.00
Deposits and C la im s________ 122,722.77
Loss in e x c e s s _____ _________
2,124.87
Assessments Paid ___________
300.00

T o t a l________________ _$140,897.90

108

REPORT OF THE COMMISSIONER OF BANKING

GALESBURG STATE BANK
Navarino

H. R. Cappel, Special D e p u ty C om m ission er
C o n d ition as o f O ctob er 12, 1932
L ia b ilitie s

R e so u rc e s

C ap ita l_______________________ $ 15,000.00
Surplus and Undivided Profits
2,500.00
Deposits:
T i m e ___________$ 69,856.63
D em an d _______
14,161.48
Total Loans and Discounts $ 71,464.37
Other Real E s t a t e ----------------- 11,605.15
Total D e p o sits------------------ $ 84,018.11
Investm ents__________________ 19,617.50
All other resources__________ 13,187.28 Borrowings from other Banks 11,538.07
2,818.12
Other Liabilities -----------------Loans and Discounts:
On real estate__$ 21,450.00
Other __________ 50,014.37

Total

______________________ $115,874.30

Total

______________________ $115,874.30

R e c e ip ts a n d D is b u r s e m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1936
C o lle c tio n s

D is b u r s e m e n ts

$ 47,316.76
10,793.78
.90
8,496.41
4.90
700.64

7.20
Cash I t e m -------- ---------------------- $
Legal ________________________
627.45
Administration ______________
7,147.20
Taxes, In su ran ce____________
1,069.61
Other Expenses -------------------619.94
11,538.07
Bills P a y a b le________________
Preferred C la im s-----------------1,586.54
Dividends ____________________ 41,239.39
Offsets _______________________
1,522.96
Cash on hand Dec. 31, 1936 —
1,335.18
69.86
Loss on Sale of B o n d s---------Adjustm ents__________________
549.99

T o t a l_______________________ $ 67,313.39

T o t a l_______________________ $ 67,313.39

Liquidation of A s s e t s ---Assessments on stock —
Recovery on bond ---------Other C ollections----------V ariation ________________
Cash on hand 10/12/32 —

C O N D E N S E D S T A T E M E N T O E C O N D IT IO N D E C E M B E R 31, 1936
L ia b ilitie s

R e so u rc e s

Loans and D isco u n ts----------- $ 28,781.62 C a p ita l_______________________ ! 15,000.00
2,500.00
5,907.26 Surplus and Undivided Profits
Banking House and F. and F.
41.376.77
12,353.75 Deposits and C la im s________
Other Real E s t a t e ---------------3,946.60 Other L iabilities-------------------- 19.262.77
Bonds and Other Securities—
Cash on hand and due from
1,335.18
banks ---------------------------------All other resources --------------- 25,815.13
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 78,139.54

Total

$ 78,139.54

REPORT OF THE COMMISSIONER OF BANKING

109

FARMERS & MERCHANTS STATE BANK

Galesville
S. P.

I b a c h , S p ecia l D e p u t y C om m ission er

C o n d ition ns o f D e c e m b e r 20. 1032
R e so u rc e s

L ia b ilitie s

Loans and Discounts:
On real estate__$131,387.00
Other ---------------178,618.17

C ap ita l_______________________ $ 30,000.00
Surplus and Undivided Profits
18,983.71
Deposits:
T i m e __________ $230,680.60
Total Loans and Discounts $310,005.17
D em a n d ----------- 37,628.46
Other Real E s t a t e ___________ 18,100.00
Total Deposits ___________ $268',309.06
In vestm en ts__________________ 32-,023.00
All other resources__________ 16,307.47 Borrowings from other Banks 59,028.73
Other Liabilities____ _________
114.14
Total

----------------------------------$376,435.64

Total

______________________ $376,435 64

R e c e ip ts a n 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 3 1 , 1336
C o lle c tio n s

Liquidation of A s s e t s ________$177,097.35
Assessments on s t o c k ______ 17,220.48
Other Collections ___________ 10,795.04
Cash 12/29/32 _______________
12,756.68

Total

$217,869.55

D is b u r s e m e n ts

Legal ________________________ $
Administration ______________
Taxes, In su ran ce____________
Other Expenses _____________
Bills Payable _______________
L o sses________________________
Dividends ____________________
Offsets _______________________
Cash on hand Dec. 31, 1936 _
Total

370.60
12,872.64
2,567.15
3,213.38
59,028.73
39,212.34
78,527.55
5,721.74
16,355.42

.$217,869.55

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, 1936
L ia b ilitie s

R e so u rc e s

Loans and D isco u n ts________$163,464.53 C a p ita l_______________________ $ 30,000.00
Banking House and P. and F.
3,000.00 Deposits and C la im s________ 262,832.47
Other Real E s t a t e ___________ 18,100.00 Other Liabilities ___________17,247.04
Bonds and Other Securities__
1,500.00
Cash on hand and due from
banks ______________________
16,355.42
All other resources__________
461.73
78,527.55
Dividends P a i d _________
Surplus and Undivided Profits 28,670.28
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$310,079.51

Total

$310,079.51

110

REPORT OF THE COMMISSIONER OF BANKING

CITIZENS BANK

Germantown
A lfred N e w l a n d e r , S p ecia l D e p u ty C om m ission er

C o n d ition a s o f D e c e m b e r 29, 1932
L ia b ilitie s

R e so u rc e s

C a p ita l_______________________ $ 20,000.00
Surplus and Undivided Profits
11,655.36
Deposits:
T i m e __________ $129,420.12
Total Loans and Discounts $ 71,452.79
D em a n d _______ 25,942.01
In vestm en ts__________________ 124,285.05
A ll o t h e r r e s o u r c e s __________
Total Deposits ____________ $155,362.13
24,086.65
Borrowings from other Banks 32,807.00
Loans and Discounts:
On real estate__$ 19,768.98
Other __________ 51,683.81

Total

$219,824.49

Total

$219,824.49

R e c e ip ts an d D is b u r s e m e n ts D a te o f Closing- to D e c e m b e r 3 1 , 1936
C o lle c tio n s

Liquidation of A s s e ts ___
Assessments on stock —
Other C ollections_______
Cash Balance 12/29/32 _

D is b u r s e m e n ts

$156,505.46 Legal ________________________ $ 1,390.41
14,675.00 Administration ______________
5,282.43
41,841.27 Taxes. In su ran ce____________
414.09
1,256.34
13,166.50 Other Expenses _____________
Bills P a ya b le______________ _ 58,991.50
Preferred C la im s____________
168.82
Dividends ____________________ 106,223.35
Offsets _______________________
3,344.40
Cash on hand Dec. 31, 1936 __
6,776.58
42,340.31
L o sse s________________________

T o t a l_______________________ $226,188.23

T o t a l________________ ______ $226,188.23

C O N D E N S E D S T A T E M E N T O E C O N D IT IO N D E C E M B E R 31, 193«
R e so u rc e s

L ia b ilitie s

Loans and D isco u n ts_______ $ 4,759.40 C ap ital_______________________ $
Banking House and F. and F. 10,769.24 Surplus and Undivided Profits
Bonds and Other Securities__ 27,427.55 Deposits and C la im s------------Other L .a b ilities_____________
Cash on hand and due from
banks ______________________
6,776.58
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

49,732.77

Total

20,000.00
30,756.64
45,814.41
14,675 00
49,732.77

REPORT OF THE COMMISSIONER OF BANKING

111

STATE BANK OF GLEN FLORA
Glen Flora
J o h n R. H a y e s , D is tr ic t S p ecia l D e p u ty C om m ission er

C o n d itio n as

f A p r il 1, 1930

R esou rces

L ia b ilit ie s

Loans and D iscoun ts:
On real esta te— ? 17,703.15
Other --------------- 43,120.02
T otal Loans and D iscoun ts ? 60,832.17
Other Heal E s t a t e ___________ 13,733.68
All oth er r e s o u r c e s __________
6,726.53
T otal

---------------------------------- $ 81,292.38

C a p it a l------------------------------------$ 10,000.00
Surplus and Undivided Profits
469.96
D eposits:
T i m e ---------------- $ 13,655.72
D e m a n d _______
32,476.14
T otal D eposits ------------------ $ 46,131.86
B orrow in g’s from oth er Banks 24,690.56
T ota l

---------------------------------- ? 81,292.38

R e c e ip t s a n d D is b u r s e m e n ts D a te o f C lo s in g t o D e c e m b e r 3 1 , 1936
C o lle c t io n s

L iquidation o f A s s e t s _______ $ 27,664 79
A ssessm ents on s t o c k _______
1,696.63
R e co v e ry on bond ch arge off
5,022.36
2,347.34
Other C o lle c t io n s ____________

T otal

$ 36,731.12

D is b u r s e m e n ts

L eg al ------------------------------------- $
480.25
A dm in istration ______________
3,656.07
Taxes, Insurance ____________
510.36
Other Expenses ______________
93.61
B ills P a y a b le ________________
15,217.35
P referred C la im s ____________
3,972.76
Charge off __________________
6,568.23
Offsets _______________________
4,811.83
Cash on hand Dec. 31, 1936 __
1,420.66
Total
$ 36,731.12

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, 1936

R esources

L ia b ilit ie s

Loans and D is c o u n t s ________ $ 36,381.76 C a p it a l___________________
B a n k in g H ouse and P. and F.
1.315.65 D eposits and C la im s ____
Other R eal E s t a t e ___________
1,714.14 Other L ia b ilit ie s ________
Cash on hand and due from
banks ______________________
1.420.66
A ll other r e s o u r c e s ___________ 26,944.20
T o t a l ___


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

67,776.41

Total

$ 10, 000.00

48,303.20
9,473.21

$ 67,776.41

112

REPORT OF THE COMMISSIONER OF BANKING

FARMERS STATE BANK
Granton
H . M . B e r g e m a n n , S p ecia l D e p u t y C om m ission er

C o n d ition as o f O c to b e r 19, 1929
L ia b ilitie s

R e so u rc e s

C a p it a l------------------------------------$ 25,000.00
Loans and D iscou n ts:
4,330.69
T ota l Loans and D iscoun ts $176,539.51 Surplus and U ndivided Profits
Other R ea l E s t a t e ----------------- 19,136.03 D eposits:
T i m e ___________$ 87,459.72
I n v e s t m e n t s __________________
6,184.59
D e m a n d _______
50,920.13
All oth er r e s o u r c e s --------------- 14,806.66
T ota l D eposits ___________ $138,379.85
B orrow ing's from oth er Banks 45,368.65
Other L ia b ilit ie s _____________
3,587.60
T ota l

______________________ $216,666.79

T ota l

______________________ $216,666.79

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, 1930
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s ------------$140,850.81
Assessm ents on s t o c k ----------18,838.14
R e co v e ry on b o n d ----------------713.65
Other C o lle c t io n s -----------------8,354.04
Cash at C l o s i n g _____________
6,545.84

T o t a l _______________________ $175,302.48

L eg al ________________________ $
A dm inistration ---------------------Taxes, I n s u r a n c e ____________
Other E xpenses -------------------B ills P ayable _______________
In terest on B ills P a y a b le-----P referred C la im s -----------------D ividends ____________________
Offsets _______________________
Cash on hand Dec. 31, 1936 —
L o s s ___________________________

3,171.44
6,663.73
1,381.94
2,897.58
29,691.50
394.89
434.86
65,091.43
16,631.38
9,180.57
39,763.16

T o t a l _______________________ $175,302.48

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, 1936
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s ----------- $ 65,717.37
Cash on hand and due from
banks ______________________
9,180.57
A ll oth er r e s o u r c e s ---------------125,410.69
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$200,308.63

C a p it a l_______________________ $ 25,000.00
Surplus and U ndivided Profits
5,128.74
D eposits and C la im s ________ 131,141.79
Other L ia b ilit ie s _____________ 39,038.10
Total

$200,308.63

113

REPORT OF THE COMMISSIONER OF BANKING

SOUTH SIDE STATE BANK, Delinquent
Green Bay
A. W.

IC K S ,

S p ecia l D e p u ty C om m ission er

C o n d itio n as o f N o v e m b e r 23, 1032
L ia b ilitie s

R e so u rc e s

Capital ______________________ $100,000.00
Surplus and Undivided Profits 51,469.35
D eposits: $397.02 o f this P r e ­
ferred Claims.
T i m e ___________$177,094.29
T otal Loans and D iscoun ts $274,317.41
D e m a n d _______ 109,178.13
Other R eal E s t a t e ___________ 65,900.00
I n v e s tm e n ts __________________ 159,497.13
T otal D eposits ____________ $286,272.42
A ll oth er r e s o u r c e s __________
9,527.23
B orrow in g’s from other Banks 71,500.00
Loans and D iscoun ts:
On real esta te__$ 59,320.00
Other __________ 214,997.41

$509,241.77

Total

$509,241.77

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, 1930
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s ------------$298,070.05
A ssessm ents on s t o c k ---------- 65,694.68
R e covery on b o n d ___________
5,000.00
Other C o lle c t io n s ____________ 19,054.84

L eg a l ________________________ $ 2,429.28
A dm in istration ---------------------- 11,087.16
Taxes, Insurance ____________
5,251.56
Other E x p e n s e s ______________
5,665.75
Bills P a y a b le ________________
71,500.00
P referred C la im s ____________
7,831.63
D ividends ____________________ 229,685.82
O f f s e t s ____ :___________________ 34,144.70
Cash on hand Dec. 31,1936 —
7,625.41
B a dger Show & C r a m e r _____ 12,598.26

T o t a l _______________________ $387,819.57

T o t a l _______________________ $387,819.57

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, 1936

L ia b ilit ie s

R e so u rc e s

Loans and D is c o u n t s ----------- $ 26,356.36 D eposits and Claims ________ .$26,224.89
91,086.50
B a n k in g H ouse and F. and F. 53,894.00 Other L iabilities -----------------2,500.00
Other R eal E s t a t e Bonds and Other Securities,
O. D . ____________
116.14
Cash on hand and due from
banks ______________________
7,625.41
A ll other resources, E xpense
24,433.75
2,385.73
Capital Im paired -----------------Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$117,311.39

Total

$117,311.39

114

REPORT OF THE COMMISSIONER OF BANKING

GREENVILLE STATE BANK
Greenville

F. B. S t r a t t o n , S p ecia l D e p u ty C om m ission er
C o n d ition a s o f O ctob er 25, 1833
R e so u rc e s

L ia b ilitie s

Loans and D iscou n ts:
On real esta te__$ 9,838.00
Other __________ 62,598.90

C a p it a l------------------------------------$ 15,000.00
Surplus and Undivided Profits
9,685.80
D eposits:
T i m e ---------------- $ 76,452.02
T otal Loans and D iscoun ts $ 72,436.90
D e m a n d _______
48,562.80
Other R eal E s t a t e ___________ 13,675.00
I n v e s t m e n t s __________________ 46,795.00
T ota l D e p o s it s _____________$125,014.82
A ll oth er r e s o u r c e s __________ 33,533.00 B orrow in g’s from oth er Banks
16,712 6
Other L ia b ilities ___________
26.61
T ota l

---------------------------------- $166,439.90

T otal

-------------------- -------------$166,439.90

R e c e ip ts an d D is b u r s e m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1930
C o lle c tio n s

L iqu idation o f A s s e t s _______ $
Assessm ents on s t o c k ______
R e co v e ry on b o n d ___________
Other C o lle c t io n s ____________

Total

43,221.03
10,960.42
25,154.31
35,741.80

$115,077.56

D is b u r s e m e n ts

341.82
L eg al ------------------------------------- $
A dm in istration ______________
3,473.88
Taxes, I n s u r a n c e ____________
316.08
Other Expenses _____________
6,935.42
B ills P a y a b le ________________
16,712.67
P referred C la im s ____________
767.46
D ividends ____________________ 80,168.01
Offsets -----------------------------------5,303.69
Cash on hand Dec. 31, 1936 __
1,058.53
Total

$115,077.56

C O N D E N S E D S T A T E M E N T O P C O N D IT IO N D E C E M B E R 31, 1036
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts ________$26,237.97 C a p it a l------------------------------------$ 15,000.00
B ank ing H ouse and F. and F.
5,675.00 D eposits and C la im s ________
40,021.03
Bonds and Other S ecu rities__
2,077.26
Cash on hand and due from
banks ______________________
1,058.53
A ll oth er r e s o u r c e s __________ 19,972.27
T otal

__________ _______ $ 55,021.03


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T o t a l ------ ..___ ______ „ _ _ _ _ _ $ 55,021,03

REPORT OF THE COMMISSIONER OF BANKING

115

BANK OF HAMMOND
Hammond
J o h n R. H a y e s , 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 M arch 27, 1028
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real estate__$ 41,753.00
Other __________ 103,329.21

C a p it a l_______________________ $ 20,000.00
Surplus and U ndivided Profits
80.00
D eposits:
T i m e ___________$ 99,886.88
Tocal Loans and D iscoun ts $145,082.21
54,157.91
D e m a n d _______
Other R eal E s t a t e ___________ 17,117.37
I n v e s tm e n ts __________________
1,450.00
T ota l D e p o s i t s ___________ $154,044.79
A ll oth er r e s o u r c e s __________ 27,690.29 B orrow in gs from oth er Banks 15,500.00
Other L ia b ilit ie s _____________
1,715.08
T ota l

---------------------------------- $191,339.87

T otal

---------------------------------- $191,339.87

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 3 1 , 1936
C o lle c tio n s

L iquidation o f A s s e t s ________$153,407.57
Assessm ents on s t o c k _______
6,779.85
1,255.00
R e co v e ry on b o n d ____________
Other C o lle c t io n s ____________
9,974.00

Total

$171,416.42

D isb u r s e m e n ts

L egal ------------------------------------- $ 2.883.95
A dm in istration ______________
3,981.09
3,482.63
Taxes, Insurance ____________
Other Expenses _____________
3,636.59
B ills P a y a b le ________________
15,500.00
210.63
P referred C la im s ____________
D ividends ____________________ 90,805.03
Offsets _______________________
46,234.87
Cash on hand Dec. 31, 1936 __
4,681.63
Total

$171,416.42

C O N D E N S E D S T A T E M E N T O E C O N D IT IO N D E C E M B E R 31, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 25,498.66 C a p it a l_______________________ $ 20,000.00
Other Real E s t a t e ___________
300.00 Surplus and Undivided Profits
80.00
Cash on hand and due from
D eposits and C la im s ________
61,312.26
banks ______________________
4,681.63
A ll oth er r e s o u r c e s _________
50,911.97
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 81,392.26

Total

$ 81,392.26

116

REPORT OF THE COMMISSIONER OF BANKING

HATLEY STATE BANK, Delinquent
Hatley
I.

T. K n u t s o n , S p ecia l D e p u ty C om m ission er
C o n d ition as of A u g u s t 29, 1932
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
7,960.65
D eposits:
T i m e ___________$ 41,507.58
D e m a n d _______
34,660.03
T otal Loans and D iscoun ts $ 52,464.40
I n v e s t m e n t s __________________ 50,151.35
T ota l D e p o s it s _____________ $ 76,167.61
A ll oth er r e s o u r c e s --------------3,652.08
Borrow ing's from other Banks
6,968.67
Other L ia b ilities ____________
5,170.90
Loans and D iscoun ts:
On real esta te— ? 26,472.28
Other __________ 25,992.12

T ota l

______________________ $106,267.83

T ota l

______________________ $106,267.83

R e c e ip ts an d D is b u r s e m e n ts D a te o f C lo s in g to D e c e m b e r 3 1 , 1936
D is b u r s e m e n ts

C o lle c t io n s

L iqu idation o f A s s e t s ------ -----$ 53,159.55
A ssessm ents on s t o c k ----------6,157.38
R e co v e ry on b o n d ---------------12,500.00
7,451.37
Other C o lle c t io n s ------------------

$ 79,268.30

Total

L eg al ________________________ $
A dm in istration ------------------------Taxes, Insurance ______________
Other Expenses _______________
B ills P a y a b l e ------------------------P referred C la im s --------------------D ividends ____________________
Offsets _________________________
Cash on hand Dec. 31, 1936 —

2,332.74
6,594.48
1,119.09
1,381.97
11,967.65
4,308.86
46,177.99
3,620.11
1,765.41

.$ 79,268.30

T otal

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, 1936
R e so u r c e s

L ia b ilitie s

Loans and D is c o u n t s ------------- $ 19,819.70 C a p it a l------------------------------------$ 10, 000.00
7,000.00
2,717.58 Surplus and U ndivided Profits
B ank ing H ouse and F. and F.
4,991.06 D eposits and C la im s ------------- 46,329.00
Other R eal E state --------------7,157.38
7,995.00 Other L ia b ilit ie s -------------------Bonds and Other S ecu rities—
Cash on hand and due from
1,765.41
banks ---------------------------------4,103.97
All oth er r e s o u r c e s --------------Loss A ccou n t ------------------------- 29,093.66
70,486.38
Total
70,486.38
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

117

REPORT OF THE COMMISSIONER OF BANKING

HAWKINS STATE BANK
Hawkins
W. E. Luell, S p ecia l D e p u ty C om m ission er
C o n d ition as o f D e c e m b e r 8, 1933
L ia b ilitie s

R e so u rc e s

Capital ---------------------------------- $ 10, 000.00
3,000.00
Surplus and U ndivided Profits
D eposits:
T i m e ___________$ 22,061.01
D e m a n d _______
23,596.69
30,114.07
8,337.61
T ota l D e p o s it s -------------------- $ 45,657.70
316.08
7.12
19,897.06 Other L ia b ilities ---------------- -

Loans and D iscoun ts:
On real esta te— $ 10,940.31
Other _________
19,173.76
T otal Loans and D iscounts
Other R eal E s t a t e ---------------Investm ents
A ll oth er r e s o u r c e s --------------T ota l

______________________ $ 58,664.82

T ota l

______________________ ? 58,664.82

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, 1936
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s ----------- $ 31,377.58
A ssessm ents on s t o c k ----------7,862.07
Cash 12/8/33 --------------------------- 12,605.80
Other C o lle c t io n s ____________
3,230.21

$ 55,075.66

T otal

L eg al ________________________ $
202.23
A dm inistration ---------------------2,448.49
Taxes, Insurance ____________
770.19
Other Expenses _____________
1,032.38
8,302.76
Sp. T ru st P a i d _______________
P referred C la im s ____________
103.00
D ividends ____________________ 32,387.58
_______________________
4,687.39
Offsets
Cash on hand Dec. 31, 1936 —
594.80
C om prom ise L o s s ____________
4,546.84
55,075.66

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, 1936
R e so u rc e s

Loans and D is c o u n t s ----------- $
B a n k in g H ouse and P. and F.
Other R eal E s t a t e ---------------Bonds and Other S ecu rities—
Cash on hand and due from
banks _____________________ A ll other resources --------------Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L ia b ilitie s

2,276.48 C a p it a l_______________________ $ 10,000.00
4,206.18
2,933.00 Surplus and Undivided Profits
464.09
8,337.61 D eposits and C la im s ------------316.08
594.80
212.30
14,670.27

Total

14,670.27

118

REPORT OF THE COMMISSIONER OF BANKING

SAWYER COUNTY BANK
Hayward

H. G reg erso n , S p ecia l D e p u ty C o m m ission er
C o n d ition ns o f O ctob er 31, 1932
R e so u rc e s

L ia b ilitie s

Loans and D iscou n ts:
On real esta te__$ 54,623.55
Other __________ 65,521.32

C a p it a l _______________________ $ 20,000.00
Surplus and Undivided Profits
6,566.06
D eposits:
T i m e ___________$ 47,699.53
T ota l Loans and D iscoun ts $120,144.87
D e m a n d _______
52,659.29
I n v e s tm e n ts __________________ 37,393.85
A ll oth er r e s o u r c e s __________
8,612.33
T otal D e p o s i t s ___________ $100,358.82
B orrow in gs from oth er Banks 37,317.55
Other L ia b ilit ie s _____________
1,908.62
T ota l

---------------------------------- $166,151.05

T ota l

---------------------------------- $166,151.05

R e c e ip ts an d D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1936
C o lle c tio n s

D is b u r s e m e n ts

Liquidation o f A s s e t s ________$128,855.24 L eg al ------------------------------------- $
A ssessm ents on s t o c k ______
3,332.54 A dm in istration ______________
Other C o lle c t .o n s ____________
2,192.39 Taxes, Insurance ____________
Other E x p e n s e s ______________
Bills P a y a b l e ________________
P referred C la im s ____________
D ividends _______
Offsets -----------------------------------Cash on hand Dec. 31, 1936 _
A d ju s t m e n ts --------------------------In terest P a i d ________________
Total

$134,380.17

Total

1,387.26
6,528.60
847.32
3,124.26
37,317.55
33,234.00
25,076.98
6,503.88
5,211.76
13,837.90
1,310.66

$134,380.17

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 44,732.24 C a p it a l------------------------------------$ 20,000.00
B ank ing H ouse and F. and F.
679.25 Surplus and Undivided Profits
3,706.99
Bonds and Other S ecu rities_
1,190.53 D eposits and C la im s ________
63,892.86
Cash on hand and due from
Other L ia b ilit ie s _____________
3,332.54
banks ______________________
5,211.76
A ll oth er resources __________ 14,041.63
25,076.98
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 90,932.39

Total

90,932.39

REPORT OF THE COMMISSIONER OF BANKING

119

HAZEL GREEN STATE BANK
Hazel Green
Jas.

F. C a s s , S p ecia l D e p u ty C om m ission er
C o n d ition as o f J u ly 37, 1933

R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real estate__$ 71,515.87
Other --------------- 84,741.73

Capital ---------------------------------- $ 25,000.00
Surplus and U ndivided Profits
10,315.64
D eposits:
T i m e __________ $122,727.85
T otal Loans and D iscoun ts $156,257.60
D e m a n d _______ 71,072.53
Other R eal E s t a t e ___________
7,328.31
I n v e s t m e n t s __________________ 69,559.21
T ota l D eposits ____________ $193,800.38
A ll oth er r e s o u r c e s __________ 33,318.90 B orrow in gs from oth er Banks 27,800.00
Other L ia b ilities ____________
9,548.00
T ota l

---------------------------------- $266,464.02

T ota l

---------------------------------- $266,464.02

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, 1936
C o lle c tio n s

L iqu idation o f A s s e t s ___
A ssessm ents on s t o c k ___
Other C o lle c t io n s _______

D is b u r s e m e n ts

$155,291.83 L eg al ------------------------------------- $
208.24
19,454.19 A dm in istration ______________
6,693.94
2,232.03 Taxes, Insurance ____________
918.74
Other E x p e n s e s ______________
1,904.01
B ills P a y a b le ------------------------- 29,075.97
P referred C la im s ____________ 16,658.07
D ividends ---------------------------------101,187.11
Offsets -----------------------------------5,850.97
Cash on hand Dec. 31, 1936 __
4,477.02
Com prom ises ------------------------- 10,003.98

T o t a l ------------------------------------$176,978.05

T o t a l ------------------------------------$176,978.05

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 51,258.09 C a p it a l------------------------------------$ 25,000.00
Other R eal E s t a t e ___________ 13,070.29 D eposits and C la im s ________
67,714.06
Bonds and Other S ecu rities_
1,200.00 O t h e r L i a b i l i t i e s _______________
19,454.19
Cash on hand and due from
banks ---------------------------------4,477.02
A ll other resources ________
36.00
Profit and Loss ____________ 42,126.85
T o t a l ------------------------------------$112,168.25


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T o t a l ----------------------------------- $112,168.2.'

120

REPORT OF THE COMMISSIONER OF BANKING

STATE BANK OF HILLSDALE
Hillsdale
J o h n R . H a y e s , 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 D e c e m b e r 17, 1932
R e so u rc e s

L ia b ilitie s

Loans and D iscou n ts:
C a p it a l_______________________ $ 10,000.00
T otal Loans and D iscoun ts $103,719.56 Surplus and Undivided Profits
7,944.91
Other R eal E s t a t e ___________
2,719.51 D eposits:
I n v e s t m e n t s __________________ 28,304.22
T i m e ___________$ 86,920.40
A ll oth er r e s o u r c e s __________
4,757.85
D e m a n d _______
29,078.08
Cash date o f c lo s in g -________
4,442.25
T otal D e p o s it s ____________ $115,998.48
Other L iabilities ___________
10,000.00
T o t a l _______________________ $143,944.39

T o t a l _______________________ $143,944.39

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, 1936
C o lle c tio n s

L iqu idation o f A s s e t s _______ $ 95,167.66
Assessm ents on s t o c k ______
6,374.31
Other C o lle c t io n s ____________
5,797.88
Cash date o f c l o s i n g ________
4,442.25

T o t a l _______________________ $111,782.10

D is b u r s e m e n ts

169.96
L egal ________________________ $
A dm in istration ______________
4,405.22
Taxes, I n s u r a n c e ____________
603.14
Other E xpenses _____________
1,238.64
B ills P a y a b le ________________
10,000.00
473.78
P referred Claim s ____________
D ividends ____________________ 60,755.96
Offsets _______________________
6,036.35
Cash on hand Dec. 31, 1936 __
938.89
Com prom ise L o s s ____________ 27,160.16
T otal

$111,782.10

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 37,027.38 C a p it a l------------------------------------$ 10,000.00
B a n k in g H ouse and F. and F.
4.496.50 D eposits and C la im s ________
49,484.59
Other R eal E s t a t e ----------------1.219.51 Other L ia b ilit ie s _____________
1,199.93
Bonds and Other S ecu rities__
1,397.47
Cash on hand and due from
banks ______________________
938.89
A ll oth er r e s o u r c e s __________ 15,604.77
T o t a l _______________________ $ 60,684.52


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T o t a l _______________________ $ 60,684.52

121

REPORT OF THE COMMISSIONER OF BANKING

STATE BANK OF HOLCOMBE
Holcombe

J.

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 ns o f D e c e m b e r 22, 1032
L ia b ilitie s

R e so u rc e s

Loans and Discounts:
On real estate_$ 24,280.37
Other __________ 31,090.97

Capital ______________________ $ 10,000.00
Surplus and Undivided Profits
2,612.07
Deposits:
T i m e ___________? 14,626.76
37,725.97
D em an d _______
Total Loans and Discounts $ 55,371.34
Other Real E s t a t e ___________
4,983.82
Total Deposits ____________ $ 52,352.73
All other resources_________
13,941.51
Borrowings from other Banks
6,500.00
2,831.87
Other Liabilities ____________
Total

----------------------------------$ 74,296.67

Total

______________________ ? 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 31, 1336
C o lle c tio n s

L iquidation o f A s s e t s _______ $ 25,337.56
A ssessm ents on s t o c k ______
118.26
Other C o lle c t io n s ____________
1,529.40
Cash date o f c l o s i n g ________
2,753.74

Total

29,738.96

D is b u r s e m e n ts

L egal ________________________ $
A dm in istration ______________
Taxes, I n s u r a n c e ____________
Other Expenses _____________
Bills P a y a b le ________________
P referred C la i m s ____________
D ividends ____________________
Offsets _______________________
Item s and cash on hand Dec.
31, 1936 ____________________
Com prom ise L o s s -----------------A d ju s t m e n ts __________________

221.93
3,458.82
964.06
1,048.55
6,500.00
175.17
5,048.23
1,385.07
789.07
9,740.62
407.44
29,738.96

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, 1936
R e so u rc e s

Loans and D is c o u n t s ________
B a n k in g H ouse and P. and P.
Other R eal E s t a t e ___________
Cash on hand and due from
banks ______________________
A ll other resources _________
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L ia b ilitie s

32,653.94 C a p it a l_______________________ $ 10,000.00
45,028.51
2,703.40 D eposits and C la im s ________
5,169.72 Other L ia b ilit ie s -------------------1,335.60
573.00
15,264.05
56,364.11

Total

56,364.11

122

REPORT OF THE COMMISSIONER OF BANKING

HOLLANDALE STATE BANK

Hollandale
W

ilfred

L. H eindel , S p ecia l D e p u ty C om m ission er
C o n d ition as o f A p r il 22, 1933

R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real esta te__$ 24,323.20
Other __________ 81,297.85

Capital ______________________ $ 15,000.00
Surplus and Undivided Profits
4,898.44
D eposits:
T otal D eposits ___________ $ 93,530.49
Total Loans and D iscoun ts $105,621.05 Other L ia b ilit ie s ____________
9,365.20
All other r e s o u r c e s __________ 17,173.08
T ota l

---------------------------------- $122,794.13

T otal

______________________ $122,794.13

R e c e ip ts an d D is b u r s e m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1930
C o lle c tio n s

D is b u r s e m e n ts

L iqu idation o f A s s e t s _______ $ 47,962 25 L eg al ________________________ $
805.88
A ssessm ents on s t o c k ______
11,760.17 A dm in istration ______________
3,794.39
Other C o lle c t io n s ____________
5,239.03 Taxes, Insurance ____________
342.53
Other E xpenses _____________
1,580.86
8,971.00
B ills P a y a b le ________________
P referred C la im s ____________
239.86
D ividends ____________________ 39,963.26
6,003.15
Offsets _______________________
Cash on hand Dec. 31, 1936 _
3,260.52
Total

$ 64,961.45

Total

$ 64,961.45

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, 1936
R e so u rc e s

L ia b ilitie s

Doans and D is c o u n t s _______ $ 48,279.29
B ank ing H ouse and F. and F.
5,958.50
Other R eal E s t a t e ___________
3,200.00
Cash on hand and due from
banks ______________________
3,260.52
A ll oth er resources ________
8,252.54
Losses ------------------------------------ 17,257.19

C a p it a l_______________________ $ 15,000.00
Surplus and Undivided Profits
4,954.86
D eposits and C la im s ________
49 030.56
Other L ia b ilit ie s _____________ 17,222.62

T o t a l ____________ 1 __________$ 86,208.04

T o t a l _______________________ $ 86,208 04


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

REPORT OF THE COMMISSIONER OF BANKING

123

BANK OF HORTONVILLE
Hortonville

F. B. S t r a t t o n , S p ecia l D e p u ty C om m ission er
C o n d ition as of M a rc h 25, 1930
R e so u rc e s

L ia b ilitie s

Loans and D iscou n ts:
Capital ----------------------------------$ 50,000.00
T ota l Loans and D iscoun ts $401,379.85 Surplus and Undivided Profits
13,951.38
Other R eal E s t a t e ___________ 2S|549!66 D eposits :
Investments _________________
i; fi .
T i m e -----------------$364,094.20
A ll other r e s o u r c e s _________
24,377.05
D e m a n d _______
58,552.15
T otal D eposits ____________$422,646.35
4,378 72
Other L ia b ilities ____________
T o t a l ------------------------------------$490,976.45

T o t a l ------------------------------------$490,976.45

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, 1930
C o lle c tio n s

D is b u r s e m e n ts

L iqu idation o f A s s e t s ________$195,060.60 L egal ------------------------------------- $ 3,847.99
A ssessm ents on s t o c k _________________ 19,290.94
A dm in istration ______________
9,002.64
R e co v e ry on b o n d ____________ 34 444.39 Taxes, Insurance ____________ 12,053.19
Other C o lle c t io n s ____________ 64,088.26 Other E x p e n s e s ______________
13,076.17
In terest P a i d ________________
570.23
D ividends ____________________ 243,727.91
Offsets ------------------------------------ 18,014.52
Cash on hand Dec. 31, 1936 _ 12,591.54
T o t a l ----------------------------------- $312,884.19

T o t a l ------------------------------------$312,884.19

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, 1930
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 35,396.80 C a p it a l------------------------------------$ 50,000.00
Other R eal E s t a t e ___________ 100,522.59 D eposits and C la im s ________ 163,185.64
Bonds and Other S ecu rities__
100.00
Cash on hand and due from
banks -------------------------12,591.54
A ll oth er r e s o u r c e s _________
64,574.71
T o t a l ------------------------------------$213,185.64


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T o t a l ----------------------------------- $213,185.64

124

REPORT OF THE COMMISSIONER OF BANKING

HUBBLETON STATE BANK
Hubbleton
B asil I. P eterson, S p ecia l D e p u ty C om m ission er
C o n d ition as o f M a y 3, 1033
L ia b ilitie s

R e so u rc e s

Capital ---------------------------------- $ 1.0,000.00
Surplus and Undivided Profits
963.63
D eposits:
T i m e ___________$ 70,376.73
T ota l Loans and D iscoun ts $ 72,338.38
D e m a n d _______
19,616.39
Banking- H ouse, Fur. & Fix.
5,100.00
I n v e s t m e n t s __________________ 14,982.50
T
ota
l
D
eposits
-----------------$ 89,993.12
A ll other r e s o u r c e s __________ 16,712.99
B orrow in g s from R. F. C . ---3,677.12
Other L iabilities, Bank Scrip
4,500.00
Loans and D iscoun ts:
Other _________ $ 72,338.38

T ota l

______________________ $109,133.87

T ota l

______________________ $109,133.87

R e c e ip ts and D isb u r se m e n ts D a te o f Closing- to J a n u a ry 2, 193-7
D is b u r s e m e n ts

C o lle c tio n s

580.77
L iquidation o f A s s e t s ----------- $ 75,087.38 L egal ________________________ $
1,444.70
8,091.79 A dm in istration ---------------------Assessm ents on s t o c k ______
356.23
Other C o lle c t io n s ____________
212.27 Taxes, Insurance ------------------:
3,145.79
Cash on hand ( 5 / 3 / 3 3 ) ______ 16,709.99 Other E x p e n s e s ---------------------8,177.12
B ills P a y a b le ________________
Costs C ollected and P a id ____
132.27
P referred C l a i m s ------------------ 10,933.16
D ividends ____________________ 52,808.89
Offsets _______________________
4,651.73
Cash on hand Jan. 2, 1937 ---1,239.51
Other A s s e t s __________________
20.00
Dosses on A s s e t s ____________ 16,611.26
T o t a l _______________________ $100,101.43

T o t a l _______________________ $100,101.43

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 2, 1937
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s ----------- $ 17,971.03 C a p it a l _______________________ $ 10,000.00
D eposits and C la im s ------------- 21,598.61
B a n k in g H ouse and F. and F.
5,080.75
Stock Assessm ents C ollected
8,091.79
Cash on hand and due from
banks ______________________
1,239.51
A ll other r e s o u r c e s __________
20.00
Loss on Liq. o f A s s e t s ---------- 15,379.11
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 39,690.40

Total

$ 39,690.40

125

REPORT OF THE COMMISSIONER OF BANKING

FIRST STATE BANK

Humbird
H. M. Bergemann, S p ecia l D e p u ty C om m ission er
C on dition a s o f D e c e m b e r 5, 1929

Liabilities

R e so u rc e s

Loans and D iscoun ts:
C a p it a l _______________________ $ 25,000.00
T ota l Loans and D iscoun ts $131,468.68 Surplus and U ndivided Profits
10,516.49
Other R eal E s t a t e ___________
8,000.00 D eposits:
A ll oth er r e s o u r c e s __________ 25,922.13
T i m e ___________$ 71,249.52
D e m a n d _______
42,709.04
T ota l D eposits ____________ $113,958.56
B orrow in gs from oth er Banks
8,000.00
Other L ia b ilities ____________
7,915.76
T otal

----------------------------------$165,390.81

T ota l

______________________ $165,390.81

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 3 1 , 193G
C o lle c tio n s

D isb u r s e m e n ts

Liquidation o f A s s e t s ________$154,593.13 L egal ________________________ $
951.39
Assessm ents on s t o c k ______
8,252.53 A dm in istration ______________
4,942.22
Other C o lle c t io n s ____________
5,139.55 Taxes, I n s u r a n c e ____________
1,555.10
Cash at C l o s i n g _____________
2,952.47 Other E x p e n s e s ______________
1,720.54
B ills P a y a b le ________________
8,000.00
P referred C la im s ____________
44.61
U ndivided P r o f i t s ____________
2,690.80
D ividends _________
27,217.36
Offsets _______________________
7,185.80
Cash on hand Dec. 31, 1936 __
6,542.30
110,087.56
Total

$170,937.68

$170,937.68

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, 193«
R e so u rc e s

L ia b ilitie s

C a p it a l_______________________ $ 25,000.00
Cash on hand and due from
8,133.19
banks ______________________ $ 6,542.30 Surplus and U ndivided Profits
A ll other resources __________155,631.27 D eposits and C la im s ------------- 110,438.11
Other L ia b ilities ------------------ 18,602.27
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$162,173.57

Total

$162,173.57

REPORT OF THE COMMISSIONER OF BANKING

126

FARMERS & MERCHANTS BANK
Independence
C a r l P. M a f f e t , S p ecia l D e p u ty C o m m ission er

C o n d ition a s 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 D iscoun ts:
C a p it a l_______________________ $ 30,000.00
T ota l Loans and D iscoun ts $253,292.11 Surplus and U ndivided Profits
17,200.76
Other R eal E s t a t e ___________
3,500.00 D eposits:
_______ $187,688.05
Investm ents ___________________ 86,959.40 Tim e
A ll oth er r e s o u r c e s ___________ 18,939.29 D e m a n d ____ ___ 38,820.31
T ota l D eposits -------------------$226,508.36
B orrow in gs from oth er Banks
73,495.00
Other L ia b ilities ____________ 15,486.68
T ota l

---------------------------------- $362,690.80

T ota l

---------------------------------- $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 s in g to D e c e m b e r 31, 1936
C o lle c tio n s

Liqu idation o f A s s e t s ________$214,145.87
20,896.23
A ssessm ents on stock ______
R e covery on b o n d ___________ 32,027.40
Other C o lle c t io n s ____________
1,970.47
Cash Dec. 29, 1932 ___________
2,557.03

T otal

.$271,597.00

D is b u r s e m e n ts

L eg al ________________________
1,848.50
A dm in istration ____________ __
8,935.62
Taxes, Insurance ____________
1,243.85
Other Expenses _____________
6,296.16
B ills P a y a b le ________________
73,495.00
D ividends ____________________ 122,171.35
Offsets _______________________
50,678.91
Cash on hand Dec. 31, 1936 __
6,927.61
T otal

$271,597.00

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, 1936
R e so u rc e s

Loans and D is c o u n t s _______ $ 96,245.95
B a n k in g H ouse and P. and P.
2,164.00
3,500.00
Other R eal E s t a t e ___________
Bonds and Other S ecu rities__
2,750.16
Cash on hand and due from
banks ______________________
6,927.61
All other r e s o u r c e s __________ 55,066.96
Exp. o f L i q . __________________ 15,421.99
D ividends _____________________ 122,171.35
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$304,248.02

L ia b ilitie s

C a p it a l_______________________ $ 30,000.00
Surplus and Undivided Profits 11,160.87
D eposits and C la im s ________ 223,061.08
Other L ia b ilit ie s _____________
4.28
D ouble Lia. C o l l ._____________ 20,896.23
Incom e o f L i q . _______________
19,125.56

Total

$304,248.02

127

REPORT OF THE COMMISSIONER OF BANKING

IRON RIVER BANK
Iron River
J o h n R. H a y e s , 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 D e c e m b e r 1, 1932
L ia b ilitie s

R e so u rc e s

Capital ______________________ $ 15,000.00
Surplus and Undivided Profits
917.31
D e p osits:
T i m e ___________$ 45,433.25
D e m a n d _______
41,388.41
T ota l Loans and D iscoun ts $ 92,527.17
Other R ea l E s t a t e ___________
6,491.23
T otal D eposits ____________$ 86,821.66
I n v e s t m e n t s __________________
4,000.00
All oth er r e s o u r c e s ___________ 15,073.22 B orrow in gs from oth er Banks 13,820.00
Other L ia b ilities ____________
1,532.65
Loans and D iscou n ts:
On real esta te__$ 41,515.34
Other __________ 51,011.83

T ota l

______________________ $118,091.62

T ota l

______________________ $118,091.62

R e c e ip ts an d D isb u r se m e n ts D a te o f C lo sin g to D e c e m b e r 31, 1930
D isb u r s e m e n ts

C o lle c tio n s

Liqu idation o f A s s e t s _______ $ 54,985.15
1,050.00
Assessm ents on s t o c k ______
Other C ollection s ___________
2,993.69
Cash date o f c l o s i n g ________
2,449.55

Total

61,478.39

L eg al ________________________ $
683.34
3,886.96
A dm in istration ______________
Taxes, I n s u r a n c e ____________
349.75
Other E xpenses _____________
1,804.71
13,820.00
Bills P a y a b le ________________
P referred C la im s ____________
777.45
D ividends ____________________ 12,519.58
Offsets _______________________
2,796.27
Cash on hand Dec. 31, 1936 —
2,550.91
C om prom ise L o s s ____________ 21,424.24
In terest P a i d ________________
865.18
61,478.39

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, 1936
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s _______ $ 45,182.79 C a p it a l_______________________ $ 15,000.00
B ank ing H ouse and P. and F'.
7,931.50 D eposits and C la im s ------------- 60,826.49
1,015.05
Other R eal E s t a t e ___________
4,391.23 Other L ia b ilit ie s _____________
Bonds and Other S ecu rities__
237.09
Cash on hand and due from
b a n k s ______________________
2,550.91
A ll oth er r e s o u r c e s __________ 26,548.03
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 86,841.54

Total

$ 86,841.54

128

REPORT OF THE COMMISSIONER OF BANKING

BOWER CITY BANK
Janesville
J. P.

H

am m arlund

, S p ecia l D e p u ty C o m m ission er

C o n d ition ns o f J u n e 12, 1931
L ia b ilitie s

R e so u rc e s

C a p it a l_______________________ $100,000.00
Surplus and U ndivided Profits
40,988.90
D eposits:
T i m e ___________$ 29,763.12
D e m a n d _______ 521,379.41
T ota l Loans and D iscoun ts $588,270.83
Other R eal E s t a t e ___________ 15,979.69
I n v e s tm e n ts __________________ 161,986.83
T ota l D e p o s it s _____________ $551,142.53
A ll oth er r e s o u r c e s __________ 55,375.70 B orrow in gs from oth er B anks 104,000.00
Other L ia b ilit ie s _____________ 25,481.62
Loans and D iscou n ts:
On real esta te_$ 67,362.29
Other --------------- 520,908.54

T ota l

______________________ $821,613.05

T ota l

______________________ $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 s in g to D e c e m b e r 31, 193G
D is b u r s e m e n ts

C o lle c tio n s

Liquidation o f A s s e t s ________$400,489.79
A ssessm ents on s t o c k ______
80,603.81
Other C o lle c t io n s ____________ 46,095.01
Cash on hand June 12, 1931_ 23,437.30

L eg al ________________________ $ 9,702.79
A dm in istration ______________
17,716.16
5,593.93
Taxes, Insurance ____________
Other E x p e n s e s ______________
11,860.31
B ills P a y a b l e ________________ 104,000.00
P referred C la im s ____________
1,043.06
D ividends ____________________ 292,760.29
Offsets _______________________
87,226.43
Cash on hand Dec. 31, 1936 — 20,722.94

T o t a l _______________________ $550,625.91

T o t a l ________________________$550,625.91

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, 1936
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s ________$249,596.50 C a p it a l________________________$100,000.00
B a n k in g H ouse and F. and F.
1,736.35 Surplus and U ndivided Profits 28,259.19
Other R eal E s t a t e ___________ 59,289.01 D eposits and C la im s _________ 201,154.76
Bonds and Other S ecu rities__ 40,667.93 Other L ia b ilit ie s _____________ 126,907.46
Cash on hand and due from
banks ______________________
20,722.94
A ll other r e s o u r c e s __________ 84,308.68
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$456,321.41

Total

$456,321.41

129

REPORT OF THE COMMISSIONER OF BANKING

JIM FALLS STATE BANK
Jim Falls
W. R. S tr o n g , S p ecia l D e p u ty C om m ission er
C o n d ition ns o f J a n u a ry 17, 1933
R e so u rc e s

L ia b ilitie s

Capital ______________________ $ 10,000.00
Surplus and Undivided Profits
2 ,0 0 0 . 0 0
D eposits:
T i m e ___________$ 14,327.11
D e m a n d _______
27,930.33
T ota l Loans and D iscoun ts $ 27,145.50
I n v e s tm e n ts ______________ .__
16,898.51
T otal D e p o s it s ______ ______ $ 42,257.44
A ll other r e s o u r c e s _________
9,749.29
464.14
U. D. Profits, d e f i c i t ________
Loans and D iscoun ts:
On real estate__$ 12,795.78
Other __________ 14,349.72

T otal

$ 54,257.44

? 54,257.44

T otal

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, 1936
C o lle c tio n s

Liquidation o f A s s e t s _______ $ 23,708.79
4,446.37
A ssessm ents on s t o c k ______
R e co v e ry on bonds ________
9,155.61
Other C ollection s ___________
1,739.97
Cash on hand Jan 17, 1933 __
3,547.15

D is b u r s e m e n ts

L eg al ________________________ $
75.84
3,448.08
A dm in istration ______________
Taxes, I n s u r a n c e ____________
131.61
Other Expenses _____________
937.36
C om prom ise— L o s s ___________
2,090.78
Com prom ise— Stk. Lia. _____
150.00
D ividends ____________________ 33,673.55

Off«eta

¿tot: 4 7

Cash on hand Dec. 31,1936 __
T o t a l _______________________ $ 42,597.89

1,595.20

T o t a l _______________________ $ 42,597.89

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, 1936
R e so u rc e s

Loans and D is c o u n t s ----------- $
B anking H ouse and F. and F.
Bonds and Other S ecu rities__
Cash on hand and due from
banks ______________________
A ll oth er resources _________
Com prom ise— L o s s ___________
U. D. Profits, d e f i c i t ________
Total

9


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L ia b ilitie s

4,711.60 C a p it a l_______________________ $ 10,000.00
5,727.25 Surplus a n d U n d i v i d e d 1 rofits
2.000.' 0
6,942.90 D eposits and C la im s ________
8,455.43
Other L i a b i l i t i e s ____________
100.00
1,595.20 Stock A s s e s s m e n t _____ _____
4,446.37
104.12
2,240.78
3,679.95

$ 25,001.80

Total

$ 25,001.80

130

REPORT OF THE COMMISSIONER OF BANKING

K E N N A N STATE BANK
Kennan

J ohn 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 ns o f F e b r u a r y 23, 1927
liia b ilitie s

R e so u rc e s

C a p it a l_______________________ $ 10,000.00
Loans and D iscoun ts:
1,924.54
T otal Loans and D iscounts $ 40.153.11 Surplus and Undivided Profits
Other R eal E s t a t e ___________
6,059.37 D e p osits:
T i m e ___________$ 16,229.52
I n v e s tm e n ts __________________
2,844.29
D e m a n d _______
26,317.88
All oth er r e s o u r c e s --------------5,415.17
T otal D e p o s it s _____________ $ 42,547.40
T otal

______________________ $ 54,471.94

T ota l

______________________ $ 54,471.94

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, 1936
C o lle c tio n s

Liqu idation o f A s s e t s _______ $ 43,033.41
10, 000.00
Assessm ents on s t o c k ----------2,247.21
Other C o lle c t io n s ____________
2,794.29
Cash date o f c l o s i n g -------------

58,074.91

Total

D is b u r s e m e n ts

L egal _______________________ 'i
A dm inistration _____________ It 6,637.98
Taxes, I n s u r a n c e --------------- (
Other E x p e n s e s ------------------ /
21,311.94
Loss A c c o u n t ________________
D ividends ____________________ 25,764.90
3,666.22
Offsets _______________________
693.87
Cash on hand Dec. 31, 1936 —
Total

58,074.91

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 R E R 31, 1936
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s ________ $ 12,352.70 C a p it a l_______________________ $ 10,000.00
D eposits and C la im s ________
16,693.08
Cash on hand and due from
banks ______________________
693.87
P rofit and Loss ______________ 13,646.51
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

26,693.08

Total

$ 26,693.08

REPORT OF THE COMMISSIONER OF BANKING

131

G A T E W A Y CITY BANK

La Crosse
W.

L. R o s s it e r , S p ecia l D e p u ty C om m ission er
C on dition as o f O ctob er 9, 1933

R e so u rc e s

L ia b ilitie s
Loans and D iscoun ts:
Capital ---------------------------------- $1 0 0 ,0 0 0 . 0 0
T otal Loans and D iscoun ts $238,745.00 Surplus and Undivided Profits
12,002.39
Other R eal E s t a t e __ :_______
48^500 00 D eposits:
I n v e s t m e n t s --------------------------- 113,581.50
T otal D eposits ____________ 298,265.52
A ll oth er r e s o u r c e s __________ 38,236.71 B orrow ing's from other Banks 28,747.4»
Other L ia b ilities ____________
4 7 82

T otal

---------------------------------- $439,063.21

T otal

----------------------------------$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 31, 1930
C o lle c tio n s

D is b u r s e m e n ts

L iqu idation o f A s s e t s _______ $160,716.28
A ssessm ents on s t o c k ______
18,321.61
R e covery on bond ___________ 112,501.50
Other C ollections, R e n t s ____ 17,348.20
Loan R. F. C . _______ ________ 48,954.75
Cash 10/9/33 ________________
26,144.11
Adj. Offsets _________________
.78

L egal ________________________ :
755.01
A dm in istration ______________
5,629.74
Col. Int. Rev. & Int. Paid __
47.82
Other Expenses _____________
5,811.81
B ills P ayable _______________
77,702.23
Exp. R. E. ___________________ 10,611.34
D ividends __________________
195,893.49
Offsets _______________________
44,134.11
Cash on hand Dec. 31, 1936 _ 10,743.43
Loss Bonds __________________ 21,563.76
Loss Court Order ____________ 11,091.92
Adj. Exp. A cct. _____________
2.57
$383,987.23
Total
$383,987.23

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
R e sou rce s

Loans and D is c o u n t s _______ $ 94 4 5 5 14
F. and F. -----------------------------11,500.00
Other R eal E s t a t e ___________ 48,500.00
Bonds and Other S ecu rities_
1,080^00
Cash on hand and due from
banks ---------------------------------- 1 0 ,7 4 3 . 4 3
A ll other r e s o u r c e s __________ 55,463.58
D ividend A ccou n ts __________ 195,893.49
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$417,635.64

193 «

L ia b ilitie s

C a p it a l------------------------------------$100,000.00
Surplus and Undivided Profits
1( 8 87
D eposits and C la im s ________ 26?; 9 3 9 7 9
Other L ia b ilities ____________ 33 164 0 2
Stock Assts. C o lle c t e d _______
18,32161
A djustm en t Div. A c c t s . _____
111 36
Total

$417,635.64

132

REPORT OF THE COMMISSIONER OF BANKING

SECURITY SAYINGS BANK
La Crosse
W. L. R ossiter, 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 9, 1930
L ia b ilitie s

R e so u rc e s

Capital ______________________ $ 60,000.0.'
Loans and D iscoun ts:
1 7 ,7 2 8 . 6 9
T otal Loans and D iscoun ts $414,071.8. Surplus and U ndivided Profits
I n v e s tm e n ts __________________ 84,587.12 D e p osits:
T ota l D eposits ____________ $403,928.97
All other r e s o u r c e s --------------- 59,230.78
O on 'ow in ss from OLlier lian ks
i 6 ,is a .j 0
Other L ia b ilit ie s -----------------42.84
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 a te o f C lo s in g to D e c e m b e r 31, 193C
D is b u r s e m e n ts

C o lle c tio n s

Liqu idation o f A s s e t s ------------$289,422.49
Assessm ents on s t o c k ---------- 28,110.29
R e co v e ry on b o n d ___________ 73,106.11
R. F. 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

191.36
Tax. Cert. A c c t . -------------------- $
L egal ________________________
2,953.89
A dm in istration ______________
6,052.86
Ref. K le e b e r _____________
161.84
Other Expenses and Int. Pd.
5,573.06
B ills P a y a b le ----------------127,530.86
5,288.30
P referred C la im s -----------------D ividends ____________________ 196,689.15
Offsets _______________________
51,425.90
Cash on hand Dec. 31, 1936 _ 22,424.14
Loss Bonds __________________ 25,338.65
Loss Court O r d e r ___________ 46,276.21
Bond T ran sfer ______________
500.00

T o t a l _______________________ $490,406.22

T o t a l _______________________ $490,406.22

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, 1936

R esoii roes
Loans and D is c o u n t s ------------$142,094.31
8,000.00
F. anu F. ____________________
Div. A ccts. ___________________ 196,689.15
Bonds and Other S ecu rities__11,481.01
Cash on hand and due from
banks ______________________
22,424.14
A ll oth er r e s o u r c e s _________
86,194.69
Tax. Cert. A c c t . ______________
191.36
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$467,074.66

L ia b ilitie s

C a p it a l_______________________ $ 60,000.00
Surplus and U ndivided Profits
3,827.04
D eposits and C la im s ________ 361,039.81
Other L ia b ilit ie s -------------------- 14,080.64
Stock Assts. C o lle c t e d ______
28,110.29
Div. Pd. C r e d i t ______________
16.88

Total

$467,074.66

133

REPORT OF THE COMMISSIONER OF BANKING

RUSK COUNTY BANK
Ladysmith
J o h n R. H a y e s , D is tr ic t S p ecia l D e p u ty C om m ission er

C on dition ns of J a n u a r y 4, 1927
L ia b ilitie s

R e so u rc e s

C a p it a l_______________________ $ 37,500.00
Surplus and U ndivided Profits
6,545.74
D eposits:
T i m e __________ $465,569.82
D e m a n d _______ 193,603.71
T ota l Doans and D iscoun ts $595,535.94
Other R eal E s t a t e ___________ 54,798.06
T ota l D e p o s it s _____________ $659,173.53
I n v e s t m e n t s __________________ 72,676 35
A ll oth er r e s o u r c e s __________ 28,208.92 B orrow ing's from other Banks 48,000.00
Loans and D iscou n ts:
On real esta te__$193,617.83
Other __________401,918.11

T otal

______________________ $751,219.27

T ota l

______________________ $751,219.27

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 3 1 , 193C
D isb u r s e m e n ts

C o lle c tio n s

Liqu idation o f A s s e t s ________$442,583.81 L egal ______________________
A ssessm ents on s t o c k ______
15,700.00 A dm in istration -----------------Other C o lle c t io n s ---- -------------1,311.65 Taxes, I n s u r a n c e --------------Other E xpenses ____________
B ills P a y a b le ---------------------P referred C la im s --------------D ividends _________________
Offsets -------------------------------Cash on hand Dec. 31, 1936
$459,595.46

Total

6,598.19
22,325.33
16,035.43
5,169.35
48,312.96
15,686.55
281,712.10
56,043.26
7,712.29
$459,595.46

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, 1930
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s ------------$167,825.16 C a p it a l-------------- :-------------------- ; 37,500.00
B ank ing H ouse and F. and F. 12,559.75 Surplus and Undivided Profits 10, 000.00
Other R eal E s t a t e ----------------- 38,454.20 D eposits and C la im s ------------- 336,120.90
Bonds and Other S ecu rities— 16,987.23
Cash on hand and due from
banks ______________________
7,712.29
A ll oth er r e s o u r c e s _________ 140,082.27
$383,620.90
Total
$383,620.90
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

134

REPORT OF THE COMMISSIONER OF BANKING

STATE BANK OF LA VALLE
La Valle
F rank

C. D e v in e , S p ecia l D e p u ty C o m m ission er
C o n d itio n sis o f A u g u s t 2, 1932
L ia b ilitie s

R e so u rc e s

Capital ______________________ $ 23,000.00
Surplus and U ndivided Profits
16,431.58
D eposits:
T i m e ___________$227,094.56
D e m a n d _______
51,672.37
T ota l Loans and D iscoun ts $335,404.94
Other R ea l E s t a t e ___________ 10,697.46
T otal D eposits ____________ $278,766.93
I n v e s t m e n t s __________________ 22,909.23
A ll other r e s o u r c e s __________ 37,180.96 B orrow in gs from oth er Banks 15,400.00
Other L ia b ilit ie s _____________ 72,594.08
Loans and D iscoun ts:
On real esta te__$197,126.82
Other __________ 138,278.12

T ota l

______________________ $406,192.59

T ota l

______________________ $406,192.59

R e c e ip ts an d D is b u r s e m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1936
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s ------------$198,326.03 L egal ________________________ $ 2,637.13
6,891.66
A ssessm ents on s t o c k ---------- 15,400.00 A dm in istration ______________
2,906.75
Other C o lle c t io n s ____________ 25,180.42 Taxes, I n s u r a n c e _______
Cash on hand 8 / 2 / 3 3 ________
32,273.43 Other Expenses _____________ 12,998.58
15,400.00
B ills P ayable _______________
P referred C la im s ____________
96.16
D ividends ____________________ 221,463.05
Offsets _____________
8,721.13
Cash on hand Dec. 31, 1936 —
65.42
T o t a l _______________________ $271,179.88

T o t a l _______________________ $271,179.88

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 R E R 31, 1936
R e so u rc e s

Loans and D is c o u n t s _______
B ank ing H ouse and F. and F.
Other R eal E s t a t e ---------------Cash on hand and due from
banks ______________________
A ll oth er resources __________
Losses & D is b u rs e m e n ts -----T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L ia b ilitie s

62,280.50 C a p it a l_______________________ $ 23,000.00
4,466.00 Surplus and Undivided Profits 24,221.96
48,978.35 D eposits and C la im s ________ 127,655.32
Stock A sm ’t --------------------------- 15,400.00
65.42
172.24
74,314.77
$190,277.28

T otal

$190,277.28

REPORT OF THE COMMISSIONER OF BANKING

135

FARMERS AND MERCHANTS BANK
Lena
A. E.

B u t t r i c k , S p ecia l D e p u ty C om m ission er

C on dition as o f O ctob er 21, 1033
R e so u r c e s

L ia b ilitie s

Loans and D iscoun ts:
On real esta te__$ 54,564.55
Other _________
84,903.14

Capital ______________________ $ 25,000.00
Surplus and Undivided Profits
6,668.75
D eposits:
T i m e __________ $113,897.94
D e m a n d _______ 46,748.11

T otal Loans and D iscoun ts $139,467.69
Other R eal E s t a t e ___________ 20,900.00
I n v e s t m e n t s __________________ 61,948.75
T otal D eposits ____________ $160,646.05
A ll other r e s o u r c e s __________
6,101.41 B orrow in g’s from oth er Banks
35,855.45
Other L ia b ilities ____________
247.60
T ota l

---------------------------------- $228,417.85

T ota l

______________________ $228,417.85

R e c e ip ts and D is b u r s e m e n ts D a te o f Closing- to D e c e m b e r 31, 193G
C o lle c tio n s

D isb u r s e m e n ts

713.67
L iqu idation o f A s s e t s ________$157,333.91 L eg al ________________________ $
Assessm ents on s t o c k ______
2,800.00 A dm in istration ______________
3,277.88
Other C o lle c t io n s ____________ 13,938.23 Taxes, I n s u r a n c e ____________
3,326.12
Other Expenses _____________
7,085.15
B ills P a y a b le ________________
35,855.45
P referred C la im s ____________
469.41
D ividends ____________________ 63 634.16
5,560.67
Offsets _______________________
Cash on hand Dec. 31, 1936 __
5.143.65
Loss Conv. A ssets to c a s h _ 49,005.98
T o t a l ------------------------------------$174,072.14

T o t a l _______________________ $174,072.14

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, 1936
R e so u rc e s

D ividends ____________________ $
Loans and D is c o u n t s _______
B anking H ouse and F. and F.
Other R eal E s t a t e ___________
Bonds and Other S ecu rities_
Cash on hand and due from
banks ______________________
Other A ssets (Equip. P o s .)_
A ll oth er resources __________
D ef. Und. P rof. A c c t . _______

63,634.16
45,159.66
11,470.00
6,700.00
980.00
5,143.65
2,995.47
241.00
48,336.44

T o t a l ______ __________________$184,660.38


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L ia b ilitie s

C a p it a l_______________________ $ 25,000.00
D eposits and C la im s __________ 159,519.94
Other L ia b ilit ie s _____________
109.88
O utstanding D r a f t s _____ ____
30.56

T o t a l _________ _____________ $184,660.38

136

REPORT OF THE COMMISSIONER OF BANKING

BANK OF LINDEN
Linden
W a l k e r C. R o s eberry , SpecAal D e p u t y C om m ission er

C o n d ition a s o f N o v e m b e r 29, 1935
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
4,695.63
D eposits:
T i m e __________ $119,921.65
D e m a n d _______ 67,810.23
T ota l Loans and D iscoun ts $127,441.43
Other R eal E s t a t e ___________ 28,805.74
T ota l D eposits ____________$187,731.88
I n v e s t m e n t s __________________
5,348.46
1 0 ,0 0 0 . 0 0
A ll other r e s o u r c e s __________ 60,831.88 D e b e n t u r e s __________________
Loans and D iscoun ts:
On real esta te__$ 47,629.00
Other _________
79,812.43

T otal

$222,427.51

$222,427.51

Total

R e c e ip ts an d D is b u r s e m e n ts D a te o f Closing- to D e c e m b e r 31, 193G
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s ----------- $ 50,505.13
Assessm ents on s t o c k ______
10,459.45
R e covery on b o n d ___________
21.57
4,033.70
Other C o lle c t io n s ____________
R efun d Cr. E x p . _____________
365.18
407.74
R e co v e r y & Loss A c c t . ______
Claims Inc. __________________
132.79
Cash 11/29/35 _______________
51,467.12
$117,392.68

Total

298.70
L eg a l ________________________ $
A dm in istration ______________
2,030.09
Taxes, I n s u r a n c e ____________
366.21
Other Expenses _____________
1,047.27
Claim s I n c r e a s e d ____________
132.79
Undivided P r o f i t s ____________
50.00
85,393.38
Claim s R e d u c e d _____________
Offsets _______________________
10,692.40
Cash on hand Dec. 31, 1936 __17,381.84
$117,392.68

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 65.555.83 C a p it a l _______________________ $ 20,000.00
5,500.93
7,000.00 Surplus and Undivided Profits
B a n k in g H ouse and P. and P.
91,781.74
Other R eal E s t a t e ----------------- 44,073.37 D eposits and C la im s ________
Bonds and Other S ecu rities—
3,555.28 D e b e n t u r e s ___________________ 10,000.00
Stock A s s e s s m e n t_____________
10,459.45
Cash on hand and due from
17.381.84
banks ______________________
175.80
All oth er resources __________
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$137,742.12

T otal

$137,742.12

REPORT OF THE COMMISSIONER OF BANKING

137

LOMIRA STATE BANK
Lomira
F r a n k M . W a s h b u s h , S p ecia l D e p u ty C om m ission er

C o n d itio n as o f N o v em b er- 30, 1932
R esou rces

L ia b ilit ie s

Loans and D iscou n ts:
On real estate__$ 14,200.00
Other --------------- 35,981.29
T otal Loans and D iscoun ts $ 50,181.2!
Other R eal E s t a t e ___________
3,500 00
I n v e s t m e n t s --------------------------- 122,273^70
A ll oth er r e s o u r c e s __________
8,134.58
Total

$184,089.57

------------------------- $ 25,000.uu
Capital
Surplus and Undivided Profits 14 698 78
D eposits:
T i m e -----------------$ 83,341.24
D e m a n d ----------37,509.75
Total D eposits ------------------ $120,850.99
B orrow in gs from oth er B anks 20,650.00
Other L ia b ilit ie s _____________
2,889.80
T otal

---------------------------------- $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 C lo sin g to D e c e m b e r 31, 1930

C o lle c t io n s

L iqu idation o f A s s e t s _______ $ 8 8 ,9 7 9 . 9 7
14,360 0 0
Assessm ents on s t o c k ______
Other C o lle c t io n s ____________ 13,136 3 4

Total

$116,476.31

D is b u r s e m e n ts

L eg al ------------------------------------- 1
487.26
A dm in istration ______________
5,904.83
Taxes, I n s u r a n c e ____________
621.77
Other Expenses _____________
487.35
Bills P a y a b le ________________
21,198.77
P referred C la im s ____________
2,718.90
D ividends _______________
75,380.51
Offsets _______________________
5,635.52
Cash on hand Dec. 31, 1936
4,041.40
Total
$116,476.31

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, 1936

R esou rces

L ia b ilit ie s
Loans and D is c o u n t s _______ $ 5,373.52 C a p it a l___________________
3,500.00 D eposits and C la im s ____
Other R eal E s t a t e ___________
Bonds and Other S ecu rities_
8,’ l48.40
Cash on hand and due from
banks ---------------------------------4,041.40
A ll oth er r e s o u r c e s ________
109.70
Surplus— D eficit _____________ 45,127!04

Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 66,300.06

Total

25,000.00
41,300.06

$ 66,300.06

REPORT OF THE COMMISSIONER OF BANKING

138

CLARK COUNTY BANK
Loyal
H. M. B e r g e m a n n , S p ecia l D e p u ty C o m m ission er
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 it a l_______________________ $ 25,000.00
Surplus and Undivided Profits
1,958.96
D eposits:
T i m e ___________$ 95,886.12
D e m a n d _______
18,169.02
T ota l Loans and D iscoun ts $ 80,560.38
I n v e s t m e n t s __________________ 75,572.76
T ota l D eposits ____________ $114,055.14
A ll oth er r e s o u r c e s __________ 14,754.68
B orrow in gs from other Banks 28,593.58
Other L ia b ilities ____________
1,280.14
.Loans and D iscoun ts:
On real esta te__$ 23,738.54
Other __________ 56,821.84

$170,887.82

Total

$170,887.82

T otal

R e c e ip ts an d D is b u r s e m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1930
D is b u r s e m e n ts

C o lle c tio n s

Liqu idation o f A s s e t s ------------$120,543.97 L egal ________________________ $
A ssessm ents on s t o c k ---------- 14,572.27 A dm in istration ---------------------Other C o lle c t io n s ____________ 11,333.51 Taxes, I n s u r a n c e _____ ______
Other Expenses -------------------Loss __________________________
B ills P a y a b l e ________________
P referred Claim s ____________
D ividends ____________________
Offsets _______________________
Cash on hand Dec. 31, 1936 —
Paid Trustees _______________
$146,449.75

Total

1,421.10
5,939.80
1,824.43
6,164.59
38,263.23
28,593.58
1,280.14
42,921.80
5,408.81
3,369.65
11,262.62

$146,449.75

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, 1936
L ia b ilitie s

Loans and D is c o u n t s ----------- $ 43,068.63 C a p it a l_______________________ $ 25,000.00
1,958.57
B a n k in g H ouse and F. and F. 13,316.00 Surplus and Undivided Profits
Other R eal E s t a t e ___________
4,998.66 D eposits and C la im s ________ 108.600.92
Bonds and Other S ecu rities—
69.00 Other L iabilities ____________ 25,863.78
Cash on hand and due from
banks ______________________
3,369.65
A ll oth er r e s o u r c e s __________ 96,601.33
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$161,423.27

T otal

$161,423.27

REPORT OF THE COMMISSIONER OF BANKING

139

STATE BANK OF LUBLIN
Lublin
W. E. Jehn , S p ecia l D e p u ty C om m ission er
C o n d ition as o f D e c e m b e r 1, 1932
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
C a p it a l_______________________ $ 10,000.00
T ota l Loans and D iscoun ts $ 35,937.69 Surplus and Undivided Profits
2,987.48
Other R eal E s t a t e ___________
3,868.74 D eposits:
I n v e s t m e n t s __________________
6,768.75
T i m e ___________$ 17,150.45
A ll oth er r e s o u r c e s __________
4,647.41
D e m a n d _______
11,084.65
T otal D e p o s it s _____________ $ 28,235.11
B orrow in gs from oth er B anks 10,000.00
T otal

______________________ $ 51,222.59

T ota l

---------------------------------- $ 51,222.59

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, 1936
C o lle c tio n s

D is b u r s e m e n ts

Liqu idation o f A s s e t s _______ $ 40,863.54 L egal ------------------------------------- $ 1,205.69
A ssessm ents on s t o c k ______
1,887.49 A dm in istration __________
3,877.00
Other C ollection s ___________
1,661.18 Taxes, Insurance
_________
769.16
Other Expenses _____________
1,354.61
B ills P ayable ----------------------10,000.00
P referred Claim s Loss C. O. 10,606.33
D ividends -----------------------------13,432.31
Offsets -----------------------------------1,343.85
Cash on hand Dec. 31,1936 __
1,823.26
T o t a l ----------------------------------- $ 44,412.21

T o t a l ------------------------------------$ 44,412.21

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 31, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 13,729.19 C a p it a l------------------------------------$ 10,000.00
B ank ing H ouse and F. and F.
2,024.35 D eposits and C la im s ________
13,356.56
Bonds and Other S ecu rities__
1,310.00
Cash on hand and due from
banks ---------------------------------1,823.26
A ll oth er r e s o u r c e s __________
601.03
Loss --------------------------------------3,868.73
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

.? 23,356.56

T otal

$ 23,356.56

140

REPORT OF THE COMMISSIONER OF BANKING

BANK OF LUCK
Luck
A r t h u r J. K in g , S p ecia l D e p u ty C o m m ission er

C ondition as o f J u ly 29, 1930
L ia b ilitie s

R e so u rc e s

C a p it a l_______________________ $ 45,000.00
Loans and D iscoun ts:
10,477.40
T otal Loans and D iscoun ts $327,855.68 Surplus and Undivided Profits
Other R eal E s t a t e ___________ 26,794.57 D eposits:
T i m e ___________$230,013.14
I n v e s t m e n t s __________________ 27,675.00
D e m a n d _______ 112,537.21
A ll other r e s o u r c e s __________ 17,024.22
T ota l D eposits ____________$342,550.35
Other L ia b ilit ie s _____________
1,321.72
T otal

______________________ $399,349.47

T ota l

______________________ $399,349.47

R e c e ip ts an d D isb u r se m e n ts D a te o f C losin g' t o D e c e m b e r 31, 1936
C o lle c tio n s

L iqu idation o f Assets
Assessm ents on stock
Other C ollection s

D is b u r s e m e n ts

$277,916.49 L eg al ________________________ $ 4,139.43
23,154.62 A dm in istration ______________
9,888.97
22,754.74 Taxes, Insurance ___________
9,191.91
Other Expenses _____________
7,467.95
21.74
P referred C la im s ____________
D ividends ---------------------------------116,091.39
Offsets _______________________
20,274.76
Cash on hand Dec. 31, 1936 __
7,503.86
A d ju s t m e n ts --------------------------- 149,245.84

T o t a l _______________________ $323,825.85

T o t a l ------------------------------------$323,825.85

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, 1936
R e so u r c e s

Loans and D is c o u n t s _______ $ 96,605.90
Other R eal E s t a t e ___________ 81,901.11
Bonds and Other S ecu rities__
245.00
Cash on hand and due from
banks ---------------------------------7,503.86
Undivided P r o f i t s ____________ 100,024.32
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$286,280.19

L ia b ilitie s

C a p it a l_______________________ $ 45,000.00
Surplus and Undivided Profits 10,000.00
D eposits and C la im s ________ 208,125.57
Other L ia b ilit ie s _____________ 23,154.62
T otal

$286,280.19

REPORT OF THE COMMISSIONER OF BANKING

141

CAPITAL CITY BANK
Madison
J. T.

L e w i s , S p ecia l D e p u ty C om m ission er

C o n d ition as o f N o v e m b e r 10. 1931
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real e s ­
tate ______ $ 413,348.66
Other ---------- 1,164,896.33

Capital -------------------------------- $ 200,000.00
S u r p l u s and Undivided
P r o f i t s -----------------------------180,479.47
D ep o s its :
Tim e ________ $526,158.98
Demand ____ 893,978.86

T otal Loans and D isc o u n t s __________________ $1,578,244.99
Other R eal E s t a t e ________
4,500.00
T otal D e p o s it s ___________ $1,420,137.84
Investm ents _______________
680,982.19 B orrow in gs from o t h e r
A ll oth er r e s o u r c e s _______
127,038.01
Banks -----------------------------579,424.63
Other L ia b ilit ie s ___________
10,723.25
T ota l -------------------------------- $2,390,765.19

T otal -------------------------------- $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 s in g to D e c e m b e r 31, 1930
C o lle c tio n s

D is b u r s e m e n ts

L iqu idation o f A s s e t s ______ $1,253,913.81 L egal ----------------------------------- $
32,955.47
Assessm ents on s t o c k __________________ 117,455.05
A d m in is t r a tio n _____________
24,566.21
Other C o lle c t io n s ___________
126,753.04 Taxes, I n s u r a n c e ___________
28.837.46
R. F. C. L o a n ____________
111,099.78 Other E x p e n s e s ____________
35.579.47
Bills P ayable ______________
579,424.63
P referred C la im s ___________
161,661.67
D iv id e n d s ___________________
416,501.01
O f fs e t s ______________________
193,598.21
Cash on hand Dec. 31, 19367,194.02
A djustm en ts _______________
128,903.53
T otal
$1,609,221.68
T otal
$1,609,221.68

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, 193«
R e so u rc e s

Loans and D is c o u n t s ______ $ 793,518.99
B anking H ouse and F, & F.
35,614.00
Other R eal Estate
_______
41,993.43
Bonds and Other Securities
305,144.40
Cash on hand and due from
banks -----------------------------5,373.93
A ll oth er resources C. I. &
O. D . ---------------------------------3,052.07
D iv id e n d s ___________________
416,501.01
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$1.601,197.83

L ia b ilitie s

Stock Asses. ----------------------- $ 117,455 05
Capital -------------------------------181,068.23
D eposits and C la im s _______ 1.191,195.19
37 9 58
Other L ia b ilities ___________
R. F. C. L o a n ---------------------111,099;78

Total

$1,601,197.8

142

REPORT OF THE COMMISSIONER OF BANKING

AMERICAN EXCHANGE BANK
Manitowoc
A.

L. H

ougen,

S p ecia l D e p u ty C o m m ission er

C o n d ition as o f O ctob er 15, 1932
L ia b ilitie s

R e so u rc e s

C a p it a l_______________________ $100,000.00
Surplus and U ndivided Profits
40,445.94
D eposits:
T i m e __________ $223,527.51
D e m a n d _______ 107,658.50
T otal Loans and D iscoun ts $367,907.72
I n v e s tm e n ts __________________ 108,768.94
T ota l D eposits ___________ $331,186.01
All other r e s o u r c e s _________ 135,014.90
B orrow ing's from other B anks 40,000.00
Other L ia b ilit ie s ____________ 100,059.61
Loans and D iscou n ts:
On real esta te__$135,923.00
Other — ■______ 231,984.72

T ota l

______________________ $611,691.56

T ota l

___________________$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 losing- to D e c e m b e r 31, 1930
D is b u r s e m e n ts

C o lle c tio n s

Liqu idation o f A s s e t s ________$241,595.60
A ssessm ents on s t o c k ______ 42,000.00
R e co v e ry on b o n d ___________
420.85
Other C ollection s ______ ____ 26,830.60
R eal E state S o l d _____________ 12,743.03

T o t a l _______________________ $323,590.08

L eg al ________________________ $ 5,468.28
A dm in istration ______________
4,290.00
Taxes, I n s u r a n c e ____________
6,277.53
Other Expenses _____________
11,647.^53
In terest Paid ________________
1,351.50
P referred C la im s ____________ 260,548.96
O ffs e t«

1 S Q77 til

Cash on hand Dec. 31, 1936 __

20,’628!77

T o t a l _______________________ $323,590.08

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, 1936
R e so u rc e s

Loans and D is c o u n t s ------------$112,572.05
B a n k in g H ouse and F. and P. 31,587.57
Bonds and Other S ecu rities— 73,063.65
Cash on hand and due from
banks ______________________
20,628.77
A ll other r e s o u r c e s __________ 71,784.24
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$309,636.28

L ia b ilitie s

C a p it a l__________________ $100,000.00
Surplus and U ndivided Profits 107,241.65
D eposits and C la im s ___ 90,272.13
Other L ia b ilit ie s _______
12,122.50
Total

$309,636.28

143

REPORT OF THE COMMISSIONER OF BANKING

BANK OF MARSHALL, Delinquent
Marshall
A. J.

S p e r l e y , S p ecia l D e p u ty C om m ission er

C o n d ition as o f J u ly 22, 1932
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real esta te_$ 10,449.88
Other --------------- 56,428.51

C a p it a l_______________________ $ 15,000.00
Surplus and Undivided Profits
6,991.79
D eposits:
T i m e ___________$ 92,037.01
T otal Loans and D iscoun ts $ 66,878.39
26,694.00
D e m a n d _______
Other R eal E s t a t e ___________
5,500.00
I n v e s tm e n ts __________________ 63,772.90
T otal D e p o s it s _____________ $118,731.01
A ll other r e s o u r c e s __________
7,571.51 B orrow ing's from other Banks
3,000.00
Total

$143,722.80

Total

$143,722.80

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, 1936
D is b u r s e m e n ts

C o lle c tio n s

L iquidation o f A s s e t s _______ $ 65,993.79 L eg al ________________________ $ 1,502.45
7,903.55
Assessm ents on s t o c k ______
13,300.00 A dm in istration ______________
R ecovery on b o n d ____________
6,994.04 Taxes, Insurance ____________
495.11
Other C o lle c t io n s ______________
7,819.49 Other Expenses _____________
584.30
3,000.00
Bills P ayable _______________
P referred Claim s ____________
45.00
D ividends ____________________ 75,313.42
Offsets _______________________
5,242.15
Cash on hand Dec. 31, 1936 __
21.34
Total

$ 94,107.32

Total

$ 94,107.32

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, 1936
R e so u rc e s

Loans and D is c o u n t s _______
B ank ing H ouse and F. and F.
Other Real E s t a t e ________ :__
Bonds and Other S ecu rities_
Cash on hand and due from
banks ______________________
A ll oth er resources __________
Profit and Loss (L oss) ______
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L ia b ilitie s

18,989.82 C a p it a l------------------------------------$ 13,000.00
1,8-08.75 D eposits and C la im s ________
50,316.37
5,000.00 Stock Assessm ents C ollected 13,300.00
23,062.50
21.34
4,136.41
25,597.55
$ 78,616.37

Total

$ 78,616.37

144

REPORT OF THE COMMISSIONER OF BANKING

CLOVERLAND STATE BANK
Marshfield
A l v in F a s s , S p ecia l D e p u ty C o m m ission er

C on dition ns o f D e c e m b e r 6, 1932
L ia b ilitie s

R e so u rc e s

C a p it a l----------------------------------- $ 50,000.00
Loans and D iscou n ts:
20,727.47
T otal Loans and D iscoun ts $342,678.20 Surplus and Undivided Profits
Other R eal E s t a t e ----------------2,125.00 D e p osits:
Total D e p o s it s _____________ $265,966.12
Investm ents --------------------------- 45,150.00
A ll oth er r e s o u r c e s --------------6,789.91 B orrow ing's from other Banks 58,000.03
Other L ia b ilit ie s _____________
2,049.49
T otal

______________________ $396,743.11

T otal

______________________ $396,743.11

R e c e ip ts an d D isb u r se m e n ts D a te o f Closing- t o D e c e m b e r 31, 1936
D is b u r s e m e n ts

C o lle c tio n s

Liquidation o f A s s e t s ------------$224,781.09 L egal ________________________ $ 2,332.88
9,068.56
A ssessm ents on s t o c k ---------- 33,237.64 A dm in istration ---------------------2,732.30
Other C ollection s ___________ 34,250.47 Taxes, I n s u r a n c e -----------------Other Expenses _____________
4,244.88
B ills P a y a b le ______ I--------------- 58,000.03
P referred C la im s ____________ 10,832.82
D iv id e n d s ____ ________________ 115,809.67
Offsets _______________________
29,794.20
Cash on hand Dec. 31, 1936 — 11,405.39
Losses b y cou rt o r d e r ______
48,048.47
T o t a l ____________________!-----$292,269.20

T o t a l _______________________ $292,269.20

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, 1936
R e so u rc e s

Loans and D is c o u n t s ----------- $139,805.38
7,485.50
B a n k in g H ouse and P. and P.
8,645.00
Other R eal E s t a t e ---------------100.00
Bonds and Other S ecu rities—
Cash on hand and due from
banks ---------------------------------- 11.405.39
A ll other r e s o u r c e s --------------- 73,220.35
D ividends paid
---------------- 115,809.67
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$356,471.29

L ia b ilitie s

C a p it a l_______________________ $ 50,000.00
Surplus and Undivided Profits 20,727.55
D eposits and C la im s --------------- 116,019.94
Other L ia b ilit ie s _____________
53,914.13
D ividends paid _______________ 115,809.67

T otal

$356,471.29

145

REPORT OF THE COMMISSIONER OF BANKING

CITIZENS STATE BANK
Menomonee Falls
B a s il

I. P e t e r s o n , S p ecia l D e p u ty C om m ission er
C o n d ition as o f M ay % 1033
L ia b ilitie s

R e so u rc e s

C a p it a l____ _____________ $ 50,000.00
Surplus and U ndivided Profits 12,500.00
D eposits:
T i m e ____ ______ $174,054.47
84,331.19
Demand _ ______
T otal Loans and D iscoun ts $330,132.80
I n v e s t m e n t s __________________ 80,546.61
T otal D e p o s it s _____________ $258,385.66
A ll oth er r e s o u r c e s __________
34,422.48
B orrow ing's from other B anks 105,540.14
Other L ia b ilit ie s _____________ 18,676.09
Loans and D iscoun ts:
On real esta te__$ 79,476.53
Other __________ 250,656.27

$445,101.89

T otal

$445,101.89

T otal

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, 1030
D isb u r s e m e n ts

C o lle c tio n s

L iquidation o f A s s e t s _______ $
A ssessm ents on s t o c k ______
R e covery on b o n d ___________
Other C o lle c t io n s ___________■_
In terest on B o n d s ___________
In terest on Loans and D isc__
Cash on hand 5 / 3 / 3 3 ________
Lia. on Fid. B o n d ____________
Profits o f Bonds S o l d _______
O verdrafts ___________________

91,850.35
22,862.06
75,959.24
10,982.91
6,303.11
8,592.53
23,226.67
5,000.00
2,714.01
56.06

$247,546.94

T otal

L egal ________________________ $
A dm in istration ---------------------Taxes, Insurance -----------------Other E xpenses _____________
B ills P ayable ----------------------P referred C la im s ____________
D iv id e n d s ------ -----------------------Judgm ents P u r c h a s e d ---------Offsets ---------------,-------------------Cash I t e m s ----------------------------Cash on hand Dec.30, 1936 __
Funds Temp. A d v . ___________
In terest P a i d _________ ,______
Cash V a r i a t i o n ______________
Loss on Bonds, e t c . __________

3,722.75
6,550.57
2,915.94
6,841.15
99,460.49
5,803.91
33,533.05
182.99
10,223.30
647.97
17,170.28
98.37
11,274.86
10.85
49,110.46

$247,546.94

T otal

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, 1936
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s ------------$238,282.45
B a n k in g H ouse and F. and F.
9,000.00
Bonds and Other S ecu rities—
4,538.00
Cash on hand and due from
banks ______________________
17,170.28
A ll oth er r e s o u r c e s __________ 91,832.17
T otal

10


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$360,822.90

C a p it a l_______________________ $ 50,000.00
Surplus and Undivided Profits 1 2.500/0
D eposits and C la im s ________ 222,254.55
Other L ia b ilit ie s -------------------- 34,126.64
A ssessm ents Paid _______ .___ 22,862.06
B ills P a y a b l e ________________
19,079.65
T otal

$360,822.90

REPORT OF THE COMMISSIONER OF BANKING

146

STATE BANK OF MERRIMACK
Merrimack
O. K . J o h n s o n , S p ecia l D e p u ty C o m m ission er

C o n d ition as o f D e c e m b e r 7, 1932
L ia b ilitie s

R e so u rc e s

C a p it a l_______________________ $ 10,000.00
Loans and D iscou n ts:
T ota l Loans and D iscoun ts $ 56,566.69 D eposits:
T i m e ___________$ 72,132.72
7,000.00
Other R eal E s t a t e ___________
D e m a n d _______
15,442.14
I n v e s tm e n ts __________________ 39,859.02
2,962.04
A ll other resou rces __________
Total D eposits ------------------ $ 87,574.86
1,797.12
Undivided Profits (D eficit) —
B orrow in g’s from oth er Banks 10,586.97
Other L ia b ilit ie s _____________
23.04
T otal

______________________ $108,184.87

T otal

______________________ $108,184.87

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, 1930
D is b u r s e m e n ts

C o lle c tio n s

Liqu idation o f A s s e t s _______ $ 76,677.51 L eg a l ________________________ $ 1,042.55
2,956.20
Assessm ents on s t o c k ______
6,047.09 A dm in istration ______________
635.79
Other C o lle c t io n s ____________
9,298.71 Taxes, I n s u r a n c e ____________
Other Expenses _____________
2,423.14
B ills P ayable _______________
10,586.97
P referred Claim s ___________
25.25
D ividends ____________________ 35,467.42
2,248.82
Offsets _______________________
Cash on hand Dec. 31, 1936 _
833.06
Loss by A d ju s t m e n t ________
35,804.11
$ 92,023.31

Total

T otal

$ 92,023.31

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, 193«
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 13,663.19 C a p it a l------------------------------------$ 10,000.00
3,686.40 D eposits and C la im s ________
B anking H ouse and P. and F.
53,442.71
9,545.50 Stock A s s e s s m e n t ___________
6,0'47.09
Other R eal E s t a t e ___________
D ividend Paid ( 4 0 % ) _______
35,467.42
Cash on hand and due from
833.06
b a n k s ________ ._____ !----------35,467.42'
Div. P a i d _____________________
Undivided Profits (D e ficit)__ 41,761.65
Total _


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$104,957.22

Total

$104,957.22

REPORT OF THE COMMISSIONER OF BANKING

147

COLUMBIA SAVINGS BANK
Milwaukee
A lfred N e w l a n d e r , S p ecia l D e p u ty C om m ission er

C on dition as o f M a y 19, 1933

R esources
Loans and D iscoun ts:
On real estate__$175,372.42
Other --------------200.31

L ia b ilitie s

Surplus and Undivided Profits $ 10,432.96
D eposits:
T i m e ---------------- $115,478.53

T otal Loans and D iscoun ts $175,572.73
T otal D eposits ------------------ $115,478.53
Other R eal E s t a t e ___________
5,800.91 B orrow in gs from oth er Banks 68,561.76
I n v e s t m e n t s __________________
4,438.00
A ll oth er r e s o u r c e s __________
8’ 66L61
T ota l

---------------------------------- $194,473.25

T ota l

---------------------------------- $194,473.25

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, 1936
C o lle c tio n s

D is b u r s e m e n ts

L iqu idation o f A s s e t s _______ $ 59,352.31 L egal ------------------------------------- $ 1,406.07
Other C o lle c t io n s ------------------ 13,365.59 A dm in istration ______________
7,679.19
Taxes, I n s u r a n c e ____________
918.39
Other Expenses _____________
7,753.69
B ills P ayable _______________
44,226.94
P referred C la im s ____________
110.00
Offsets _______________________
63.00
Cash on hand Dec. 31, 1936 __
599.72
Losses ___________________
9,960.90
Total
$ 72,717.90
Total
.$ 72,717.90

CONDENSED

S T A T E M E N T O E C O N D IT IO N D E C E M B E R 31, 1936

R e so u rc e s

L ia b ilitie s
Loans and D is c o u n t s _______ $ 80,390.04 Surplus and Undivided
Profits$ 8,424,40
B ank ing H ouse and F. and F.
4,586.77 D eposits and C la im s ________ 140,503.69
Other R ea l E s t a t e ___________ 46,841.81 Other L ia bilities ____________
537.13
Cash on hand and due from
banks ______________________
599.72
A ll other resources __________
198.08

Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$132,616.42

Total

$132,616.42

148

REPORT OF THE COMMISSIONER OF BANKING

FRANKLIN STATE BANK
Milwaukee
A lfred N e w l a n d e r , S p ecia l D e p u ty C o m m ission er

C on dition as o f June 17, 1031
L ia b ilitie s

R e so u rc e s

Loans and D iscoun ts:
On real estate $ 95,456.50
O t h e r ________ 540,221.86
T otal Loans and D isc o u n t s __________________$ 635,678.36
In vestm ents _______________
258,503.95
A ll other r e s o u r c e s ________
120,781.01

T otal _____________________ $1,014,963.32

Capital. _____________________ $
S u r p l u s and Undivided
P r o f i t s ____________________
D e p osits:
Tim e _________ $547,076.48
Demand ______ 312,162.15

75,000.00
41,188.41

T ota l D e p o s it s ___________$ 859,238.63
B orrow ing's from o t h e r
30,000.00
Banks ____________________
Other L ia b ilit ie s ----------------9,536.28
T ota l _____________________ $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 s in g to D e c e m b e r 31, 1936
D is b u r s e m e n ts

C o lle c tio n s

L iquidation o f A s s e t s ________$423,205.12 L egal ________________________ $ 8,567.1 2
Assessm ents on s t o c k _____ 14,893.97 A dm in istration ---------------------- 22.074.61
5,069.27
Other C o lle c t io n s _____________ 161,134.81 T axes, I n s u r a n c e -----------------Other Expenses -------------------- 36,194.93
30,000.00
B ills P a y a b le ________________
Losses ________________________ 124,794.11
D ividends ____________________ 267,715.27
64.804.62
Offsets _______________________
1,388.45
Cash on hand Dec. 31, 1936 _
Miscl. Disb. & A d j . ----------------- 38,625.52
$599,233.90

Total

Total

$599,233.90

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, 1936
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s ------------$311,616.06
B a n k in g H ouse and P. and F. 29,984.42
Other R eal E s t a t e ----------------- 43,444.22
Bonds and Other S ecu rities_132,618.70
Cash on hand and due from
banks ______________________
1,388.45
A ll oth er r e s o u r c e s __________
6,077.40
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$525,129.25

C a p it a l_______________________ $ 75,000.00
Surplus and U ndivided Profits 161,328.94
D eposits and C la im s ________ 515,558.01
Other L ia b ilit ie s _____________ 35,900.18

Total

$525,129.25

REPORT OF THE COMMISSIONER OF BANKING

149

HOPKINS STREET STATE BANK
Milwaukee
A lfred N e w l a n d e r , S p ecia l D e p u ty C om m ission er

C o n d ition as o f

lanuary HO, 1933

R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real esta te__$ 53,600.00
Other --------------- 75,201.67

Capital ---------------------------------- $200,000.00
Surplus and Undivided Profits 115,892.24
D eposits:
T i m e ---------------- $ 62,539.55
T ota l Loans and D iscoun ts $128,801.67
D e m a n d _______
34,629.07
I n v e s t m e n t s __________________ 78,615.41
A ll other r e s o u r c e s __________
9,397.13
T otal D eposits ____________ $ 97,168.62
B orrow in gs from other Banks 26,495.00
9,042.83
Other L ia b ilit ie s _____________
Total

----------------------------------$216,814.21

T otal

---------------------------------- $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 s in g t o D e c e m b e r 31, 1930
C o lle c tio n s

D is b u r s e m e n ts

Liqu idation o f A s s e t s _______ $ 91 577.78 L egal ------------------------------------- $
A ssessm ents on s t o c k ______
51,675.47 A dm in istration ______________
Other C ollection s ___________ 28,166.62 Taxes, I n s u r a n c e ____________
Other Expenses _____________
B ills P a y a b le ________________
P referred C la im s __________
D ividends -----------------------------Offsets -----------------------------------Cash on hand Dec. 31, 1936 __
In terest Paid on C la im s ____
L o s s e s ------------------------------------T o t a l _______________________ $171,419.87

3,998.36
6,904.09
3,227.25
6,233.35
26,495.00
150.67
95,185.86
1,180.67
1,551.57
10,266.40
16,226.65

T o t a l ------------------------------------$171,419.87

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, 193«
R e so u rc e s

Loans and D is c o u n t s _______ $
B ank ing H ouse and F. and F.
Other R eal E s t a t e ___________
Bonds and Other S ecu rities__
Cash on hand and due from
banks ---------------------------------A ll oth er r e s o u r c e s __________
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

21,342.09
51,723.61
13,105.29
16,583.04

L ia b ilitie s

C a p it a l ------------------------------------ $200,000.00
S u rp lu s and U n d ivid ed P ro fits 148,158.29

D eposits and C la im s ________
Other L ia b ilit ie s _____________

835.19
51,675.47

1,551.57
46.77

$104,352.37

T otal

$104,352.37

150

REPORT OF THE COMMISSIONER OF BANKING

LIBERTY STATE BANK
Milwaukee
A lfred N e w l a n d e r , S p ecia l D e p u ty C om m ission er

C o n d ition as o f J u ly 18, 1932
L ia b ilitie s

R e so u rc e s

____________ $ 150,000.00
Capital
Loans and D iscou n ts:
S u r p l u s and Undivided
T ota l Loans and D is124,518.43
Profits _
c o u n t s __________________ $1,085,919.39
Other R eal E s ta t e --------------8,501.05 D eposits:
$374,438.11
Tim e —
Investm ents _______________
430,792.93
405,814.21
Dem and
A ll oth er r e s o u r c e s ----------179,417.16
T ota l D e p o s it s ---------------- $ 780,252.32
B orrow in gs from o t h e r
B anks ____________________
581,700.00
Other L ia b ilities --------------68,159.78
$1,704,630.53

T otal

$1,704,630.53

T otal

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, 1936
D is b u r s e m e n ts

C o lle c tio n s

L iquidation o f A s s e t s ______ $ 839,823.84 L e g a l _______________________ $
Assessm ents on s t o c k _____
100,388.75 A d m in is t r a tio n _____________
Other C o lle c t io n s ___________
100,587.61 Taxes, I n s u r a n c e ---------------Other E x p e n s e s ____________
B ills P a y a b l e ______________
P referred C la im s ___________
D iv id e n d s ___________________
O f fs e t s ______________________
Cash on hand Dec. 31, 1936
Losses ______________________
.$1,040,800.20

T otal

Total

27,422.77
29,497.22
12,790.78
46,510.46
581,700.00
1,192.15
93,957.62
133,012.18
9,575.39
105,141.63

$1,040,800.20

C O N D E N S E D S T A T E M E N T O P C O N D IT IO N D E C E M B E R 31, 1936
L ia b ilitie s

R e so u rc e s

Capital _____________________ $ 150,000.00
Surplus and U n d i v i d e d
P r o f i t s _______________________

D eposits and C la im s _______
Other L ia b ilit ie s ___________

18,108.35

558,396.35
158,508.75

-

_

Loans and D is c o u n t s ----------$ 467,816.94
B a n k in g H ouse and P. & P. 142,716.89
Other R eal E s t a t e
28,183.31
Bonds and Other Securities
197,572.93
Cash on hand and due from
banks ------------------------------9,575.39
A ll oth er r e s o u r c e s
2,931.29
T ota l


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

.$ 848,796.75

T ota l

.$ 848,796.75

151

REPORT OF THE COMMISSIONER OF BANKING

MILWAUKEE COMMERCIAL BANK
Milwaukee
A lfred N e w l a n d e r , S p ecia l D e p u ty C om m ission er

C on dition as o f M a y 25, 1933
L ia b ilitie s

R e so u rc e s

Capital _____________________$ 400,000.00
Loans and D iscou n ts:
S u r p l u s and Undivided
T ota l Loans and D is­
78,590.81
P r o f i t s ____________________
counts __________________$ 675,188.82
Other R eal E s t a t e ________
19,713.24 D eposits:
Tim
e
________
$719,582.74
Investm ents _________________
648,192.31
A ll oth er r e s o u r c e s __________
198,502.08 Demand ____ 121,901.57
T otal D e p o s it s __________ $ 841,484.31
Borrow ing's from o t h e r
Banks ____________________
104,740.00
Other L i a b ilit ie s ----------------116,781.33
T ota l _____________________ $1,541,596.45

Total _____________________ $1,541,596.45

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, 193t>
D is b u r s e m e n ts

C o lle c tio n s

L iquidation o f A s s e t s ______ $ 439,042.99 L e g a l _______________________ $
116,300.46 A d m in is tr a tio n _____________
A ssessm ents on s t o c k _____
Other C o lle c t io n s ___________
70,280.88 Taxes, I n s u r a n c e ___________
Other E x p e n s e s ____________
B ills P a y a b l e ______________
P referred C la im s ___________
D iv id e n d s ___________________
O f fs e t s ______________________
Cash on hand Dec. 31, 1936
Losses & A d j . ______________
$ 625,624.33

T otal

T otal

18,760.50
26.467.86
12,130.60
15,324.35
104,740.00
111,830.86
230,635.65
82,415.78
8,493.01
14,825.72

$ 625,624.33

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, 193«
R e so u rc e s

L ia b ilitie s

Loans and D iscounts --------- $ 442,063.12 Capital _____________________ $
B a n k in g H ouse and F. &F.
111,323,01 Surplus and U n d i v i d e d
P r o f i t s ____________________
Other R eal E s t a t e --40,603.48
Bonds and Other Securities
474,850.09 D eposits and C la im s _______
Other
L ia bilities ___________
Cash on hand and due from
banks ____________________
8,493.01
38,267.18
A ll oth er r e s o u r c e s _
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$1,115,599.89

Total

400,000.00
35.255.84
446,567.92
233,776.13

$1,115,599.89

REPORT OF THE COMMISSIONER OF BANKING

152

ST. FRANCIS STATE BANK
Milwaukee
A

lfred

N

ew lander,

D is tr ic t S p ecia l D e p u ty C om m ission er

C o n d ition ns o f O ctob er 22, 1932
L ia b ilitie s

R e so u rc e s

C a p it a l_______________________ $ 50,000.00
Surplus and U ndivided Profits
34,901.79
D eposits:
T i m e ___________$ 80,033.77
D e m a n d _______ 248,842.55
T ota l Loans and D iscoun ts $209,682.89
Other R eal E s t a t e __________
3,134.55
T ota l D eposits ____________ $328,876.32
I n v e s tm e n ts __________________ 196,875.83
4,900.00
All oth er r e s o u r c e s ________
74,905.84 B orrow ing's from other Banks
Other L ia b ilities— R. F. C___
65,921.00
Loans and D iscou n ts:
On real esta te__$ 57,030.00
Other __________ 152,652.89

Total

______________________ $484,599.11

T otal

______________________ $484,599.11

R e c e ip ts a m 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, 1936
D is b u r s e m e n ts

C o lle c tio n s

Liqu idation o f A s s e t s ________$278,737.99
A ssessm ents on s t o c k ______
42,312.65
R e co v e ry on b o n d ___________
5,692.50
Other C ollection s ___________ 54,785.31

L eg al ________________________ $ 4,221.64
A dm in istration ______________
6,254.55
Taxes, I n s u r a n c e _____ _______
7,484.82
6,342.59
Other E xpenses _____________
B ills P ayable _______________
70,821.00
P referred C la im s ____________
3,241.40
D ividends 70% ______________ 221,026.03
Offsets ------------------------------------ 10,920.14
Cash on hand Dec. 31, 1936 __
3,791.19
43,401.16
Charge Off’ s ________________
Int. Pd. R. F. C. & o t h e r s __
4,023.93

T o t a l _______________________ $381,528.45

T o t a l ------------------------------------$381,528.45

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, 1936
R e s o u rc e s

L ia b ilitie s

Doans and D is c o u n t s ----------- $ 69,912.31 C a p it a l_______________________ $
B a n k in g H ouse and F. and F. 36,483.00 Surplus and U ndivided Profits
Other R ea l E s t a t e -----------------13,550.00 D eposits and C la im s ________
Bonds and Other S ecu rities— 74,364.87 Stock A s s e s s m e n t s _________
Cash on hand and due from
banks ______________________
3,791.19
A ll oth er r e s o u r c e s ___________ 11,550.94
T ota l


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

652.31

50,000.00
21,760.68
95,578.98
42,312.65

T otal __________;___=_^___$209,652.31

REPORT OF THE COMMISSIONER OF BANKING

153

SECURITY BANK OF M ILW AU KEE
Milwaukee
A lfred N e w l a n d e r , 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 ly IS, 1932
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real estate $172,326.14
O t h e r --------------- 684,416.17
T ota l Loans and D is­
counts _________________ $
Other R eal E s t a t e ________
Investm ents _______________
All oth er resources ________
Total

Capital -------------------------------- $
S u r p l u s and Undivided
P r o f i t s ____________________
D eposits:
Tim e _________ $416,304.28
856,742.31
Demand ______ 430,901.32

2 0 0 , 000.00

437,673.30
T otal D e p o s it s ___________$
153,607.56 B orrow ing's from o t h e r
B anks ------------------------------

847,205.60

2 , 000.00

$1,450,023.17

T otal

133,512.57

269,305.00

$1,450,023.17

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, 193G
C o lle c tio n s

D is b u r s e m e n ts

Liquidation o f A s s e t s ______ $ 673,062.87 L e g a l _____ __________________ $
6,232.99
A ssessm ents on s t o c k _____
126,877.63 A dm inistration ______________
16,310.37
Other C o lle c t io n s _________
153,337.01 Taxes, In s u r a n c e ___________
10,671.96
Other E x p e n s e s ____________
29,001.45
B ills P ayable ______________
269,305.00
751.88
P referred C la im s ___________
D ividends _____________
437,747.28
O f fs e t s ---------------------------------102,286.09
Cash on hand Dec. 31, 1936
2,986.00
L o s s e s ------- ;------------------------77,984.49
Total

.$ 953,277.51

T otal

$ 953,277.51

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, 1936
R e so u rc e s

Loans and D is c o u n t s ______ $
B ank ing H ouse and F. & F.
Other R eal E s t a t e _________
Bonds and Other Securities
Cash on hand and due from
banks _______ ____________
A ll other resources ________
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L ia b ilitie s

312,639.90 Capital _____________________ $ 200 , 000.00
110,535.95 Surplus and U n d i v i d e d
100,166.78
P r o f i t s ____________________
92,144.09
199,246.14 D eposits and C la im s ______
308,045.03
Other L ia b ilit ie s ___________
126 877.63
2,986.00
1,491.98
727,066.75

Total

727,066.75

154

REPORT OF THE COMMISSIONER OF BANKING

SOUTHERN STATE BANK

Milwaukee
A lfred N e w l a n d e r , D is tr ic t S p ecia l D e p u ty C o m m ission er

C ondition a s o f O ctob er 26, 1932
L ia b ilitie s

R e so u rc e s

C a p it a l------------------------------------ $ 200 , 000.00
Loans and D iscoun ts:
48,144.95
T ota l Loans and D iscoun ts $317,338.13 Surplus and U ndivided Profits
I n v e s tm e n ts __________________ 329,883.50 D eposits:
T i m e ___________$118,458.47
All oth er r e s o u r c e s __________ 88,597.57
Dem and _______ 225,815.78
T ota l D eposits ------------------ $344,274.25
Borrow ing's from oth er Banks
and R F C ----------------------------- 143,400.00
$735,819.20

T otal

$735,819.20

T ota l

R e c e ip ts a n 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, 1936
D is b u r s e m e n ts

C o lle c tio n s

Liqu idation o f A s s e t s ________$349,937.34 L eg al ------------------------------------- $ 3,039.05
6,849.67
Assessm ents on s t o c k ________151,166.54 A dm in istration ______________
10,081.71
Other C ollection s ___________ 81,518.46 Taxes, I n s u r a n c e -----------------6,250.78
Other Expenses ______________
B ills P ayable _______________ 143,400.00
5,709.35
In terest Paid _______________
D ividends 90% ---------------------- 287,988.75
25,048.81
Offsets _______________________
Cash on hand Dec. 31, 1936 — 31,080.62
63,173.60
Charge Off’s ________________
$582,622.34

Total

Total

$582,622.34

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, 1936
L ia b ilitie s

R e so u rc e s

Loans and D iscoun ts ----------- $ 98,186.20 C a p it a l________________________$200,000.00
B a n k in g H ouse and F. and F. 55,800.00 Surplus and U ndivided Profits 33,046.61
32,749.33
Other R eal E s t a t e ______ .-____ 15,730.00 D eposits and C la im s ________
Bonds and Other S e cu ritie s-- 216,165.66 Stock A ssessm ents ___________ 151,166.54
Cash on hand and due from
banks ______________________
31,080.62
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$416,962.48

Total

$416,962.48

155

REPORT OF THE COMMISSIONER OF BANKING

BANK OF MINDORO

Mindoro
W

il l ia m

K

eppel,

S p ecia l D e p u ty C om m ission er

C o n d ition a s o f F e b r u a r y 3, 1033
L ia b ilitie s

R e so u rc e s

Loans and D iscoun ts:
On real esta te__$ 27,037.00
Other __________ 91,850.41
T otal Loans and D iscounts $118,887.41
I n v e s tm e n ts __________________ 128,402.16
A ll oth er r e s o u r c e s _________
15,794.02

T otal

______________________ $263,083.59

Capital ______________________ $ 12,000.00
Surplus and U ndivided Profits 18,699.27
D eposits:
T i m e __________ $156,700.58
D e m a n d _______ 44,123.17
T otal D e p o s it s _____________ $200,823.75
B orrow ing's from oth er Banks
31,500.00
Other L iabilities ____________
60.57
T ota l

______________________ $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 s in g to D e c e m b e r 31, 1930
D is b u r s e m e n ts

C o lle c tio n s

L iquidation o f A s s e t s ________$219,100.58
A ssessm ents on s t o c k ______
8,983.43
Other C ollection s ---------------15,210.27
Proceeds, R. P. C. L o a n ____ 23,331.43

617.25
L eg al ________________________ $
A dm in istration ______________
6,724.22
256.08
Taxes, I n s u r a n c e ____________
Other E xpenses _____________
2,183.56
B ills P ayable and In terest___ 56,302.69
P referred C la im s ___ ________
1,857.28
D ividends _____________________ 134,418.19
Offsets _______________________
7,102.18
Cash on hand Dec. 31,1936 __
2,973.31
48,020.41
Loss oji Bonds S o l d ________
Loss o'n L. & D. Com prom ise
6,170.54

T o t a l _______________________ $266,625.71

T o t a l _______________________ $266,625.71

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, 1936
R e so u rc e s

Loans and D is c o u n t s _______ !
B a n k in g H ouse and F. and F.
Bonds and Other S ecu rities__
Cash on hand and due from
banks ______________________
A ll other r e s o u r c e s _______ __
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L ia b ilitie s

35,488.80 C a p it a l_______________________ $ 12,000.00
4.500.00 Surplus and Undivided Profits
269.54
2.835.00 D eposits and C la im s ________
57,651.87
Other L ia b ilities ____________ 24,193.70
2,973.31
48,318.00

.$ 94,115.11

T otal

$ 94,115.11

156

REPORT OF THE COMMISSIONER OF BANKING

CONSOLIDATED BANK, Delinquent
Mineral Point
W a l k e r C. R o s eberry , 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 7, 1032
L ia b ilitie s

R e so u rc e s

Loans and D iscou n ts:
On r e a l e s­
tate ______$519,829.47
O t h e r _______ 663,273.70
T ota l Loans and D isc o u n t s _________________ $1,183,103.17
Other R eal E s t a t e _______
15,625.00
Investm ents ______________
57,521.60
A ll oth er r e s o u r c e s ______
78,246.58
T otal ____________________ $1,334,496.35

Capital _____________________ $
S u r p l u s and Undivided
P r o f i t s ____________________
D eposits:
Tim e ________ $592,025.34
Demand _____ 405,138.19

80,000.00
8,741.14

T otal D e p o s it s ___________$ 997,163.53
B orrow ing's from o t h e r
Banks ____________________
248,591.68
T o t a l ___'__________________$1,334,496.35

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, 1030
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s ______ $ 722,359.82
Assessm ents on s t o c k _____
29,713.63
R e co v e ry on b o n d _________
204.46
53,794.54
Other C o lle c t io n s ___________
Rec. Cr. E x p . _______________
778.81
Inc. Dep. L ia b ilit y _________
193.88
Rec. Cr. B o n d s _____________
858.00
13,677.31
Cash 7 / 7 / 3 2 ________________

L e g a l _______________________ $
A d m in is t r a tio n _____________
Taxes, I n s u r a n c e ___________
Other E x p e n s e s ____________
Bills P ayable ______________
P referred Claims R edu ced__
Gen. Claim s R e d u c e d ______
O f fs e t s ______________________
In terest P a i d _______________
Claim s I n c r e a s e d ___________
Court Order A d j . ___________
Cash Item __________________
Cash Dec. 31, 1936 __________

9,012.86
13,394.53
10,475.67
21,538.40
225,278.82
43,647.04
1,001.00
23,180.22
2,656.55
22.00
423,953.10
10.00
47,410.26

T ota l _____________________ $ 821,580.45

T ota l _____________________$

821,580.45

C O N D E N S E D S T A T E M E N T O P C O N D IT IO N D E C E M B E R 31, 1936
R e so u rc e s

Loans and D is c o im t s --------- $
B ank ing H ouse and P. & P.
Other R eal E s t a t e ---- ---------Bonds and Other Securities
Cash on hand and due from
banks ____________________
A ll oth er resources ________
C ourt Order A d ju s t m e n t___
Dr. S u r p lu s ________________
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L ia b ilitie s

503,372.34 Capital _____________________ $
39,225.31 D eposits and C la im s _______
30,097.84 Other L iabilities S t o c k ____
1,218.77

80,000.00
953,438.08
29,713.63

47,410.26
162.22
423,095.10
18,569.87

$1 063,151.71

Total

$1,063,151.71

157

REPORT OF THE COMMISSIONER OF BANKING

FARMERS STATE BANK
Minong

H. Gregerson, S pecial D e p u ty C o m m ission er
C o n d ition a s o f D e c e m b e r 30, 1933
L ia b ilitie s

R e so u rc e s

Loans and D iscou n ts:
On real esta te__$ 21,706.06
Other __________ 13,231.70

C a p it a l_______________________ $ 10,000.00
Surplus and Undivided Profits
7,165.25
D eposits:
T i m e ___________$ 19,763.90
T otal Loans and D iscoun ts $ 34,937.76
D e m a n d ----------- 46,179.97
Other R eal E s t a t e ___________
3,239.75
I n v e s tm e n ts ___________________ 25,616.02 T ota l D e p o s it s _____________ $ 65,943.87
All oth er 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 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, 1936
D is b u r s e m e n ts

C o lle c tio n s

894.39
L iquidation o f A s s e t s _______ $ 60,024.49 L egal ________________________ $
3,870.89
Assessm ents on s t o c k ______
5,337.03 A dm in istration ______________
1,625.59
881.20 Taxes, I n s u r a n c e ____________
Other C ollection s ___________
Other E xpenses _____________
926.95
P referred C la im s ____________
8,791.01
D ividends ____________________ 33,335.38
Offsets _______________________
1,288.78
Cash on hand Dec. 31, 1936 __
3,087.29
A d ju s t m e n ts __________________ 12,422.44
.$ 66,242.72

Total

T otal

$ 66,242.72

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, 1936
R e so u rc e s

L ia b ilitie s

Doans and D is c o u n t s ----------- $ 11,162.98 C a p it a l------------------------------------$ 10,000.00
B a n k in g H ouse and F. and F.
3,003.75 Surplus and U ndivided Profits
2,643.19
8,521.77 D eposits and C la im s ________
Other R eal E s t a t e ---------------56,001.64
Bonds and Other Secu rities—
2,341.79 Other L ia b ilities ____________
5,337.03
Cash on hand and due from
3 087.29
hanks ______________________
A ll oth er resources _________
12,528.90
D ividends ____________________ 33,335.38
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

73,981.86

T otal

73,981.86

158

REPORT OF THE COMMISSIONER OF BANKING

FARMERS STATE BANK
Modena

W. G. Rathke, S p ecia l D e p u ty C om m ission er
C o n d ition ns o f M a y 1, 1933
R e so u rc e s

L ia b ilitie s

Loans and D iscou n ts:
Capital ______________________ $ 10,000.00
T otal Loans and D iscoun ts $ 56,777.16 Surplus and Undivided Profits
2,535.94
Other R eal E s t a t e ___________
4,900.00 D eposits:
I n v e s t m e n t s __________________
3,927.10
T i m e ___________$ 35,111.77
A ll oth er r e s o u r c e s _________
D e m a n d _______
13,295.36
23,890.04
T ota l D eposits ____________ $ 59,001.81
Borrow ing's from oth er B anks
7,361.87
T ota l

______________________ $ 78,899.62

T ota l

______________________ $ 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 t o D e c e m b e r 31, 1936
C o lle c tio n s

L iquidation o f A s s e t s _______ $ 40,855.75
5,412.57
Assessm ents on s t o c k ______
Other C ollection s ___________
5,293.57
7,325.15

Total

58,887.04

D is b u r s e m e n ts

L eg al ________________________ $
600.97
4,044.30
A dm in istration ______________
Taxes, I n s u r a n c e ____________
588.46
Other E xpenses _____________
975.75
B ills P ayable _______________
7,361.87
P referred C la im s ____________
9,467.11
D ividends ____________________ 23,220.55
Offsets _______________________
9,566.70
Cash on hand Dec. 31, 1936 __
3,061.33
Total

$ 58,887.04

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, 1936
R e so u rc e s

Loans and D is c o u n t s _______ :
B a n k in g H ouse and P. and P.
Other R eal E s t a t e ___________
Bonds and Other S ecu rities__
Cash on hand and due from
banks ______________________
A ll oth er resources __________
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

18,906.05
2,064.25
4,900.00
1, 000.00

L ia b ilitie s

C a p it a l------------------------------------$ 10,000.00
Surplus and Undivided Profits
2,471.76
46,484.95
D eposits and C la im s ________
Other L iabilities ____________ 17,191.66

3,061.33
46,216.74
76,148.37

T otal

76,148.37

REPORT OF THE COMMISSIONER OF BANKING

159

MOUNT HOPE STATE BANK
Mount Hope
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 ondition ns o f S e p te m b e r 20, 1932
R e so u rc e s

L ia b ilitie s

Loans and D iscou n ts:
On real esta te__$ 50,383.05
Other --------------- 47,051.42

C a p it a l----------------------------------- $ 20,000.00
Surplus and Undivided Profits
6,174.52
D eposits:
T i m e ---------------- $ 66,065.56
T otal Loans and D iscoun ts $ 97,434.47
D e m a n d _______
32,739.69
Other R eal E s t a t e ___________ 12,500.00
I n v e s tm e n ts __________________ 10,767.50
Total D eposits ____________ $ 98,805.25
All oth er r e s o u r c e s ________
21,926.60 B orrow ing's from oth er B anks
15,259.62
Other L iabilities ____________
2,389.18
Total

$142,628.57

T otal

$142,628.57

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, 1936
C o lle c tio n s

D isb u r s e m e n ts

L iqu idation o f A s s e t s _______ $ 53,000.82 L egal ------------------------------------- $ 2,910.00
2,773.92 A dm in istration ______________
Assessm ents on s t o c k ______
6,582.19
Other C o lle c t io n s ____________ 10,041.17 Taxes, I n s u r a n c e ____________
1 615.61
B ills P ayable _______________
6/944.70 Other Expenses _____________
209.76
Cash on hand 9/26/32 _________
2,874.32 B ills P ayable ----------------------22,746.03
P referred C la im s ____________
253.41
D ividends __________ __________ 28 397 34
Offsets -----------------------------------7,287.66
4,945.91
Cash on hand Dec. 31, 1936 _
687.02
Other D is b u r s e m e n t s _______
Total
$ 75,634.93
Total
$ 75,634.93

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, 1936
R e so u rc e s

Loans and D is c o u n t s _______
B ank ing H ouse and F. and F.
Other R eal E s t a t e ___________
Bonds and Other S ecu rities_
Cash on hand and due from
banks ______________________
A ll oth er r e s o u r c e s _________
D eficit in S u r p lu s ___________
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L ia b ilitie s

26,557.90 C a p it a l------------------------------------$ 20,0°0 00
8,554.14 D eposits and C la im s ________
67,085.50
3,215.0? Stock A s s e s s m e n t s _________
2,773.92
4,950.00
4,945.91
1.19
41,635.23
89,859.42

Total

89,859.42

160

REPORT OF THE COMMISSIONER OF BANKING

MOUNT HOREB BANK

Mount Horeb
A l bert J. B a 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 a s o f J a n u a r y 18, 1932
L ia b ilitie s

R e so u rc e s

C a p it a l_______________________ $ 70,000.00
Surplus and Undivided Profits
17,022.46
D eposits:
T ota l D eposits -------------------$128,783.79
22,131.72
T otal Loans and D iscoun ts $224,397.60 B orrow ing's from other Banks
Other R eal E s t a t e ___________
7,700.00 Other L ia b ilities ____________ 87,273.87
I n v e s tm e n ts __________________ 47,996.31
A ll oth er r e s o u r c e s __________ 45,117.93
Loans and D iscoun ts:
On real esta te__$123,383.63
Other __________101,013.97

T ota l

______________________ $325,211.84

T ota l

______________________ $325,211.84

R e c e ip ts an d 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, 1936
D is b u r s e m e n ts

C o lle c tio n s

632.29
L iqu idation o f A s s e t s _______ $ 49,356.33 L eg al ________________________ $
6,712.79
A ssessm ents on s t o c k ______
48,136.17 A dm in istration ______________
7,527.39
Other C o lle c t io n s ____________ 26,363.63 Taxes, Insurance ____________
Other E x p e n s e s ______________
16,539.21
B ills P ayable _______________
27,131.72
P referred C l a i m s ____________
2,708.94
Cash on hand Dec. 31, 1936 __ 62,603.79
T o t a l _______________________ $123,856.13

T o t a l _______________________ $123,856.13

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, 1936
R e so u rc e s

Loans and D is c o u n t s ----------- $
B a n k in g H ouse and P. and P.
Other R eal E s t a t e ----------------Bonds and Other S ecu rities_
Cash on hand and due from
banks ______________________
A ll oth er r e s o u r c e s __________
D eficit _______________________
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L ia b ilitie s

71,712.53 C a p it a l_______________________ $ 70,000.00
41,738.00 D eposits and C la im s ________ 210,948.72
35,729.47
7,714.25
62,603.79
551.63
60,899.05

$280.948.72

Total

$280,948.72

161

REPORT OF THE COMMISSIONER OF BANKING

FARMERS & MERCHANTS BANK
Muscoda

F. C. McQuillan, S pecial D e p u ty C om m ission er
C o n d itio n a s o f M a rc h 19, 1934
L ia b ilitie s

R e so u rc e s

C a p it a l------------------------------------$ 40,000.00
Surplus and Undivided Profits 35,200.00
D eposits:
T i m e ___________$218,938.75
D e m a n d _______
98,212.79

Loans and D iscoun ts:
On real esta te__$117,059.25
Other __________ 272,356.58

T ota l Loans and D iscoun ts $389,415.83
Other R eal E s t a t e ___________ 17,125.86
T ota l D e p o s it s _____________ $317,151.54
I n v e s t m e n t s __________________
50.50
61,725.65
A ll oth er r e s o u r c e s __________ 38,569.04 B orrow in gs from oth er Banks
U ndivided P rofit A cct. D eficit
8,915.96
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 C lo s in g to D e c e m b e r 31, 1930
C o lle c tio n s

D is b u r s e m e n ts

L iqu idation o f A s s e t s ----------- $
Assessm ents on s t o c k ______
R e co v e ry on bond ___________
Other C o lle c t io n s ____________
Trust fund held by R. P. C.
Cash on hand date o f closin g

95,440.79
13,374.64
12.47
13,518.52
4,192.63
20,778.28

T o t a l _______________________ $147,317.33

L egal ________________________ $
A dm in istration ______________
Taxes, I n s u r a n c e ____________
Other E x p e n s e s ______________
B ills P a y a b l e ________________
P referred C la im s ____________
D ividends ____________________
Offsets _______________________
Cash on hand Dec. 31,1936 _
In terest on B ills P a y a b l e ___

1,000.78
5,159.83
3,230.80
13,754.00
61,729.03
363.21
20,317.39
11,975.93
23,376.37
6,409.99

T o t a l _______________________ $147,317.33

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, 1930
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s ------------$169,789.12 C a p it a l_______________________ $ 40,000.00
B a n k in g H ouse and P. and F.
3,294.24
D eposits and C la im s ________ 300,331.13
Other R eal E s t a t e ___________ 30,377.88
Cash on hand and due from
banks ______________________
23,376.37
113,493.52
Total

11


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$340,331.13

Total

$340,331.13

162

REPORT OF THE COMMISSIONER OF BANKING

MUSCODA STATE BANK
Muscoda
F. C. M cQuillan ,

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 19, 1932
R e so u rc e s

L ia b ilitie s

Loans and D iscou n ts:
On real esta te_$ 94,810.00
Other --------------- 199,969.04

C a p it a l------------------------------------$ 20,000.00
Surplus and Undivided Profits
4,792.79
D ep osits:
T i m e ---------------- $257,129.84
T otal Loans and D iscounts $294,779.04
49,970.35
D e m a n d _______
I n v e s t m e n t s __________________ 79,169.66
All oth er r e s o u r c e s __________ 12,044.28
Total D eposits ____________ $307,100.19
B orrow in gs from oth er Banks 54,100.00
Total

----------------------------------$385,992.98

T ota l

______________________ $385,992.98

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 t o D e c e m b e r 31, 1930
C o lle c tio n s

L iquidation o f A s s e t s _______ $153,955.45
Assessm ents on s t o c k ______
10,485.89
Other C ollection s ___________ 27,345.66
M oney b orrow ed from R.F.C. 57,946.38

Total

$249,733.38

D is b u r s e m e n ts

L eg al ------------------------------------- $ 2,236.92
A dm in istration ______________
6,707.58
4,297.16
Taxes, Insurance ____________
Other Expenses _____________ 12,790.76
Bills P a y a b le ------------------------- 54,100.00
57,946.38
P referred Claim s ____________
2,910.36
D ividends ____________________ 71,938.42
Offsets ------------------------------------ 23,681.27
Cash on hand Dec. 31, 1936 _ 11,270.94
In terest on b orrow ed m oney
1,853.59
Total

$249,733.38

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ ; 97,234.85 C a p it a l------------------------------------$ 20,000.00
B a n k in g H ouse and P. and F.
9 293.50 Surplus and Undivided Profits 17,252.57
O ther R eal E s t a t e ___________ 30,566.77 D eposits and C la im s ________ 216,764.89
Bonds and Other S ecu rities__
2,068.66
Cash on hand and due from
banks ______________________
11,270.94
103,582.74
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

.$254,017.46

Total

$254,017.46

163

REPORT OF THE COMMISSIONER OF BANKING

N E E N AH STATE BANK

Neenah
W m . S. Campbell,

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 e m b e r 6, 1933
L ia b ilitie s

R e so u rc e s

Capital ______________________ $ 60,000.00
Surplus and U ndivided Profits 18,809.02
D eposits:
T i m e __________ $202,954.95
D e m a n d _______ 72,607.91
T otal Loans and D iscoun ts $121,762.55
I n v e s t m e n t s _________________ 154,120.28
T otal D eposits ------------------$275,562.86
A ll oth er r e s o u r c e s _________
78,929.51
Other L ia b ilit ie s _____________
440.46
Loans and D iscoun ts:
On real esta te_$ 68,930.00
Other __________ 52,832.55

T otal

_______________ ______ $354,812.34

T otal

______________________ $354,812.34

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 J a n u a r y 1 , 1937
D is b u r s e m e n ts

C o lle c tio n s

Cash _________________________ $ 48,636.09
Liqu idation o f A s s e t s _______ 164,902.24
Assessm ents on s t o c k ---------- 48,367.34
Other C o lle c t io n s ____________ 34,456.89

T o t a l _______________________ $296,362.56

L eg al ________________________ $ 1,061.08
A dm in istration ------------------------8,331.68
Taxes, Insurance ______________
1,731.74
Other Expenses _____________
2,210.43
Int. R efun ded— Pd.t w i c e -----82.49
15.40
D ra ft R efun ded _____________
P referred C l a i m s ____________ 33,666.85
D ividends ____________________ 245 598.11
Offsets _________________________
3,418.22
Cash on hand Dec. 31,1936 —
246.56
T o t a l _______________________ $296,362.56

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. 193d
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s _______ $ 38,146.77 C a p it a l______ - ___________ ^_^_$ 60,000.00
Bonds and Other Secu rities__ 83,951.88 Surplus and Undivided Profits 60,192.87
D eposits and C la im s ________
1,711.88
Cash on hand and due from
440.46
banks ______________________
246.56 Other L ia b ilities ____________
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$122,345.21

T otal

$122,345.21

REPORT OF THE COMMISSIONER OF BANKING

164

STATE BANK OF NELSONVILLE, Delinquent
Nelson ville
I. T . K n u t s o n , S pecial D e p u t y C o m m ission er

C o n d ition as o f N o v em b e r 2, 1931
L ia b ilitie s

R e so u rc e s

C a p it a l------------------------------------ $ 10, 000.00
7,158.04
Surplus and Undivided Profits
D eposits:
T i m e ___________$ 75,019.80
D e m a n d _______
32,593.90
T ota l Loans and D iscoun ts $ 85,978.25
Other R eal E s t a t e ----------------- 17,174.74
T ota l D e p o s i t s ------------------ $107,613.70
I n v e s tm e n ts --------------------------- 45,029.10
A ll oth er resources --------------- 11,154.65 B orrow ing's from other B anks 34,565.00
$159,336.74
Total
$159,336.74
T otal
Loans and D iscoun ts:
On real esta te_$ 26,733.00
Other __________ 59,245.25

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, 1930
D is b u r s e m e n ts

C o lle c tio n s

999.45
Liciuidation o f A s s e t s ----------- $ 83,834.53 L eg a l ________________________ $
5,753.93
Assessm ents on s t o c k ---------8,271.50 A dm in istration ---------------------2,381.24
Other C ollection s ---------------16,489.36 Taxes, Insurance -----------------Other E xpenses -------------------2,680.53
B ills P ayable ----------------------34,565.00
P referred C la im s -----------------1,301.75
D ividends ____________________ 50 388.79
Offsets _______________________
6,828.90
Cash on hand Dec. 31, 1936 —
3,695.80
$108,595.39

Total

$108,595.39

Total

C O N D E N S E D S T A T E M E N T O P C O N D IT IO N D E C E M B E R 31, 1936
R e so u rc e s

Loans and D is c o u n t s ----------- :
B a n k in g H ouse and F. and F.
Other R eal E s t a t e ----------------Bonds and Other S ecu rities—
Cash on hand and due from
banks ______________________
A ll other resources --------------Loss A ccou n t ----------------------T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

20,198.86
3,900.57
13,224.68
3,010.00

L ia b ilitie s

C a p it a l_______________________ $ 10,000.00
Surplus and Undivided Profits
3,500.^0
D eposits and C la im s ________
50,642.96
8,321.50
Other L ia b ilit ie s _____________

3,695.80
555.50
27,879.05
72,464.46

Total

72,464.46

165

REPORT OF THE COMMISSIONER OF BANKING

NEVA FARMERS BANK
P. O. Box 205, Antigo
D ean

H. M a y e r , S p ecia l D e p u ty C om m ission er
C o n d ition as of O ctob er 23, 1931
L ia b ilitie s

R e so u rc e s

C a p it a l_______________________ $ 25,000.00
Surplus and Undivided Profits
28,784.43
D eposits:
T i m e __________ $144,400.98
D e m a n d _______
34,428.63
T ota l Loans and D iscoun ts $ 74,002.7 8
I n v e s tm e n ts __________________ 163,370.10
Total D eposits ____________$178,829.61
A ll oth er r e s o u r c e s __________ 18,789.14
B orrow in gs from other Banks 23,500.00
Other L ia b ilit ie s _____________
47.98
Loans and D iscou n ts:
On real esta te__$ 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 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, 193G
D is b u r s e m e n ts

C o lle c tio n s

L iquidation o f A s s e t s ________$171,232.46
Assessm ents on s t o c k ______
9,900.00
Other C o lle c t io n s ____________ 45,141.95
R eserve ______________________
1,115.85

T o t a l _______________________ $227,390.26

L egal ________________________ $
A dm in istration ---------------------Taxes, I n s u r a n c e _______ _____
Other Expenses -------------------B ills P a y a b l e ------------------------P referred C la im s ____________
D ividends ________________ :---Offsets _______________________
Cash on hand Dec. 31,1936 __
A dju stm en t and R e s e r v e ----

1,094.78
7,055.72
594.26
16,412.27
23,500.00
254.11
96,254.73
1,322.40
18,367.49
63,534.50

T o t a l _________________ _____ $227,390.26

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, 1936
R e so u rc e s

Loans and D is c o u n t s _______ $
B a n k in g H ouse and F. and F.
Other R eal E s t a t e ___________
Bonds and Other S ecu rities__
Cash on hand and due from
banks ______________________
Liqu idation E x p e n s e s _______
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L ia b ilitie s

C a p it a l_______________________ $
Surplus and Undivided Profits
D eposits and C la im s ________
Other L ia b ilit ie s _____________
Assessm ents P a i d ____________
18,367.49 In com e D urin g L iq u id a tion _
11,060.65

20,036.34
344.75
13,538.20
5,074.40

$ 68,421.83

Total

25,000.00
85,568.35
96,534.02
1,443.40
9,900.00
21,112.76

.$ 68,421.83

166

REPORT OF THE COMMISSIONER OF BANKING

FARMERS AND MINERS BANK

New Diggings
J a s . F . C a s s , Special D ep u ty Commissioner

C ondition as o f O ctob er 2 4 , 1933
R e so u rc e s

L ia b ilitie s

Loans and D iscou n ts:
On real estate__$ 3,845.00
Other --------------- 17,008.97
T otal Loans and D iscoun ts $ 20,853.97
Other R eal E s t a t e ___________
2,391.35
I n v e s tm e n ts --------------------------- 52,797.25
All oth er r e s o u r c e s __________
8,430.70
Total

$ 84,473.27

Capital ---------------------------------- $ 10,000.00
D eposits:
T i m e ___________$ 60,631.03
13,842.24
D e m a n d _______
T ota l D eposits ____________ $ 74,473.27

T otal

$ 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 C losing- to D e c e m b e r 31, 1930
C o lle c tio n s

D is b u r s e m e n ts

L iqu idation o f A s s e t s _______ $ 63,046.18 Leg-al ------------------------------------- $
55.00
Assessm ents on s t o c k ______
7.366.00 A dm in istration ______________
2,291.27
Other C o lle c t io n s ____________
1.926.00 Taxes, I n s u r a n c e ____________
345.38
Cash on hand Oct. 24, 1933 __
1,238.25 Other E x p e n s e s ______________
658.82
Adj. ----------------------------------------13.56
P referred C la im s ____________
44.39
D ividends ------------------------------- 35,540.17
Offsets -----------------------------------3,068.67
Cash on hand Dec. 31, 1936 __
1,984.79
29,574.38
Loss A c c o u n t ________________
T otal
.$ 73,576.43
Total
$ 73,576.43

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, 193«

Resources
L ia b ilitie s
Loans and D is c o u n t s _______ $ 10,379.56 Capital ---------------------------------- $ 10,000.00
Banking- H ouse and F. and F.
5,166.92 D eposits and C la im s ________
36 083.93
Other R ea l E s t a t e ___________
2,391.35 Other L ia bilities ____________
7,366 00
Bonds and Other S ecu rities_
836.51
Cash on hand and due from
b a n k s ______________________
1,984.79
A ll other resources __________
255.25
Profit and L o s s _____________ I 32,435.55
Total
$ 53,449.93
Total
? 53,449.93


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

REPORT OF THE COMMISSIONER OF BANKING

167

FARMERS & MERCHANTS BANK
New Lisbon

W. G. H osig, S p ecia l D e p u ty Com m issione')
C o n d ition ns o f O ctob er 31, 1032
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real estate__$ 41,568.75
Other --------------- 43,435.82
Total Loans and D iscoun ts $ 85,004.57
6,614.31
Other R eal E s t a t e ___________
I n v e s t m e n t s ___________________ 124,415.16
A ll oth er r e s o u r c e s __________ 16,592.11
T otal

---------------------------------- $232,626.15

Capital ______________________ $ 15,000.00
Surplus and Undivided Profits
2,824.55
D eposits:
T i m e ___________$164,034.11
D e m a n d _______
5,078.48
T ota l D eposits ____________$169,112.59
B orrow in gs from oth er Banks
45,689.01
T otal

----------------------------------$232,626.15

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 t o D e c e m b e r 31, 1936
C o lle c tio n s

D is b u r s e m e n ts

L iqu idation o f A s s e t s _______ $ 44,590.20 L eg al ________________________ $ 1,347.29
Assessm ents on s t o c k ______
8,092.25 A dm in istration ______________
8,3/3.21
R e co v e ry on b o n d ___________ 49,494.19 Taxes, I n s u r a n c e ____________
3,324.61
Other C o lle c t io n s ____________ 14,010.06 Other Expenses _____________
2,963.61
B ills P a y a b le _______ ________
45,689.01
P referred C la im s ____________ 13,647.36
D ividends -----------------------------30,951.56
7,203.17
Offsets _______________________
A cct. other R eal E s t a t e ____
749.22
1,937.66
Cash on hand Dec. 31,1936 __
T o t a l ------------------------------------$116,186.70

T o t a l ------------------------------------$116,186,70

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 3 1 , 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 24,873.46 C a p it a l------------------------------------$ 15,000.00
B ank ing H ouse and F. and F.
7,865.95 Surplus and Undivided Profits
2,121.21
Other R eal E s t a t e ___________ 17,408.34 D eposits and C la im s ________ 124,182.94
Bonds and Other S ecu rities_
1,789.00
Cash on hand and due from
banks ______________________
1,937.66
Loss on Securities s o l d _____ 82,481.94
In terest on Claim s __________
4,666.68
Other C la im s ________________
281.12
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$141,304.15

Total

$141,304.15

REPORT OF THE COMMISSIONER OF BANKING

168

STATE BANK OF NORTH BEND
North Bend
S. P. I b a c h , S p ecia l D e p u ty C o m m ission er
C ondition ns of O ctob er 3, 1032
L ia b ilitie s

R e so u rc e s

C a p it a l------------------------------------$ 20,000.00
Surplus and U ndivided Profits
15,636.44
D eposits:
T i m e __________ $164,999.33
D e m a n d _______ 29,508.96
T otal Loans and D iscoun ts $142,020.70
Other R ea l E s t a t e ----------------4,000.00
T ota l D eposits ------------------ $194,508.29
I n v e s tm e n ts __________________ 93,172.20
A ll other r e s o u r c e s --------------- 13,975.22 B orrow in gs from oth er Banks 23,000.00
Other L ia b ilit ie s -------------------23.39
Loans and D iscou n ts:
On real estate__$ 35,605.97
Other __________106,414.73

$253,168.12

T otal

$253,168.12

T otal

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, 1936
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s ------------$171,745.88
Assessm ents on s t o c k ---------- 15,744.00
Other C ollection s ___________ 10,629.16
4,448.97
Cash 10/3/32 -------------------------

$202,568.01

T otal

L eg al ------------------------------------- $
A dm in istration ---------------------Taxes, I n s u r a n c e -----------------Other Expenses -------------------B ills P a y a b le ------------------------L osses -----------------------------------D ividends ____________________
Offsets -----------------------------------Cash on hand Dec. 31, 1936 —

1.158.89
5,458.40
825.75
1,147.49
22,999.80
59,473.90
85.643.37
3.186.89
22,673.52

.$202,568.01

T otal

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, 1936
L ia b ilitie s

R e so u rc e s

Doans and D is c o u n t s ----------- $
B a n k in g H ouse and F. and F.
Other R ea l E s t a t e ----------------Cash on hand and due from
banks ---------------------------------A ll oth er resources --------------D ividends P a i d ---------------------Surplus and Undivided Profits
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

63,668.82 C a p it a l_______________________ $ 20,000.00
9,285.00 D eposits and C la im s ------------- 191,442.66
4,000.00 Other L ia b ilit ie s _____________ 15,767.59
22,673.52
9.33
85,643.37
41,930.21

$227,210.25

T o t a l __

$227,210.25

REPORT OF THE COMMISSIONER OF BANKING

169

STATE BANK OF OCONTO FALLS
Oconto Falls
A. J. F r ie d r ic h , S p ecia l D e p u ty C om m ission er
C on dition ns of A u g u s t 4, 1931
R e so u rc e s

L ia b ilitie s

Loans and D iscou n ts:
On real esta te__$143,493.92
Other __________221,314.89
T ota l Loans and D iscoun ts $364,808.81
Other R eal E s t a t e ___________ 24,053.38
I n v e s t m e n t s __________________ 37,807.25
A ll oth er r e s o u r c e s __________ 33,225.71
T ota l

---------------------------------- $459,895.15

C a p it a l_______________________ $ 50,000.00
Surplus and Undivided Profits
26,114.44
D eposits:
T i m e __________ $244,165.74
D e m a n d _______ 63,803.70
T ota l D eposits ____________ $307,969.44
B orrow in gs from oth er Banks 75,811.27
Total

______________________ $459,895.15

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. 1936
C o lle c tio n s

D is b u r s e m e n ts

L iquidation o f A s s e t s ______ _$262,586.65 L egal ------------------------------------- $ 3,757.19
Assessm ents on s t o c k ______
32,993.51 A dm in istration ______________
10,552.24
R e co v e ry on b o n d ___________ 37,807.25 Taxes, I n s u r a n c e ____________ 24,097.81
Other C o lle c t io n s ____________ 66,314.90 Other Expenses _____________
6,925.82
Cash Aug. 4, 1 9 3 1 ____________
9,577.96 B ills P ayable _______________
75,811.27
P referred C la im s ____________ 24,728.80
D ividends ------------------------------ 142,289.97
Offsets _______________________
28,773.78
Cash on hand Dec. 31, 1936 __
1,332.65
Losses, Other R eal E state __ 91,010.74
T o t a l _______________________ $409,280.27

T o t a l ----------------------------------- $409,280.27

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, 1936
R e so u rc e s

Loans and D is c o u n t s ________$104,752.79
Other R eal E s t a t e ___________ 54,159.01
Cash on hand and due from
b a n k s ----------------1,332.65
A ll oth er r e s o u r c e s _________
76,112.69
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$236 357.14

L ia b ilitie s

C a p it a l------------------------------------$ 50,000.00
Surplus and Undivided Profits 10,474.18
D eposits and C la im s ________ 142,877.60
Other L ia b ilities ____________
11.85
D ouble L i a b i l i t y -------------------- 32,993.51
Total

$236,357.14

170

REPORT OF THE COMMISSIONER OF BANKING

PEOPLES BANK OF OMRO
Omro
J ames B. Mulva, S p ecia l D e p u ty C o m m ission er
C o n d ition us 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 U ndivided Profits 15,754.74
D eposits:
T i m e ___________$ 96,751.16
45,084.71
D e m a n d _______

Loans and D iscou n ts:
On real estate__$ 11,450.00
Other __________ 83,768.14

T ota l Loans and D iscoun ts $ 95,218.14
Investm ents _________________
87,315.41
T otal D eposits ____________ $141,835.87
A ll oth er r e s o u r c e s __________ 13,531.12
10,000.00
Cash on h a n d -----------------------1,550.44 B orrow ing's from oth er Banks
24.50
Other L ia b ilities ____________
T ota l

______________________ $197,615.11

T ota l

______________________ $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 s in g t o D e c e m b e r 31, 1936
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s ------------$137,429.40 L eg al ________________________ $ 1,757.98
3,664.44
A ssessm ents on s t o c k ------ 26,166.32 A dm in istration ______________
671.56
Other C o lle c t io n s -----------------8,798.00 Taxes, I n s u r a n c e ____________
Other E xpenses _____________
1,832.50
B ills P a y a b l e ________________
10,000.00
P referred C la im s ____________
171.28
D ividends ____________________ 129,646.37
Offsets _______________________
12,746.92
Cash on hand Dec. 31, 1936 __
1,176.46
In terest P a i d ________________
2,959.37
D ividends to S t o c k h o ld e r s _
7,766.84
T o t a l _______________________ $172,393.72

T o t a l _______________________ $172,393.72

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, 1936
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s ----------- $
927.15 C a p it a l_______________________ $ 30,000.00
291.72
B a n k in g H ouse and F. and F.
4,500.00 D eposits and C la im s ------------Bonds and Other S ecu rities—
4,126.26 Other L ia b ilities ------------------ 18,849.48
Cash on hand and due from
banks ______________________
1,176.46
Gapital I m p a ir m e n t ------------- 38,411.33
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 49,141.20

Total

$ 49,141.20

REPORT OF THE COMMISSIONER OF BANKING

171

ONALASKA STATE BANK
Onalaska
E. G. F isher , Special D ep u ty Commissioner
C o n d ition a s o f O ctob er 22, 1032
R e so u rc e s

L ia b ilitie s

Loans and D iscou n ts:
On real e s t a t e ..$134,436.66
Other __________ 82,552.73

C a p it a l----------------------------------- $ 20,000.00
Surplus and U ndivided Profits 11,024.85
D eposits:
T i m e ___________$207,651.05
T otal Loans and D iscounts $216,989.39
D e m a n d _______
44,175.83
Other R eal E s t a t e ___________
7,100.00
I n v e s tm e n ts __________________ 92,083.60
T otal D eposits ____________$251,826.88
A ll other r e s o u r c e s __________
9,155.08 Borrow ing's from other Banks 40,983.40
Other L ia b ilit ie s _____________
1,492.94
T ota l

______________________ $325,328.07

T ota l

---------------------------------- $325,328.07

R e ce ip ts an d D isb u r se m e n ts D a te o f Closing- t o D e c e m b e r 31, 1936
C o lle c tio n s

D is b u r s e m e n ts

L iqu idation o f A s s e t s ------------$148,517.05 L egal ________________________ $ 4,293.57
A ssessm ents on s t o c k ______
12,765.33 A dm inistration ______________
6,775.96
Other C o lle c t io n s ____________ 18,662.66 Taxes, Insurance & O. R. E. 10,363.02
Other Expenses _____________
R. F. C. Dep. Liq. L o a n ------------------------- 6,135.44
6,538.83
B ills P a y a b le ________________
47,090.74
P referred C la im s ____________
1,774.87
D ividends ____________________ 96,847.07
Offsets _____________ __________
9,611.47
Cash on hand Dec. 31, 1936 __
2,784.95
Total

$186,080.48

T otal

$186,080.48

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 3 1 , 1936
R e so u rc e s

Loans and D is c o u n t s _______ $ 85,523.75
Banking H ouse and F. and F.
7,679.55
2,772.54
Other R eal E s t a t e ___________
Bonds, and Other S ecu rities—
1,354.60
Cash on hand and due from
2,784.95
banks ______________________
A ll oth er resources __________ 107,386.43
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$207,501.82

L ia b ilitie s

C a p it a l------------------------------------$ 20,000.00
Surplus and Undivided Profits
9,620.58
D eposits and C la im s ________ 146,453.25
Other L ia b ilit ie s _____________ 31,427.99

Total

$207,501.82

172

REPORT OF THE COMMISSIONER OF BANKING

PAINE THRIFT BANK
Oshkosh
E. T. O’Brien, S p e cia l D e p u ty C o m m ission er
C o n d itio n ns o f J a n u a r y 23, 1933
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real esta te_$ 50,139.00
85,424.47
Other _________
T otal Loans and D iscoun ts $135,563.47
I n v e s t m e n t s __________________ 616,766.03
A ll oth er r e s o u r c e s __________ 98,523.34

T ota l

---------------------------------- $850,852.84

Capital ______________________ $ 75,000.00
Surplus and U ndivided Profits
69,836.56
D eposits:
T i m e __________ $634,578.38
D e m a n d _______ 59,409.10
T ota l D e p o s i t s ____________ $693,987.48
B orrow in gs from oth er B anks 11,150.00
Other L ia b ilities ____________
878.80
T ota l

______________________ $850,852.84

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, 1930
C o lle c tio n s

D is b u r s e m e n ts

L iqu idation o f A s s e t s ________$383,200.51 L eg a l ------------------------------------- $ 2,321.52
Assessm ents on s t o c k ______
66,010.72 A dm in istration ______________
12,299.95
Other C o lle c t io n s ____________ 75,135.17 Taxes, Insurance ____________
1,595.19
Other Expenses _____________
4,642.08
Bills P ayable _______________
11,150.00
R. F. C . ______________________
2,344.72
P referred C la im s ____________
99.60
D ividends ____________________ 448,975.78
Offsets _______________________
9,525.68
Cash on hand Dec. 31, 1936 __ 31,391.88
$524,346.40

Total

Total

$524,346.40

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 13,490.45 C a p it a l------------------------------------$ 75,000.00
B a n k in g H ouse and F. and F. 46,295.53 Surplus and Undivided Profits 42,471.59
Bonds and Other S ecu rities— 249,510.58 D eposits and C la im s ________ 242,149.31
Cash on hand and due from
Stock A ssessm ents __________ 66,010.72
31,391.88
banks ______________________
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$340,688.44

Total

$340,688.44

173

REPORT OF THE COMMISSIONER OF BANKING

STATE BANK OF OWEN
Owen
W. E. J e h n , S p ecia l D e p u ty C om m ission er
C on dition ns o f O ctob er 13, 1S)32
R e so u rc e s

L ia b ilitie s

Loans and D iscou n ts:
C a p it a l_______________________ $ 15.000.00
T otal Loans and D iscounts $159,241.24 Surplus and Undivided Profits
8,187.76
Other R eal E s t a t e ___________ 14,011.63 D eposits:
I n v e s tm e n ts __________________ 75,818.62
T i m e __________ $101,251.13
A ll oth er r e s o u r c e s ________
13,009.17
D e m a n d _______
57,567.48
T otal D eposits ____________ $158,818.61
B orrow in gs from oth er B anks 80,074.29
T otal

______________________ $262,080.66

T ota l

---------------------------------- $262,080.66

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, 193(1
C o lle c tio n s

D is b u r s e m e n ts

Liqu idation o f A s s e t s ________$204,415.43 L eg a l ------------------------------------- $
A ssessm ents on s t o c k ______
7,629.41 A dm in istration ______________
Other C o lle c t io n s ____________ 21,555.43 Taxes, Insurance ____________
Other Expenses _____________
B ills P ayable _______________
P referred C l a i m s ____________
D ividends ____________________
Offsets _______________________
Cash on hand Dec. 31. 1936 _
Loss C. O . ------------------------------T otal

$233,600.27

T otal

1,576.77
7,140.26
6,925.54
5,006.14
80,074.29
8,414.29
57,923.29
13,545.37
7,583.02
45,411.30

$233,600.27

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s ----------- $ 29,059.57 C a p it a l------------------------------------$ 1 5 000.00
4,930.15 D eposits and C la im s ________
B anking H ouse and F. and F.
87,272.50
28,485.65
Other R eal E s t a t e ---------------Bonds and Other S ecu rities_
300.00
Cash on hand and due from
7,583.02
banks ______________________
51.79
A ll other resources __________
Loss __________________________ 31,862.32
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$102,272.50

Total

$102,272.50

174

REPORT OF THE COMMISSIONER OF BANKING

OXFORD STATE BANK
Oxford
F. W.

M

oecker,

S p ecia l D e p u ty C om m ission er

C o n d ition as o f A p r il 12, 1933
R e so u rc e s

L ia b ilitie s

Capital ______________________ $ 10,000.00
Surplus and Undivided Profits
8,640.00
D e p o s its :
T i m e ___________$ 36,259.05
T otal Loans and D iscoun ts $ 43,360.27
45,520.71
D e m a n d _______
Other R eal E s t a t e ___________
3,850.00
Total
D
eposits
____________
$ 81,779.76
I n v e s t m e n t s __________________ 34,840.00
749.96
A ll oth er r e s o u r c e s __________ 19,219.45 Other L ia b ilities ____________
Loans and D iscoun ts:
On real esta te_? 28,195.00
Other __________ 15,165.27

T otal

______________________ $101,169.72

T otal

______________________ $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 C losin g: t o D e c e m b e r 31, 1936
D is b u r s e m e n ts

C o lle c tio n s

405.75
L iquidation o f A s s e t s _______ $ 27,257.33 L eg al ________________________ $
7,170.00 A dm in istration ______________
2,495.28
A ssessm ents on s t o c k ______
R e co v e ry on b o n d ____________
14,054.05 Taxes, Insurance ____________
711.23
21,018.36 Other Expenses _____________
Other C o lle c t io n s _____________
1,594.50
R. F. C. L o a n __________________ 15,394.42 B ills P a y a b l e ________________
15,394.42
P referred C la im s ____________
787.70
D ividends ____________________ 59,187.21
Offsets _______________________
2,609.28
Cash on hand Dec. 31, 1936 __
1,409.30
In terest P a i d ________________
299.49
T otal

84,894.16

T otal

.$ 84,894.16

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, 1936
R e so u rc e s

Loans and D is c o u n t s _______ $ 10,694.09
B a n k in g H ouse and F. and F.
4,382.50
Other R eal E s t a t e ___________
2,850.00
Cash on hand and due from
banks ______________________
1,409.30
Adj. A cct. ( L o s s e s ) __________ 26,810.30
D ividends P a i d ______________
59,187.21
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$105,333.40

L ia b ilitie s

C a p it a l _______________________ $
Surplus and Undivided Profits
D eposits and C la im s ________
Other L ia b ilities ____________
D ividends P a i d ______________

Total

10,000.00
16,215.64
19,928.65
1.90
59,187.21

$105,333.40

REPORT OP THE COMMISSIONER OF BANKING

175

PARDEEVILLE STATE BANK
Pardeeville
F. W. M oecker, S p ecia l D e p u ty C om m ission er
C o n d ition a s o f O ctob er 11, 1933
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real estate__$189,935.25
Other --------------- 220,467.65

Capital ---------------------------------- $ 30,000.00
Surplus and Undivided Profits 35,105.83
D eposits:
T i m e ---------------- $309,997.14
T ota l Loans and D iscoun ts $410,402.90
D e m a n d _______
96,155.72
Other R eal E s t a t e ___________ 12,700.00
I n v e s t m e n t s -------------.------------- 109,866.48
Total D eposits ____________ $406,152.86
A ll oth er r e s o u r c e s __________ 22,070.32 B orrow in gs from other Banks 76,025.00
Other L ia b ilities ____________
7,756.01
T ota l

---------------------------------- $555,039.70

T ota l

----------------------------------$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 s in g to D e c e m b e r 31, 1936
C o lle c tio n s

Liqu idation o f A s s e t s ________$414,399.77
Assessm ents on sto ck ______
20,963.93
R e co v e ry on bond ___________ 5,000.00
Other C o lle c t io n s ____________ 23,883.59
Cash on hand as o f closin g
d a t e ------------------------------------3,086.51

Total

$467,333.80

D is b u r s e m e n ts

L eg al ________________________ $ 2,983.44
A dm in istration ______________
5.364.02
Taxes, I n s u r a n c e ____________
2,681.16
Other E xpenses _____________
6.051.03
B ills P ayable _______________
76,143.46
P referred C la im s ____________
1,079.11
D ividends ____________________ 177,603.73
Offsets _______________________
20,645.07
Cash on hand Dec. 31, 1936 _ 22,900.90
Adj. & Other R. E . ___________ 151,881.88
Total

$467,333.80

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 3 1 , 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s ________$126,571.15 C a p it a l------------------------------------$ 30,000.00
B ank ing H ouse and F. and F.
4,296.25 D eposits and C la im s __________ 218,114.27
Other Real E s t a t e ___________ 38,954.07 Other L ia b ilit ie s _____________
4.95
Bonds and Other S ecu rities__
1,960.00 D ividends P a i d ______________ 177,603.73
Cash on hand and due from
banks ---------------------------------- 22,900.90
A ll oth er r e s o u r c e s __________
6,722.09
D ividends ------------------------------- 177,603.73
Undivided Profits (D e fic it)_ 46,714.76

Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$425,722.95

Total

$425,722.95

176

REPORT OF THE COMMISSIONER OF BANKING

PITTSVILLE STATE BANK
Pittsville
A lvin F ass , S p ecia l D e p u ty C o m m ission er
C o n d ition as o f O ctob er 21, 1932
L ia b ilitie s

R e so u rc e s

C a p it a l_______________________ 5 15,000.00
Loans and D iscou n ts:
10,062.18
T ota l Loans and D iscounts $ 67,174.05 Surplus and U ndivided Profits
Other R eal E s t a t e ----------------8,485.69 D eposits:
T ota l D eposits ____________ $110,188.31
I n v e s t m e n t s __________________ 79,101.90
A ll oth er r e s o u r c e s __________
1,444.53 B orrow in g’s from oth er B anks 20,955.68
T ota l

______________________ $156,206.17

T ota l

______________________ $156,206.17

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 t o D e c e m b e r 31, 1930
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s ------------$123,474.87 L egal ________________________ $ 1,139.50
3,952.49
A ssessm ents on s t o c k ---------- 11,793.36 A dm in istration ______________
1,776.29
Other C o lle c t io n s ____________
6,832.59 Taxes, I n s u r a n c e ____________
1,387.82
Other Expenses _____________
B ills P a y a b le ------------------------- 20,955.68
P referred C la i m s ____________
5,036.45
51,902.57
D ividends -----------------------------Offsets _______________________
5,758.69
Cash on hand Dec. 31, 1936 —
1,643.48
Losses b y Court O r d e r ______ 48,547.85
T o t a l _______________________ $142,100.82

T o t a l _______________________ $142,100.82

C O N D E N S E D S T A T E M E N T O E C O N D IT IO N D E C E M B E R 31, 1936
R e so u rc e s

Loans and D is c o u n t s ----------- $
B a n k in g H ouse and P. and F.
Other R ea l E s t a t e ---------------Bonds and Other S ecu rities—
Cash on hand and due from
banks ______________________
A ll other resources __________
D ividends P a i d ______________
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L ia b ilitie s

12.529.56 C a p it a l_______________________
4,366.85 Surplus and Undivided Profits
18,939.37 D eposits and C la im s ________
330.00 Other L ia b ilit ie s __ ___________
D ividends P a i d ______________
1,643.48
57,723.90
51.902.57

$147,435.73

T otal

15,000.00
9,291.46
52,62 5.75
18,615.95
51,902.57

$147,435.73

REPORT OF THE COMMISSIONER OF BANKING

177

PLAIN STATE BANK
Plain
J. M. Meier, S p ecia l D e p u ty C om m ission er
C on dition as o f D e c e m b e r 30, 1932
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real estate__$ 37,034.34
Other __________ 99,705.03

C a p it a l_______________________ $ 20,000.00
Surplus and Undivided Profits
4,820.70
D eposits:
T i m e ___________$123,941.38
T otal Loans and D iscoun ts $136,739.37
D e m a n d _______
31,421.83
Other R eal E s t a t e ___________ 20,851.02
I n v e s t m e n t s __________________
7,980.00
T otal D eposits ____________ $155,363.21
A ll oth er r e s o u r c e s __________ 16,413.52 B orrow in g’s from other Banks
1,800.70
T ota l

---------------------------------- $181,983.91

T ota l

---------------------------------- $181,983.91

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, 1930
C o lle c tio n s

L iqu idation o f A s s e t s ________$108,476.41
A ssessm ents on s t o c k ______
5,088.16
Other C ollection s ___________
7,075.48
145.50
R e co v e ry A c c o u n t ___________

Total

$120,785.55

D is b u r s e m e n ts

E quipm ent ___________________$
73.50
3,736.75
L eg a l ------------------------------------A dm in istration ______________
5,627.64
Taxes, Insurance e t c . _______
2,397.81
Other Expenses _____________
1,711.02
B ills P a y a b le ________________
1,834.01
P referred C la im s ____________
371.42
D ividends (40% ) ____________ 52,104.47
Offsets -----------------------------------7,505.60
Cash on hand Dec.31, 1936 ___ 13,662.96
L oss in C onversion o f Assets 31,760.37
Total

$120,785.55

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, 193«
R e so u rc e s

Loans and D is c o u n t s _______ $
B ank ing H ouse and F. and F.
Other R eal E s t a t e ___________
Bonds and Other S ecu rities_
Cash on hand and due from
banks ---------------------------------A ll oth er r e s o u r c e s __________

42,569.42
2,896.10
18,562.64
2,120.15

T o t a l ------------------------------------ $117,106.77

12


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L ia b ilitie s

C a p it a l------------------------------------$ 20,000.00
Surplus and Undivided Profits 13,528.71
D eposits and C la im s ________
78,216.02
P referred C la im s ____________
128.38
R ecov ery A c c o u n t ___________
145.50
13,662.96 Stock H olders A s s e s s m e n t __
5,088.16
37,295.50
T o t a l ------------------------------------$117,106.77

178

REPORT OF THE COMMISSIONER OF BANKING

FARMERS & TRADERS BANK
Porterfield
F. A. M a r k s , S p ecia l D e p u ty C om m ission er
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

C a p it a l_______________________ $ 10,000.00
Surplus and Undivided Profits
5,000.00
D eposits:
T i m e ___________$ 20,847.84
D e m a n d _______
10,815.17
T otal Loans and D iscounts $ 19,077.55
Other R eal E s t a t e ----------------8,260.50
T ota l D e p o s it s -------------------- $ 31,663.01
I n v e s t m e n t s __________________
9,727.81
9.82
A ll oth er r e s o u r c e s --------------9,606.97 Other L ia b ilit ie s -------------------Loans and D iscou n ts:
On real esta te— $
891.03
Other __________ 18,186.52

.$ 46,672.83

T otal

46,672.83

T otal

R e c e ip ts an d D isb u r se m e n ts D a te o f C losing- to D e c e m b e r 31, 1936
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s ----------- $ 32,201.89
A ssessm ents on s t o c k ---------3,423.40
R e covery on b o n d ----------------515.00
392.14
Other C o lle c t io n s ------------------

L eg a l ________________________ $ 3,070.01
33.00
A dm in istration ---------------------Taxes, Insurance ( O t h e r ) ____
71.03
D ividends ____________________ 30,284.48
Offsets _______________________
2,791.71
Cash on hand Dec. 31, 1936 —.
282.20

T o t a l _______________________ $ 36,532.43

T o t a l _______________________ $ 36,532.43

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 3 1 , 1936
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s ----------- $ 2,460.21 C a p it a l_______________________ $ 10,000.00
Surplus and U ndivided Profits
5,000.00
Cash on hand and due from
28,871.30
banks _____________________ 282.20 D eposits and C la im s ________
3,423.40
All other resources _______
44,552.29 Stock Assessm ents P a i d ____
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 47(294.70

Total

$ 47,294.70

179

REPORT OF THE COMMISSIONER OF BANKING

BANK OF PRENTICE
Prentice
J ohn 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 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 it a l------------------------------------$ 10,000.00
Surplus and Undivided Profits
1,650.00
D eposits:
T i m e ___________$153,226.53
D e m a n d _______
59,342.68
T ota l Loans and D iscoun ts $182,844.14
Other R ea l E s t a t e ___________ 14,233.88
T ota l D eposits ____________ $212,569.21
I n v e s t m e n t s --------------------------- 17,028.91
A ll other r e s o u r c e s __________ 20,809.19 B orrow in gs from oth er Banks 20,000.00
Und. Profits ( D e f i c i t ) ----------9,303.09
Loans and D iscoun ts:
On real esta te__$ 60,425.45
Other __________122,418.69

T otal

______________________ $244,219.21

T ota l

---------------------------------- $244,219.21

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 t o D e c e m b e r 31, 1936
D isb u r s e m e n ts

C o lle c tio n s

Liqu idation o f A s s e t s __$102,924.81
A ssessm ents on s t o c k --------- ,
6,118.73
Charge to Com prom ise L oss 16,988.01
Other C ollection s ___________ 17,790.53
Cash date o f c l o s i n g ---- 11,178.91

$155,000.99

T otal

L eg al ________________________ $
A dm in istration ______________
Taxes, Insurance ____________
Other Expenses _____________
B ills P a y a b le ________________
C om prom ise L o s s ____________
D ividends ____________________
Offsets -----------------------------------Cash on hand Dec. 31, 1936 __
T otal

9,724.85
19,134.01
8,810.39
789.50
20,000.00
27,437.30
56,149.89
12,264.89
690.16

$155,000.99

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, 1936
R e so u rc e s

Loans and D is c o u n t s _______ :
B ank ing H ouse and F. and F.
Other R eal E s t a t e ------------- —
Bonds and Other S ecu rities. _
Cash on hand and due from
banks ______________________
A ll .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

88,584.42 C a p it a l_______________________ $ 10,000.00
1,550.00 Surplus and Undivided Profits
1,650.00
13,313.52 D eposits and C la im s ________ 144,154.43
122.11

690.16
51,544.22
$155,804.43

Total

$155,804.43

180

REPORT OF THE COMMISSIONER OF BANKING

LIBERTY STATE BANK
Pulaski
A. J.

F

r ie d r ic h ,

S p ecia l D e p u ty C om m ission er

C o n d itio n as o f N o v e m b e r 5, 1931
L ia b ilitie s

R e so u rc e s

Capital ______________________ $ 25,000.00
Surplus and U ndivided Profits
16,264.22
D eposits:
T i m e ___________$266,627.91
T otal Loans and D iscoun ts $265,581.44
31,926.84
D e m a n d _______
Other R eal E s t a t e ___________ 13,700.00
I n v e s tm e n ts __________________ 98,238.07
T otal D e p o s i t s ____________ $298,554.75
A ll oth er r e s o u r c e s __________ 43,018.53 B orrow in g’s from other B anks 53,526.84
Other L ia b ilities ____________ 27,192.23
Loans and D iscou n ts:
On real esta te_$107,603.99
Other _________ 157,977.45

T ota l

______________________ $420,538.04

T ota l

______________________ $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 C lo s in g to D e c e m b e r 31, 1936
C o lle c tio n s

L iqu idation o f A s s e t s ___
Assessm ents on s t o c k __
R e co v e ry on bond ______
Other C ollection s ______
Cash Nov. 5, 1 9 3 1 _______

D is b u r s e m e n ts

$208,243.93
14,532.97
65,638.15
22,527.07
4,075.64

L osses _______________________ $ 50,522.01
L eg al ________________________
2,679.70
A dm in istration ______________
7,889.64
Taxes, I n s u r a n c e ____________
1,381.28
Other E xpenses _____________
6,742.84
53,526.84
B ills P a y a b le ________________
P referred Claim s ____________
1,530.92
D ividends ____________________ 177,749.96
8,360.66
Offsets _______________________
Cash on hand Dec. 31, 1936 _
4,131.47
Farm A c c o u n t s ______________
122.13
In terest P a i d ________________
204.85
Cash I t e m s ___________________
175.46

T o t a l _______________________ $315,017.76

T o t a l ------------------------------------$315,017.76

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 79,114.03 C a p it a l_______________________ ! ; 25,000.00
B a n k in g H ouse and F. and F.
3,944.55 Surplus and U ndivided Profits 11.612.96
Other R eal E s t a t e ___________ 12,151.48 D eposits and C la im s ________ 118,646.10
Bonds and Other S ecu rities__
5,303.75 Other L ia b ilities ____________
12.10
Cash on hand and due from
D ouble L i a b i l i t y _____________
14.532.97
4,131.47
banks _______________ :______
A ll oth er resou rces __________ 65,158.85
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$169,804.13

Total

$169,804.13

REPORT OF THE COMMISSIONER OF BANKING

181

READSTOWN BANK
Readstown
K. C. Barney, 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 19, 1932
R e so u rc e s

L ia b ilitie s

Loans and D iscou n ts:
On real esta te_$ 31,646.12
Other --------------- 66,272.53

C a p it a l------------------------------------$ 15,000.00
Surplus and Undivided Profits
1,205.26
D eposits:
T i m e ---------------- $ 83,793.57
T otal Loans and D iscoun ts $ 97,918.65
D e m a n d ----------- 29,158.58
Other R eal E s t a t e ___________ 16,195.89
I n v e s t m e n t s __________________ 12,136.79
T otal D eposits ____________ $112,952.15
A ll oth er r e s o u r c e s ________
18,202.72 B orrow in gs from oth er B anks 10,000.00
Other L ia b ilities ____________
5,296 64
T otal

---------------------------------- $144,454.05

T otal

---------------------------------- $144,454.05

R e c e ip ts a n d D isb u r se m e n ts D a te o f C lo s in g t o D e c e m b e r 31, 1936
C o lle c tio n s

D is b u r s e m e n ts

L iquidation o f A s s e t s _______ $ 39,444.21
Assessm ents on s t o c k ______
8,729.37
Other C ollection s ___________
7,643.66
Cash at clo sin g _____________
2,392.75
D rafts O u ts ta n d in g __________
1,288.28

Gov. Ck. T ax P a i d ___________$
42.42
L eg al ________________________
1,878.34
A dm in istration ______________
4,070.96
Taxes, I n s u r a n c e ____________
1,796.63
Other Expenses _____________
2,604.89
Bills P ayable _______________
10,208.74
P referred C la im s ____________
1,463.95
D ividends ___________________
32,809.13
Offsets _______________________
4,413.80
Cash on hand Dec. 31, 1936 __
113.68
Cash I t e m s ___________________
95.73
59,498.27
T otal
$ 59,498.27

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, 1936

R e so u rc e s

Loans and D is c o u n t s _______ $
B ank ing H ouse and F. and F.
Other R eal E s t a t e ___________
Bonds and Other S ecu rities__
Cash on hand and due from
banks ______________________
A ll other resources __________
D ividends P a i d ______________
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

37,434.42
7,132.00
22,560.89
4,349.29

„

,

L ia b ilitie s

Capital - - - - - - - - - -------------------- $ 15,000.00
Surplus and Undivided Profits
1,000.00
D eposits and C la im s ________ 110,039 21
Other „ L ia b ilities ____________ 14 340 64

113.68
35,980.44
32,809.13

$140,379.85

Total

$140,379.85

182

REPORT OF THE COMMISSIONER OF BANKING

REWEY STATE BANK
Rewey
J. R. V il l e m o n t e , S p ecia l D e p u ty C o m m issio n er
C o n d ition a s o f A u g u s t 17, 1932
L ia b ilitie s

R e so u rc e s

C a p it a l_______________________ $ 15,000.00
Surplus and U ndivided Profits
3,999.39
D eposits:
T i m e ___________$ 56,681.26
D e m a n d _______
33,948.02
T ota l Loans and D iscoun ts $106,608.81
I n v e s t m e n t s __________________ 15,751.50
T otal D eposits ------------------ $ 90,629.28
A ll oth er r e s o u r c e s --------------- 11,268.36
B orrow in gs from oth er Banks
24,000.00
Loans and D iscou n ts:
On real estate— $ 2,053.27
Other __________ 104,555.54

T ota l

______________________ $133,628.67

T ota l

______________________ $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 t o D e c e m b e r 31, 1936
D is b u r s e m e n ts

C o lle c tio n s

Liquidation o f A s s e t s ----------- $ 55,198.53
Assessm ents on s t o c k ---------- 11,661.42
R e co v e ry on b o n d ___________
4,543.85
Other C o lle c t io n s ____________
9,904.53
R. P. C. L o a n ___________
12,387.70

93,696.03

Total

L eg al ________________________ $
545.70
A dm in istration ______________
3,879.25
Taxes, I n s u r a n c e ____________
526.20
Other E xpenses _____________
1,250.93
B ills P a y a b le ________________
37,029.85
P referred C la im s ____________
10.00
D ividends ____________________ 30,178.67
4,938.61
Offsets _______________________
Cash on hand Dec. 31, 1936 _
5,582.71
L oss— C o m p r o m is e ___________
9,754.11
T otal

93,696.03

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s ----------- $ 54,508.41 C a p it a l_______________________ $ 15,000.00
8,019.20 Surplus and Undivided Profits
1,813.59
B ank ing H ouse and P. and F.
511.85 D eposits and C la im s ________
Other R eal E s t a t e ---------------56,361.78
3,571.80
Bonds and Other S ecu rities__
Cash on hand and due from
banks ______________________
5,582.71
981.40
A ll oth er resources __________
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 73,175.37

Total

73,175.37

REPORT OF THE COMMISSIONER OF BANKING

183

BARRON COUNTY BANK
Rice Lake
J o h n R. H a y e s , D is tr ic t S p ecia l D e p u ty C om m ission er

C on dition as o f D e c e m b e r 7, 1923
R e so u rc e s

L ia b ilitie s

Loans and D iscou n ts:
C a p it a l------------------------------------1 25,000.00
T ota l Loans and D iscoun ts $245,452.73 Surplus and Undivided Profits
4,500.00
Other R eal E s t a t e ___________ 35,558.91 D eposits:
I n v e s t m e n t s __________________ 21,394.81
T i m e ----------------$156,349.84
A ll other resources ________
5,212.54
D e m a n d _______ 82,287.40
T ota l D eposits ____________ $238,637.24
B orrow in gs from other Banks 39,481.75
T otal

----------------------------------$307,618.99

T ota l

---------------------------------- $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, 1936
C o lle c tio n s

D is b u r s e m e n ts

L iquidation o f A s s e t s ________$183,704.96 L egal ------------------------------------- $ 1,796.14
9,193.53 A dm in istration ______________
Assessm ents on s t o c k ______
12,921.73
Other C o lle c t io n s ____________ 21,192.09 Taxes, Insurance ____________
5,862.43
Other E xpenses _____________
955.34
B ills P a y a b le ------------------------- 39,481.75
P referred C la im s ____________
2,646 62
D ividends ------------------------------ 126,392.83
Offsets ------------------------------------ 22,778.84
Cash on hand Dec. 31, 1936 __
1,254 90
T o t a l ------------------------------------$214,090.58

T o t a l ------------------------------------$214,090.58

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, 1936
R e so u r c e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 61,439.28 C a p it a l------------------------------------$ 25,000.00
B a n k in g H ouse and P. and P.
1,456.75 D eposits and C la im s ________
88,350.27
Other Real E s t a t e ______ ___ 11,203.78
Bonds and Other S ecu rities__
133.00
Cash on hand and due from
banks ---------------------------------1,254.90
A ll other r e s o u r c e s __________
1,390.56
U. P. P rofit D e f ic it ___________ 36,472.00
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$113,350.27

T otal

$113,350.27

184

REPORT OF THE COMMISSIONER OF BANKING

CITIZENS STATE BANK
Rice Lake
J o h n R . H a y e s , 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 J a n u a r y 7, 1930
L ia b ilitie s

R e so u rc e s
C a p it a l------------------------------------? 35,000.00
Loans and D iscou n ts:
6,628.19
T ota l Loans and D iscounts $321,720.15 Surplus and Undivided Profits
Other R eal E s t a t e ---------------- . 22,957.81 D eposits:
__________
$172,459.22
T
i
m
e
9,293.66
I n v e s t m e n t s -------------------------D e m a n d _______ 123,220.45
23,336.79
A ll oth er resources --------------

T ota l D eposits ------------------ $295,680.22
B orrow ing's from oth er B anks 40,000.00
$377,308.41

T otal

$377,308.41

T otal

R e c e ip ts an d D isb u r se m e n ts D a te o f C losing- to D e c e m b e r 31, 193C
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s ------------$272,011.66 L egal ------------------------------------- $ 1,664.83
A ssessm ents on s t o c k ---------- 26,035.40 A dm in istration ---------------------- 11,291.62
5,534.55
Other C ollection s ----------------- 25,987.44 Taxes, Insurance -----------------4,741.51
Other E xpenses -------------------40,000.00
Bills P a ya b le ----------------------5,758.25
P referred Claims -----------------D ividends ------------------------------- 131,832.18
Offsets ------------------------------------ 54.373.39
Cash on hand Dec. 31, 1936 — 11,469.90
C om prom ise Loss ----------------- 42,678.87
Charge O f f ___________________ 14.689.40
$324,034.50

Total

$324,034.50

T otal

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, 1936
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s ----------- $
B a n k in g H ouse and F. and F.
Other R eal E s t a t e ---------------Bonds and Other Securities —
Cash on hand and due from
banks ---------------------------------A ll oth er resources --------------Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

73,819.78 C a p it a l _______________________ $ 35,000.00
3,364.85 D eposits and C la im s ------------- 106,695.60
19,633.56
8,436.26
11,469.90
24,971.25

$141,695.60

Total

$141,695.60

REPORT OF THE COMMISSIONER OF BANKING

185

RIDGEWAY STATE BANK
Ridgeway
John 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 a s o f J a n u a ry 31, 1933
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real esta te__$ 20,546.82
Other --------------- 28,871.32

Capital ______________________ $ 10,000.00
Surplus and Undivided Profits
2,401.97
D eposits:
T i m e ___________$ 26,702.17
T otal Loans and D iscoun ts $ 49,418.14
D e m a n d _______
26,346.05
Other R ea l E s t a t e ___________
6,241.20
I n v e s tm e n ts ____ ,_____________
7,246.33
T otal D eposits ____________ $ 53,048.22
A ll oth er resources __________
8,931.71 B orrow in g’s from oth er Banks
6,000.00
Other L ia b ilities ____________
387.19
T otal

$ 71,837.38

T ota l

$ 71,837.38

R e c e ip ts an d D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1936
C o lle c tio n s

L iqu idation o f A s s e t s _______ ? 12,953.67
A ssessm ents on s t o c k ______
705.00
R e covery on b o n d ___________
2,915.80
Other C ollection s ___________ 10,460.04

Total

$ 27,034.51

D is b u r s e m e n ts

L egal ------------------------------------- $
A dm in istration ______________
Taxes, I n s u r a n c e ____________
Other Expenses _____________
B ills P a y a b le ________________
P referred C la im s ____________
D ividends ____________________
Offsets -----------------------------------Cash on hand Dec. 31, 1936 __
In terest P a i d ________________
T otal

1,569.43
3,019.27
828.91
1,007.57
6,184.13
66.70
7,948.28
1,055.84
5,230.06
124.32

$ 27,034.51

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 27.600.40 C a p it a l------------------------------------$ 10,000.00
B ank ing H ouse and F. and F.
3,700.00 D eposits and C la im s ________
45,266.73
Other Real' E s t a t e ___________
4,000.00 Other L ia b ilities ____________
54.75
Cash on hand and due from
Stock A s s e s s m e n t s __________
705.00
banks ______________________
5,230.06
All other resources _________
772.11
Surplus ______________________
14,723.91
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

56,026.48

Total

56,026.48

186

REPORT OF THE COMMISSIONER OF BANKING

FARMERS & MERCHANTS STATE BANK
River Falls
E. B. C a r is c h , S p ecia l D e p u ty C om m ission er
C o n d ition a s of F e b r u a r y 2, 1933
L ia b ilitie s

R e so u rc e s

Capital ______________________ $ 37,500.00
Surplus and Undivided Profits
12,500.00
D e p osits:
T i m e ___„ ______ $ 82,028.34
T otal Loans and D iscounts $258,359.59
Demand _______
99,669.04
I n v e s t m e n t s ______ ,__________
23,493.00
T ota l D eposits ____________ $181,697.38
A ll other r e s o u r c e s __________
5,781.34
B orrow in gs from oth er B anks
8,000.00
B orrow in gs from R. F. C____
45,461.56
Other L ia b ilities ____________
2,474.99
Loans and D iscoun ts:
On real esta te__$108,549.00
Other _________ 149,810.59

T ota l

______________________ $287,633.93

T ota l

______________________ $287,633.93

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 J a n u a r y 1, 1937
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s _______ $125,923.07
A ssessm ents on s t o c k ______
17,128.85
R e covery on b o n d ___________ 25,772.35
Other C o lle c t io n s ____________ 15,112.04
Rents ________________________
17,100.93
Sundry A d ju s t m e n ts ________
8,735.19
Cash on hand 2 / 2 / 3 3 _________
3,666.15

Total

$213,438.58

L egal ________________________ $
A dm in istration ---------------------Taxes, I n s u r a n c e -----------------Other Expenses _____________
B ills P ayable _______________
P referred C la im s ____________
D ividends ____________________
Bonds P u r c h a s e d ____________
Offsets and L o s s e s ___________
Cash on hand Dec. 31, 1936 __
Total

2,336.49
11,229.42
10,902.69
37,165.30
54,161.41
19,831.39
46,990.81
10,375.00
18,511.14
1,934.93

$213,438.58

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 3 1 , 1936

R esources

L ia b ilitie s

Loans and D is c o u n t s ________$136,762.12 Capital _______________________ $ 37,500.00
Other R eal E s t a t e ___________ 29,595.34 Surplus and Undivided Profits 13,962.31
Bonds and Other S ecu rities__
8,065.23 D eposits and C la im s ________ 109,873.40
Cash on hand and due from
Other L ia b ilities ____________ 36,313.80
banks ______________________
1,934.93
A ll oth er r e s o u r c e s __________ 21,291.89
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$197,649.51

Total

$197,649.51

REPORT OF THE COMMISSIONER OF BANKING

187

ROCKLAND STATE BANK
Rockland
E. G.

F

is h e r ,

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 21, 1933
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
Other ---------------$ 45,511.05

Capital ______________________ $ 10 , 000.00
Surplus and U ndivided Profits
6,874.58
D e p osits:
T otal Loans and D iscoun ts $ 45,511.05
T i m e ---------------- $ 73,585.04
I n v e s tm e n ts _________________
43,741.00
D e m a n d _______
8,896.56
A ll oth er r e s o u r c e s __________ 10,’ l25!56
T otal D eposits ____________ $ 82,481.60
Other L ia b ilities ____________
21.43
Total
$ 99,377.61
Total
$ 99,377.61

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, 1936
C o lle c tio n s

D is b u r s e m e n ts

Liqu idation o f A s s e t s _______ $ 73,911.15 L eg al ------------------------------------- $
429.59
Assessm ents on s t o c k ______
5.900.00 A dm in istration ________________
3,397.69
R e co v ery on bond, bad debt
39.24 Taxes, Insurance & O.R. E.
1,176!58
Other C ollection s ___________
9,126.06 Other Expenses ________________
96054
Cash on hand as o f closing-_
5,189.86 B ills P ayable -------------------------4,16o!oo
R. P. C. Dep. Liq. L o a n _____
4.160.00 P referred C la im s ______________
1,439.05
57’ 927A7
D ividends -----------------------------Offsets and L o s s e s ___________ 27,496.69
Cash on hand Dec. 31,1936 ___
L338.70
Total
$ 98,326.31
T o t a l ------------------------------------$ 98,326.31

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, 1936

R e so u rc e s

Liabilities
Loans and D is c o u n t s _______ $ 2,545.74 C a p it a l----------------------------------- $ 10,000.00
B anking H ouse and F. and F.
4,306.00 Surplus and Undivided Profits
6,751.30
Other R eal E s t a t e ___________ 13,424.86 D eposits and C la im s ________
19,326.81
Cash on hand and due from
Other L iabilities ____________ 15,026 06
banks ---------------------------------1,338.70
A ll oth er r e s o u r c e s __________ 29,488.87
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 51,104.17

Total

51,104.17

188

REPORT OF THE COMMISSIONER OF BANKING

BANK OF ST. CROIX FALLS

St. Croix Falls
A r t h u r J. K in 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 a s o f J u n e 9, 1934
L ia b ilitie s

R e so u rc e s

C a p it a l------------------------------------ $ 50,000.00
Surplus and U ndivided Profits 50,599.91
D eposits:
D eferred & T r u s t ------------- $417,654.11
11,790.44
T ota l Loans and D iscoun ts $475,853.65 Other L ia b ilities -----------------Other R eal E s t a t e ___________ 20,500.25
I n v e s t m e n t s __________________ 13,155.00
A ll oth er r e s o u r c e s __________ 15,291.07
5,244.49

Loans and D iscou n ts:
On real estate— $261,299.23
Other __________ 214,554.42

$530,044.46

T otal

$530,044.46

Total

R e c e ip ts an d 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, 1936
D is b u r s e m e n ts

C o lle c tio n s

Liqu idation o f A s s e t s ------------$228,510.35 L egal ________________________ $ 5,517.16
4,835.16
A ssessm ents on s t o c k ---------140.60 A dm in istration ---------------------7,824.06
Other C ollection s ___________ 15,334.53 Taxes, I n s u r a n c e -----------------6,577.25
Cash 6/11/34 ________________
13,022.79 Other Expenses _____________
B ills P a y a b l e ________________
26,412.44
In terest on B. P . ____________
800.29
D ividends ____________________ 130,626.20
Offsets ____________
8,225.90
Cash on hand Dec. 31, 1936 __
6,328.53
A d ju s t m e n ts __________________ 59,861.28
T o t a l _______________________ $257,008.27

T o t a l _______________________ $257,008.27

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, 1936
L ia b ilitie s

R e so u r c e s

Loans and D is c o u n t s ------------$273,146.09 C a p it a l_______________________ $ 50,000.00
B a n k in g H ouse and F. and F.
9,687.58 D eposits and C la im s ________ 279,027.22
Other R eal E state __________ 23,841.53
Bonds and Other S ecu rities—
3,015.00
Cash on hand and due from
banks ______________________
6,328.53
A ll oth er r e s o u r c e s __________
1,500.00
Undivided P r o f i t s ________
11,508.49
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$329,027.22

T otal

$329,027.22

189

REPORT OF THE COMMISSIONER OF BANKING

THE STATE BANK
Sauk City
0. K. J o h n s o n , S p ecia l D e p u ty C om m ission er
C o n d ition as o f N o v e m b e r 16, 1934
L ia b ilitie s

R e so u rc e s

Loans and D iscoun ts:
On real esta te__$ 64,141.43
Other _________
67,510.28

C a p it a l_______________________ $ 20,000.00
D eposits :
T i m e ___________$ 84,351.29
D e m a n d _______
97,815.96

T ota l Loans and D iscoun ts $131,651.71
Other R eal E s t a t e ___________
7,0 ¡0.00
T otal D e p o s it s _____________ $182,167.25
I n v e s t m e n t s __________________ 28,066.50 Borrow ing's from oth er Banks
9,000.00
A ll oth er r e s o u r c e s __________ 40,585.76 Other L ia b ilit ie 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 c e ip ts an d 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, 1936
D isb u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s _______ $
Assessm ents on s t o c k ______
R e co v e ry on b o n d ____________
Other C o lle c t io n s ____________
Cash 11/16/34 _______________
O. R. E. I n c o m e _______________

Total

66,995.86 L eg al ________________________ $ 1,439.83
6,811.52 A dm in istration ______________
6,022.74
23,697.89 Taxes, I n s u r a n c e ____________
773.72
10,647.93 Other E xpenses _____________
1.966.17
15,911.71 B ills P a y a b l e ________________
9,000.01
1,198.81 D ividends ____________________ 81,958.09
13,329.02
Offsets _______________________
Cash on hand Dec. 31, 1936 __10,184.39
O. R. E. I n c o m e _____________
589.76

$125,263.72

Total

$125,263.72

C O N D E N S E D S T A T E M E N T O E C O N D IT IO N D E C E M B E R 31, 1936
R e so u rc e s

Loans and D is c o u n t s _______ $
B a n k in g H ouse and F. and F.
Other R eal E s t a t e ___________
Bonds and Other S ecu rities__
Cash on hand and due from
banks ---------------------------------A ll other r e s o u r c e s __________
Undivided Profits L o s s ______
Loss b y A d ju s t m e n t ________
D ividends P a i d ______________
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L ia b ilitie s

45,620.73
5 530.00
27,899.77
1,960.00

C a p it a l _______________________ $ 2 0 , 000.00
Surplus and Undivided Profits
9,140.64
D eposits and C la im s ________
82,194.77
Other L iabilities ____________
609.05
Stock A ssessm ents P a i d ____
6,811.52
10,184.39 D ividends P a i d ______________
81,958.09
4,452.80
10,951.70
12,156.59
81,958.09

$200,714.07

Total

$200,714.07

190

REPORT OF THE COMMISSIONER OF BANKING

SAUKVILLE STATE BANK

Saukville

Louis K u e h l t h a u , S p ecia l D e p u ty C om m ission er
C o n d ition as o f N o v e m b e r 7, 1933
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real esta te__$ 18,344.22
Other __________ 74,025.00

C a p it a l_______________________ $ 10,000.00
Surplus and U ndivided Profits
8,936.56
D eposits:
T i m e ___________$ 91,602.09
T ota l Loans and D iscoun ts $ 92,369.22
D e m a n d _______
30,687.88
Investm ents __________________
71,803.87
A ll oth er r e s o u r c e s _____
4,770.96
T otal D eposits ____________ $122,289.97
B orrow in gs from other Banks 27,475.00
Other L i a b i l i t i e s ____________
242.52
Total

---------------------------------- $168,944.05

Total

______________________ $168,944.05

R e c e ip ts an d D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1930
C o lle c tio n s

L iqu idation o f A s s e t s _______ $ 94,437.52
A ssessm ents on s t o c k ______
6,811.80
85.34
R e co v e ry on b o n d ___________
Other C o lle c t io n s ____________
152.97
R. P. C. L o a n ----------------------19,115.54
Cash on hand 1 1 /7 /3 2 _______
1,238.38

Total

$121,841.55

D is b u r s e m e n ts

L eg al ________________________ $ 1,873.05
4,257.50
A dm in istration ______________
Taxes, I n s u r a n c e ___________
313.85
2,761.79
Other Expenses _____________
B ills P a y a b l e ________________
46,590.54
P referred C la im s ____________
1,960.86
D ividends ____________________ 51,285.14
Offsets _______________________
9,175.91
Cash on hand Dec. 31, 1936 __
3,622.91
Total

$121,841.55

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 27,904.11 C a p it a l------------------------------------$ 10,000.00
B a n k in g H ouse and F. and F.
3,355.35 Surplus and Undivided Profits
Bonds and Other S e cu ritie s.4,543.75
(D eficit) ___________________ 40,525.32
Cash on hand and due from
D eposits and C la im s ________
63,143.80
banks ___________________,___
3,622.91 Other L ia b ilities ____________
6,811.80
A ll oth er resources _________
4.16
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

39,430.28

Total

39,430.28

REPORT OF THE COMMISSIONER OF BANKING

191

BANK OF SCANDINAVIA, Delinquent
Scandinavia

I. T . K n u t s o n , S p ecia l D e p u ty C om m ission er
C on dition as o f F e b r u a r y 26, 192»
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real esta te_$189,180.00
Other --------------- 194,566.85
T otal Loans and D iscoun ts $383,746.85
Other R ea l E s t a t e ___________ 17,256.00
I n v e s tm e n ts __________________ 40,271.74
A ll oth er r e s o u r c e s ________
45,538.11
T otal

---------------------------------- $486,812.70

C a p it a l_______________________ $ 25,000.00
Surplus and Undivided Profits
13,552.92
D eposits:
T i m e ---------------- $320,277.55
D e m a n d _______
97,946.23
Total D eposits ____________ $418,223.78
B orrow in g s from oth er B anks 30,000.00
36.00
Other L ia bilities ____________
T ota l

---------------------------------- $486,812.70

R e c e ip ts an d D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1936
C o lle c tio n s

Liqu idation o f A s s e t s ___
A ssessm ents on s t o c k __
Other C o lle c t io n s _______

D is b u r s e m e n ts

$201,660.98 L egal ________________________ $ 4,557.35
23,770.37 A dm in istration ______________
8,288.67
76,640.94 Taxes, I n s u r a n c e ____________
3,404.37
Other Expenses _____________
4,657.93
Bills P a y a b le ________________
30,000.00
P referred C la im s ____________
200.00
D ividends ____________________ 225,518.51
Offsets _______________________
18,535.42
Cash on hand Dec. 31, 1936 __
6,910.04

T o t a l ------------------------------------$302,072.29

T o t a l _______________________ $302,072.29

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, 1936
R e so u rc e s

Loans and D is c o u n t s _______ $ 66,584.81
Other R eal E s t a t e ___________ 18,626.41
Bonds and Other S ecu rities__
3,208.75
Cash on hand and due from
b a n k s ---------------------------------6,910.04
A ll other r e s o u r c e s __________ 19,952.55
Loss A c c o u n t ________________ 123,869.13
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$239,151.69

L ia b ilitie s

C a p it a l------------------------------------$ 25,000.00
Surplus and Undivided Profits
9,000.00
D eposits and C la im s ________ 181,381.32
Other L ia b ilit ie s _____________ 23,770.37

T otal

$239,151.69

192

REPORT OF THE COMMISSIONER OF BANKING

PEOPLE’S SAVINGS BANK
Sheboygan
B. 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 9, 1933
L ia b ilitie s

R e so u rc e s

C a p i t a l _______________________
Mutual
Surplus and Undivided P ro fits! 36,184.09
T ota l D eposits ____________ $318,015.51

Loans and D iscoun ts:
On real esta te_$208,351.40
Other __________ 15,653.49
T ota l Loans and D iscoun ts $224,004.89
Other R eal E s t a t e ___________ 29,733.55
I n v e s t m e n t s __________________ 79,269.87
A ll oth er r e s o u r c e s __________ 21,191.29
T otal

---------------------------------- $354,199.60

T otal

______________________ $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 t o D e c e m b e r 31, 1936
C o lle c tio n s

D is b u r s e m e n ts

Liqu idation o f A s s e t s ________$272,361.94
R ecovery on b o n d ___________
578.27
Other C o lle c t io n s ____________ 27,114.58
Cash 5/9/34 __________________ 14,297.05

L eg al ________________________ $ 5,686.23
A dm in istration ______________
5,585.37
Taxes, I n s u r a n c e ____________
6,171.55
6,715.97
Other E xpenses _____________
P referred C la i m s ____________ 27,697.57
D ividends ____________________ 192,667.41
Offsets _______________________
11,382.18
Cash on hand Dec. 31, 1936 __
8,917.22
Losses ------------------------------------ 49,528.34

T o t a l _______________________ $314,351.84

T o t a l _______________________ $314,351.84

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 31, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 23,612.05 C a p it a l_______________________ (M utual)
B a n k in g H ouse and F. and F.
6,628.99 Surplus and U ndivided Profits^ 10,212.35
Other R eal E s t a t e ___________ 33,900.38 D eposits and C la im s ________
86,270.99
Bonds and Other S ecu rities__
3,000.00
Cash on hand and due from
8,917.22
banks ______________________
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 76,058.64

T otal

$ 76,058.64

193

REPORT OF THE COMMISSIONER OF BANKING

STATE BANK OF SHEBOYGAN FALLS

Sheboygan Falls
B a s il

I. P e t e r s o n , S p ecia l D e p u ty C om m ission er
C o n d ition as o f N o v em b e r 10, 1933
L ia b ilitie s

R e so u rc e s

Capital ______________________ $ 25,000.00
Surplus and Undivided Profits
4,787.84
D ep o s its :
T i m e ___________$237,832.76

Loans and D iscoun ts:
On real esta te__$ 99,383.64
Other _________ 148,346.97

T otal Loans and D iscounts $247.730 61
Total D eposits ____________$237,832.76
Other R eal E s t a t e ----------------2,600,00
9,800.00
I n v e s t m e n t s __________________ 16,667.00 Borrow ing's from other Banks
6,832.20
A ll other r e s o u r c e s __________ 17,255.19 Other L ia b ilit ie s _____________
T otal

______________________ $284,252.80

T otal

______________________ $284,252.80

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, 1930
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s ------------$195,077.46
4,701.14
Assessm ents on s t o c k ---------R e co v e ry on b o n d ---------------646.39
Other C o lle c t io n s ____________ 18,302.79
R. P. C. L o a n _______________
73,973.96
961.45
Cash 11/10/33 _______ ,_______

$293,663.19

Total

697.50
Trust ------------------------------------- $
1,716.17
L egal ________________________
5,178.48
A dm inistration ______________
2,826.04
Taxes, I n s u r a n c e -----------------2 861 65
Other Expenses _____________
.85,445.05
B ills P a y a b l e ________________
249 78
P referred C la im s ____________
D ividends ____________________ 134,600.59
920.62
Offsets _______________________
8,620.97
Cash on hand Dec. 31, 1936 __
50,546.34
Losses _______________________
$293,663.19

T otal

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 68,824.79
Other R eal E s t a t e ___________ 14,675.00
Bonds and Other S e cu rities-3,000.00
Cash on hand and due from
banks ______________________
8,620.97
A ll other r e s o u r c e s __________
6,317.55
Losses _______________________
50,546.34

C a p it a l_______________________ $ 25,nno o
Surplus and Undivided Profits 12,410.57
D eposits and C la im s ________ 109,872.94
4,701.14
Other L iabilities, S t o c k _____

T o t a l _______________________ $151,984.65

T o t a l _______________________ $151,984.65

13


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

194

REPORT OF THE COMMISSIONER OF BANKING

BANK OF SHELL LAKE

Shell 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 i s s i o n e r

C o n d ition as o f June 11, 1931
R e so u rc e s

L ia b ilitie s

C a p it a l_______________________ $ 25,000.00
Surplus and U ndivided Profits 5,785.54
P ostal Savings D e p . ________
46,174.90
D eposits:
T i m e ___________$ 71,348.01
T otal Loans and D iscoun ts $129,145.26
D e m a n d _______ 104,537.41
Other R eal E s t a t e ___________ 23,697.24
I n v e s tm e n ts __________________ 34,397.14
Total D eposits ____________ $175,885.42
A ll oth er resources ________
23,093.39
Bonds to secure P. S . _______
53,663.42 B orrow in gs from other Banks 11,000.00
Other L ia b ilities ____________
150.59
Loans and D iscou n ts:
On real esta te_$ 44,590.83
Other __________ 84,554.42

T otal

---------------------------------- $263,996.45

T ota l

______________________ $263,996.45

R e c e ip ts an d D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 193C
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A ssets _____ $169,206.01
Assessm ents on s t o c k ______
779.88
6,391.12
L oss on B.onds & M t g . ______
Other C o lle c t io n s ____________ 14,808.13

Total

$191,185.14

L egal ________________________ $
A dm in istration ______________
Taxes, Insurance ____________
Other E x p e n s e s ______________
Bills P a y a b l e ________________
P referred C la im s ____________
D ividends ____________________
C om prom ise L o s s ____________
Offsets _______________________
Cash on hand Dec. 31, 1936 __
P ostal Sav. Dep. P a i d ______
Total

1,051.13
11,694.21
6,598.40
1,556.69
11,038.20
14,110.68
52,132.92
34,087.91
12,429.47
1,317.49
45,168.04

$191,185.14

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, 1936
R e so u rc e s

Loans and D is c o u n t s _______ $ 63,454.90
Other R eal E s t a t e ___________ 13,166.24
Bonds and Other S ecu rities__
8,442.73
Cash on hand and due from
banks ______________________
1,317.49
A ll oth er r e s o u r c e s __________ 43,370.05
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$129,751.41

L ia b ilitie s

C a p it a l_______________________ $ 25,000.00
Surplus and Undivided Profits
5,000T0
D eposits and C la im s ________
96,862.24
Other L ia b ilit ie s _____________
44.42
U nclaim ed L ia b ility ________
2,844.75
Total

$129,751.41

REPORT OF THE COMMISSIONER OF BANKING

195

LUMBERMEN’S BANK
Shell 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 M arch 2, 11127
R e so u rc e s

L ia b ilitie s

Loans and D iscou n ts:
On real esta te__$153,045.09
Other __________ 227,177.01

C a p it a l_______________________ $ 25,000.00
Surplus and Undivided Profits
5,845.11
D eposits:
T i m e __________ $314,474.53
D e m a n d _______ 122,299.96

T otal Loans and D iscounts $380,222.10
Other R eal E s t a t e ___________ 50,154.08
I n v e s t m e n t s __________________ 26,854.90
Total D eposits ____________ $436,774.49
A ll oth er r e s o u r c e s __________ 37,838.52 B orrow in gs from oth er Banks 27,450.00
T otal

______________________ $495,069.60

T otal

______________________ $495,069.60

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, 1036
C o lle c tio n s

L iquidation o f A s s e t s ___
A ssessm ents on sto ck —
Other C o lle c t io n s ________

D is b u r s e m e n ts

$335,435.04 L eg al ________________________ $
246.16
31,015.51
577.77 A dm in istration _______________
11,016.07
97,042.98 Taxes, I n s u r a n c e _____________
Other E xpenses ______________
12,500.83
B ills P ayable _________________ 16,620.99
P referred C la im s __ ___________ 48,749.29
D ividends ____________________ 170,672.95
Com prom ise L o s s _____________
58,964.67
Cash on hand Dec. 31, 1936 _
7,177.84
Claims A ssign ed _____________
76,091.48

T o t a l _______________________ $433,055.79

T o t a l _______________________ $433,055.79

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, 1936
R e so u rc e s

Doans and D is c o u n t s __ $113,902.20
B anking H ouse and F. and F.
8,910.01
Other R eal E s t a t e _____
50,473.54
Bonds and Other S ecu rities_14,801.08
Cash on hand and due fr.om
7,177.84
banks ______________________
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$195,264.67

L ia b ilitie s

C a p it a l------------------------------------$ 25,000.00
Surplus and U ndivided Profits 17,885.36
D eposits and C la im s ________ 149,677.29
Other L ia b ilities ____________
2,702.02

Total

$195,264.67

196

REPORT OF THE COMMISSIONER OF BANKING

BANK OF SHOREWOOD
Shorewood
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 i s s i o n e r

C o n d ition a s o f June 14, 1932
L ia b ilitie s

R e so u rc e s

C a p it a l_______________________ $ 50,000.00
Surplus and Undivided Profits
21,542.69
D eposits:
T i m e __________ $189,948.11
D e m a n d _______ 269,326.61
T otal Loans and D iscoun ts $243,065.30
I n v e s t m e n t s __________________ 308,359.15
T ota l D e p o s i t s ____________ $459,274.72
A ll oth er r e s o u r c e s __________ 35,351.88
B orrow ing's from oth er Banks 55,813.08
145.84
Other L ia b ilities -----------------Loans and D iscoun ts:
On real esta te__$ 22,650.00
Other _________ 220,415.30

$586,776.33

Total

$586,776.33

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 s in g to D e c e m b e r 31, 1936
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s ________$315,476.44 L eg al ________________________ $ 9.869.58
A ssessm ents on s t o c k ______
18,684.81 A dm in istration ---------------------- 18,605.06
571.22
Other C o lle c t io n s ____________ 57,215.86 Taxes, I n s u r a n c e -----------------3,804.62
Other E xpenses _•_____________
55,813.08
B ills P a y a b le ------------------------1.924.59
P referred Claim s ____________
D ividends ____________________ 173,059.02
23,731.31
Offsets _______________________
9,903.95
Cash on hand Dec. 31, 1936 __
Losses and Suspense ________
94,094.68
$391,377.11

Total

Total

$391,377.11

C O N D E N S E D S T A T E M E N T O E C O N D IT IO N D E C E M B E R 31, 1936
R e so u rc e s

Loans and D is c o u n t s ------------$128,904.81
Other Heal E s t a t e ___________
5,378.64
Bonds and Other S ecu rities__ 84,540.12
Cash on hand and due from
9,903.95
banks ______________________
A ll oth er r e s o u r c e s __________
4,503.84
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$233,231.36

L ia b ilitie s

C a p it a l _______________________ $ 50,000.00
Surplus and Undivided Profits 97 542.59
D eposits and C la im s ________ 262,089.14
Other L ia b ilit ie s _____________ 18,684.81

Total

$233,231.36

REPORT OF THE COMMISSIONER OF BANKING

197

BANK OF SOLDIERS GROVE
Soldiers Grove
J. P. H a m m a k l u n d , D is tr ic t S p e cia l D e p u ty C o m m ission er
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 D iscoun ts:
C a p it a l__
_
$ 20,000.00
T ota l Loans and D iscoun ts $476,501.40 Surplus and Undivided Profits
6,650.30
All oth er resources
_
8,016.46 D eposits:
Tim e
$259,138.21
Dem and
82,897.48
T otal D eposits
_
$342,035.69
B orrow ing's from oth er Banks 114,948.00
Other L iabilities
____ ___
883.87
T ota l

$484,517.86

T otal

_ -

$484,517.86

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, 1936
C o lle c tio n s

L iquidation o f Assets
A ssessm ents on sto ck
Other C ollection s
_

T o t a l _______

_

D is b u r s e m e n ts

$232,541.00 L egal
$ 12,136.52
9,500.00 A dm in istration
_ _
11,856.04
99,167.07 Taxes, Insurance
12,870.31
Other E xpenses
32,143.23
B ills P ayable
_
117,054.06
P referred Claim s
3,798.00
D ividends
149,940.84
Cash on hand Dec. 31, 1936 __
1,409.07
$341,208.07

T otal

$341,208.07

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, 1936
R e so u rc e s

Cash on hand and due from
banks
$
320 acres land in M ontana on
w hich are tw o gas w ells
T ota l


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$

L ia b ilitie s

1,409.07

1,409.07

Other L ia b ilities

T otal

_

$

1,409.07

_.$

1,409.07

198

REPORT OF THE COMMISSIONER OF BANKING

SPOONER STATE BANK
Spooner
J o h n R . H a y e s , D is tr ic t S p ecia l D e p u ty C o m m ission er

C on dition as o f A u g u s t 6, 1931
L ia b ilitie s

R e so u rc e s

C a p it a l_______________________ $ 25,000.00
Surplus and U ndivided Profits
6,050.04
D eposits:
T i m e ___________$ 25,647.54
D e m a n d _______ 137,987.73
T ota l Loans and D iscoun ts $139,720.49
Other R eal E s t a t e ___________
7,014.15
T otal D e p o s i t s ____________ $163,635.27
I n v e s t m e n t s __________________ 60,345.72
A ll oth er r e s o u r c e s __________ 15,944.92 B orrow ing's from oth er Banks 25,000.00
Other L ia b ilities ____________
3,339.97
Loans and D iscoun ts:
On real esta te__$ 89,576.15
Other __________ 50,144.34

T otal

______________________ $223,025.28

T otal

______________________ $223,025.28

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, 1936
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s ------------$172,196.33 P. S. Dep. P a i d ______________ $
Assessm ents on s t o c k ---------5,841.66 L egal ________________________
Other C ollection s ----------------- 14,929.45 A dm in istration ---------------------Taxes, I n s u r a n c e -----------------Other E xpenses __________ -—
Bills P ayable _______________
P referred Claims -----------------D ividends ____________________
Offsets _______________________
Cash on hand Dec. 31, 1936 __
Com prom ise L o s s ____________
Total

$192,967.44

41,720.32
2,335.43
8,413.22
3,373.93
378.13
28,000.00
5,088.13
41,978.14
8,741.68
3,913.99
49,024.47

$192,967.44

T otal

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, 1936
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s _______ $ 43,837.29 C a p it a l_______________________ $ 25,000.00
5,000.00
Other R eal E s t a t e ___________ 13,497.48 Surplus and Undivided Profits
62,404.55
Bonds and Other S ecu rities_
5,841.09 D eposits and C la im s ________
Cash on hand and due from
banks ______________________
3,913.99
A ll oth er r e s o u r c e s __________ 25,314.70
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

92,404.55

Total

$ 92,404.55

199

REPORT OF THE COMMISSIONER OF BANKING

SPRINGBROOK STATE BANK

Springbrook
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 ns o f M a y 7, 1027
L ia b ilitie s

R e so u rc e s

C a p it a l_______________________ $ 10,000.00
Loans and D iscoun ts:
1,939.08
T ota l Loans and D iscounts $ 65,295.84 Surplus and U ndivided Profits
5.190.00 D ep osits:
Other R eal E s t a t e ___________
T i m e ___________$ 26,393.04
4.570.00
I n v e s t m e n t s __________________
D e m a n d _______
30,206.72
3.883.01
A ll oth er resources _________
T otal D e p o s it s _____________ $ 56,599.76
Borrow ing's from other Banks 10,400.00
.$ 78,938.85

Total

$ 78,938.85

T otal

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, 1936
D isb u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s _______ $ 46,308.16 L egal ________________________ $ 2,096.38
2,994.25
327.00 A dm in istration ---------------------Assessm ents on s t o c k _______
1,002.79
Other C o lle c t io n s ____________
8,173.00 Taxes, Insurance ____________
Other Expenses _____________
299.14
B ills P a y a b le ________________
10,400.00
P referred C la im s ____________
70.00
D ividends ____________________ 18,848.20
Offsets _______________________
2,300.76
Cash on hand Dec. 31,1936 __
241.22
Comp. Loss and Int.P d_______ 16,555.42
T otal

______________________ $ 54,808.16

T otal

______________________ $ 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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s ----------- $ 22,679.52 C a p it a l_______________________ $ 10,000.00
B ank ing H ouse and F. and F.
1,138.50 Surplus and Undivided Profits
1,300.00
35,464.57
Other R eal E s t a t e ___________
4,990.00 D eposits and C la im s ________
Cash on hand and due from
banks ______________________
241.22
A ll other r e s o u r c e s __________ 17,715.33
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

.$ 46,764.57

Total

$ 46,764.57

REPORT OF THE COMMISSIONER OF BANKING

200

CITIZENS STATE BANK

Stanley
L loyd E . H u l l , 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 as o f D e c e m b e r 9, 1932
L ia b ilitie s

R e so u rc e s

C a p it a l_______________________ $ 35,000.00
Loans and D iscou n ts:
T ota l Loans and D iscoun ts $307,187.31 Surplus and Undivided Profits 33,780.64
Other R eal E s t a t e ___________
9,782.65 D eposits:
I n v e s tm e n ts __________________ 100,042.50
T otal D eposits ____________$283,012.05
A ll oth er resources __________ 26,233.03 B orrow ing's from other Banks
91,452.80
T ota l

T ota l

______________________ $443,245.49

______________________ $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 s in g t o D e c e m b e r 31, 1936
C o lle c tio n s

L iqu idation o f A s s e t s ________$251,699.13
21,723.97
Assessm ents on s t o c k ______
R e covery on b o n d ___________ 96,935.00
Other C o lle c t io n s ____________ 25,255.82
5,971.67
Cash 12/9/32 ________________

Total

D is b u r s e m e n ts

L eg al ------------------------------------- $ 2,657.70
5,828.60
A dm in istration ______________
Taxes, I n s u r a n c e ____________ 11,620.50
Other Expenses _____________ 14,484.45
91,452.80
B ills P ayable _______________
8,865.50
P referred C l a i m s ____________
D ividends ____________________ 81,935.37
16,355.08
Offsets _______________________
9,272.80
Cash on hand Dec. 31, 1936 _
Loss _________________________ 159,112.79

$401,585.59

T otal

.$401,585.59

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, 1936
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s _______ $ 32,019.99 C a p it a l _______________________ $ 35,000.00
B a n k in g H ouse and F.and F.
17,283.50 D eposits and C la im s ________ 177,499.94
Other R ea l E s t a t e ___________ 33,324.99
Bonds and Other S ecu rities__
3,907.50
Cash on hand and due from
banks ______________________
9,272.80
Sur. & Undiv. Profits D eficit 116,691.16
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$212,499.94 1

T otal

$212,499.94

REPORT OF THE COMMISSIONER OF BANKING

201

WISCONSIN STATE BANK

Stevens Point
N. W. H a h n , S p ecia l D e p u ty C om m ission er
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

Loans and D iscounts
On real estate__$264,559.59
Other --------------- 135,509.79

C a p it a l---- - ------------------------- $ 30,000.00
Surplus and U ndivided Profits
10,177 89
D eposits:
T i m e ---------------- $494,166.95
T ota l Loans and D iscoun ts $400,069.38
D e m a n d ----------98,889.72
Other R eal E s t a t e ___________ 40,618.29
I n v e s tm e n ts --------------------------- 175,087.75
T ota l D eposits ------------------ $593,056.67
A ll oth er r e s o u r c e s __________ 50,159.14 B orrow in gs from oth er Banks 26,000.00
Other L ia b ilit ie s _____________
6,700 00
Total
$665,934.56
T otal ---------------------------------- $665,934.56

R e c e ip ts an d D isb u r se m e n ts D a te o f C lo s in g t o D e c e m b e r 31, 1930
C o lle c tio n s

D is b u r s e m e n ts

Liquidation o f A s s e t s ________$338,583.71 L eg al _______________________
$ 6,609.75
A ssessm ents on s t o c k _________________ 10,120.00
A dm in istration _____________
17.169.74
Other C ollection s ___________ 53,176 28 Taxes, I n s u r a n c e ________ I_
16,733.31
24,562.16 Other Expenses ____________
Cash on hand 1 1 /2 /3 1 _______
23.832.75
B ills P ayable ______________
26,000.00
P referred C la im s ___________
1,715.72
D ividends ________________
297,030.54
O f f s e t s ____ !______________ ~~
18.519.67
Cash on hand Dec. 31, 1936 _
17.275.67
K u row sk i Farm A c c ’ t _____
1,555.00
Total
$426,442.15
Total
$426,442.15

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 41,364.08 C a p it a l______________________
B ank ing H ouse and F. and F.
1,409.61 D eposits and C la im s ________ : 30,000.00
Other R eal E s t a t e ____________ 107,917.48 Stock Assessm ent Paid ___ 280,237.03
10, 120.00
Bonds and Other S ecu rities__53,916.54
Cash on hand and due from
banks ---------------------------------- 17,275.67
A ll oth er r e s o u r c e s __________
58.70
Surplus A ’ cct ----------------------98,414.95
Total _


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

„$320,357.03

Total

$320,357.03

202

REPORT OF THE COMMISSIONER OF BANKING

STITZER STATE BANK
Stitzer
A. W. Bergh, S p ecia l D e p u ty C o m m ission er
C o n d ition as o f M a y 10, 1034
L ia b ilitie s

R e so u rc e s

Loans and D iscou n ts:
T otal Loans and D iscounts_$
Other R eal E s t a t e ___________
I n v e s t m e n t s -----------A ll other r e s o u r c e s __________
Cash on h a n d _______________

C a p it a l_______________________ $ 15,000.00
1,002.72
21,986.18 Surplus and Undivided Profits
17,800.00 D eposits:
T ota l D e p o s it s ____________ $ 65,399.33
20,291.09
489.38
343.35 Other L ia b ilities ____________
21,470.81

T o t a l _______________________ $ 81,891.43

T o t a l _______________________ $ 81,891.43

R e c e ip ts an d D isb u r se m e n ts D a te o f C lo s in g to D e c e m b e r 31, 1930
C o lle c tio n s

D is b u r s e m e n ts

Liqu idation o f A s s e t s ----------- $
Assessm ents on s t o c k ---------R e covery on b o n d ----------------Other C o lle c t io n s ____________
P referred C l a i m s ____________
In terest R eceived ___________
Cash .on h a n d _______________

18,759.51
11,166.92
20,291.09
968.20
14,094.60
1,227.89
21,470.81

87,979.02

T ota l

L egal ________________________ $
A dm in istration ---------------------Taxes, I n s u r a n c e -----------------Other E xpenses _____________
P referred C la im s -----------------D ividends ____________________
Offsets _______________________
Cash on hand Dec. 31, 1936 __
Due from banks -----------------Other D is b u r s e m e n t s _______

25.30
2,839.44
236.00
260.50
14 079.27
44,198.31
13,837.91
166.21
1,838.85
10,697.23
87,979.02

T ota l

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, 1930
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s ----------- $ 3,226.67 C a p it a l_______________________ $ 15,000.00
7,852.49
6,850.00 D eposits and C la im s ------------B ank ing H ouse and F. and F.
10,800.00 Other L ia b ilities -------------------- 58,292.91
Other R eal E s t a t e ---------------Stock Assessm ents ___________ 11,166.92
Cash on hand and due from
2,005.06
banks ______________________
A ll other resources --------------- 58,459.59
Surplus and Undivided Profits 10,971.00
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 92,312.32

T otal

$ 92,312.32

REPORT OF THE COMMISSIONER OF BANKING

203

STOCKHOLM STATE BANK
Stockholm
G eo .

J. S c h a f e r , S p ecia l D e p u ty C om m ission er
C o n d ition as o f M a y 3, 1333

R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
Capital ----------------------------------$ 10,000.00
T otal Loans and D iscoun ts $ 95,088.52 Surplus and Undivided Profits
8,825.70
Other R eal E state __________
6,093.93 D eposits:
I n v e s t m e n t s ___________________ 14,850.82 T i m e ---------------- $ 61,128.34
A ll oth er r e s o u r c e s ___________ 19,150.15 D e m a n d _______
40,167.23
Total D eposits ___________ $101,295.57
B orrow in gs from other Banks 15,000.00
Other L ia b ilit ie s _____________
62.15
T otal

---------------------------------- $135,183.42

T o t a l ------------------------------------$135,183.42

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, 1936
C o lle c tio n s

Liqu idation o f A s s e t s _______ $ 52,907.22
Assessm ents on s t o c k ______
6,908.49
R e co v e ry on b o n d ____________ 13,850.82
Other C ollection s ___________
5,217.57
Cash on hand and due from
banks, 5/3/33 ______________
12,622.94

Total

91,507.04

D is b u r s e m e n ts

In terest Paid _______________ $
L egal ------------------------------------A dm in istration ______________
Taxes, Insurance ____________
Other Expenses _____________
B ills P ayable _______________
P referred C la im s ____________
D ividends -----------------------------Offsets -----------------------------------Cash on hand Dec. 31, 1936 __
Loss A ccou n t _______________
Total

1,262.22
357.85
4,582.84
819.51
1,875.28
15,000.00
22,837.44
11,103.93
5,257.41
1,563.58
26,846.98

$ 91,507.04

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s ----------- $ 39,350.26 C a p it a l____ :___________________ $ 10, 000.00
B ank ing H ouse and F. and F.
4.329.00 Surplus and Undivided Profits
7,950.49
9,093.93 D eposits and C la im s ________
Other R eal E s t a t e ___________
63,034.15
2,941.17 Other L ia b ilities ____________ 12,126.06
Bonds and Other S ecu rities__
Cash on hand and due from
1,563.58
banks ________________ :-------A ll oth er resources _________
35,832.76
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

93,110.70

Total

93,110.70

204

REPORT OF THE COMMISSIONER OF BANKING

FIRST STATE BANK OF STRUM
Strum
M. I. G ilb e r t , S p ecia l D e p u t y C o m m ission er
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 it a l_______________________ $ 20,000.00
Loans and D iscou n ts:
6,744.25
T otal Loans and D iscoun ts $217,287.87 Surplus and U ndivided Profits
Other R ea l E s t a t e ___________ 12,950.00 D eposits:
T i m e __________ $180,343.16
I n v e s tm e n ts __________________ 77,512.79
D e m a n d _______ 36,576.36
A ll oth er r e s o u r c e s __________ 10,377.63
T ota l D e p o s i t s ____________$216,919.51
B orrow ing's from oth er Banks 71,869.21
Other L ia b ilit ie s _____________
2,595.32
T otal

______________________ $318,128.29

T ota l

______________________ $318,128.29

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 t o D e c e m b e r 31, 1936
D is b u r s e m e n ts

C o lle c tio n s

Liqu idation o f A s s e t s ------------$159,400.58
Assessm ents on s t o c k ---------9,475.00
R e co v e ry on b o n d ___________ 70,506.05
Other C o lle c t io n s ____________ 12,760.85

$252,142.48

T otal

In terest Paid _______________ $
E q u ity Opera _______________
L eg al ________________________
A dm in istration ______________
L ib erty Bond M a t t e r ________
Taxes, Insurance ____________
Loss Sale Bonds ____________
Other Expenses _____________
Loss Sale B. P. C o l . ________
B ills P ayable _______________
P referred Claim s __________
D ividends ____________________
Offsets _______________________
Cash on hand Dec. 31, 1936 _
L oss by C ourt O r d e r ________
T otal

459.81
369.40
3,225.95
6,730.53
511.20
1,270.51
316.13
1,431.14
64,606.85
55,583.69
4,859.07
53,157.36
13,726.90
10,567.71
35,326.23

$252,142.48

C O N D E N S E D S T A T E M E N T O E C O N D IT IO N D E C E M B E R 31, 1936
R e so u r c e s

Loans and D is c o u n t s _______ $ 87,393.48
Other R eal E s t a t e ___________
369.40
1,100.00
Bonds and Other S ecu rities__
Cash on hand and due from
banks ______________________
10,567.71
A ll other r e s o u r c e s __________ 167,507.22
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$266,937.81

L ia b ilitie s

C a p it a l_______________________ $ 20,000.00
Surplus and Undivided Profits
5,320.08
D eposits and C la im s ________ 179,685.91
Other L ia b ilities ------------------ 61,931.82

Total

$266,937.81

REPORT OF THE COMMISSIONER OF BANKING

205

DOOR COUNTY STATE BANK
Sturgeon Bay
C. H . H e r l a c h e , S p ecia l D e p u ty C om m ission er
C o n d ition as o f S ep te m b e r 19, 1931
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real esta te_$156,290.67
Other _________ 298,038.82

C a p it a l------------------------------------$ 50,000.00
Surplus and Undivided Profits
6,737.72
D eposits:
T i m e __________ $356,466.65
D e m a n d _______ 84,898.13

T otal Loans and D iscounts $454,329.49
Other R ea l E s t a t e ___________ 14,485.01
I n v e s tm e n ts __________________ 91,632.54
T ota l D e p o s i t s ------------------ $441,364.78
All oth er r e s o u r c e s __________ 33,890.22 B orrow in gs from oth er Banks 96,234.76
T otal

----------------------------------$594,337.26

T otal

----------------------------------$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 C lo sin g to D e c e m b e r 31, 1936
C o lle c tio n s

Liquidation o f A s s e t s ________$142,964.64
A ssessm ents on s t o c k ______
12,389.30
R e co v e ry on b o n d ___________ 46,639.59
Other C ollection s ___________ 38,576.76

Total

$240,570.29

D is b u r s e m e n ts

L eg al ------------------------------------- $
A dm in istration ______________
Taxes, I n s u r a n c e ____________
Other Expenses _____________
B ills P ayable ----------------------P referred Claim s ___________
D ividends ------------------------------Adj. ----------------------------------------Offsets -----------------------------------Cash on hand Dec. 31, 1936 _
Total

1,780.82
7,778.03
5,449.41
10,758.39
96,234.76
1,400.52
87,418.25
50.65
25,642.24
4,057.22

$240,570.29

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s ________$212,983.90 C a p it a l----------------------------------- $ 50.000.00
B ank ing H ouse and P. and P.
9,023.05 Surplus and U ndivided Profits
5,000.00
Other R eal E s t a t e ___________ 30,154.06 D eposits and C la im s ______ .__ 332 046.77
Bonds and Other S ecu rities__
9,934.44
Cash on hand and due from
b a n k s ___.___________________
4,057.22
A ll oth er r e s o u r c e s _________ 120,894.10
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$387,046.77

Total

$387,046.77

206

REPORT OF THE COMMISSIONER OF BANKING

MERCHANTS EXCHANGE BANK

Sturgeon Bay
C. H. Herlache, S p ecia l D e p u ty C o m m ission er
C o n d ition as o f O ctob er 6, 1932
L ia b ilitie s

R e so u rc e s

Loans and D iscoun ts:
On real estate $335,061.33
O t h e r ________ 407,919.24
T ota l L o a n s and D isc o u n t s __________________$ 742,980.57
Other R eal E s t a t e ________
17,800.00
226,541.11
Investm ents _______________
A ll oth er r e s o u r c e s ------------34,372.09
T ota l _____________________ $1,021,693.77

__________________ $
Capital
Surplus and U n d i v i d e d
P r o f i t s ____________________
D eposits:
________ $597,578.01
Tim e
Demand ________174,117.83

50,000.00
25,000.00

T ota l D e p o s it s ___________$ 771,695.84
B orrow ing's from o t h e r
B a n k s _____________________
154,225.00
Other L ia b ilities ___________
20,772.93
T ota l _____________________ $1,021,693.77

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, 1936
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s ______ $ 269,080.99 L e g a l _______________________ $
27,337.45 A d m in is t r a tio n _____________
Assessm ents on stock :_____
R e co v e ry on b o n d ________
122,443.39 Taxes, In su rance __________
Other C o lle c t io n s __________
62,338.61 Other E xpenses ___________
B ills P a y a b l e ______________
P referred Claim s __________
D iv id e n d s ___________________
O f fs e t s ______________________
Cash on hand Dec. 31, 1936
T ota l _____________________ $ 481,200.44

4,381.63
10,131.73
13,063.92
13,303.13
169,215.00
2,184.00
211,517.29
32,243.07
25,160.67

T ota l _____________________ $ 481,200.44

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, 1936
R e so u rc e s

L ia b ilitie s

Capital _____________________ $
Surplus and U n d i v i d e d
P r o f i t s ____________________
D eposits and C la im s _______
Other L ia b ilit ie s ___________

50,000.00
25,000.00
544,929.39
29,086.74

_

_

Loans and D is c o u n t s --------- $ 301,139.12
B a n k in g H ouse and F. & F.
19,724.39
33,744.61
Other R eal E s t a t e
Bonds and Other Securities
13,068.99
Cash on hand and due from
banks ____________________
25,160.67
256,178.35
A ll other r e s o u r c e s
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 649,016.13

Total

$ 649,016.13

REPORT OF THE COMMISSIONER OF BANKING

207

STURTEVANT STATE BANK

Sturtevant
A lfred N e w l a n d e r , S p ecia l D e p u ty C om m ission er

C o n d ition as o f D e c e m b e r 12, 1932
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real esta te__$ 27,502.28
Other __________ 35,220.35

C a p it a l_______________________ $ 12,000.00
Surplus and Undivided Profits
22,454.37
D eposits:
' l i m e ___________$ 29,772.96
Total Loans and D iscoun ts $ 62,722.63
D e m a n d _______
31,104.94
Other R eal E s t a t e ___________
2,022.69
I n v e s tm e n ts __________________ 28,212.06
T otal D eposits ____________ $ 60,877.90
A ll oth er r e s o u r c e s __________ 13,688.47 Borrow ing's from oth er Banks
9,240.00
Other L ia b ilities ____________
2,073.58
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 C losin g' to D e c e m b e r 31, 1936
D is b u r s e m e n ts

C o lle c tio n s

Liqu idation o f A s s e t s _______ $ 42,070.68 L eg al ------------------------------------- $
734.62
Assessm ents on s t o c k ______
10,977.83 A dm inistration ______________
5,036.46
R e covery on b o n d ___________ 13,129.26 Taxes, Insurance ____________
1,090.27
3,639.04Other Expenses _____________
2,233.10
Other C ollection s ___________
Cash and Due from B a n k s___
7,352.15 B ills P ayable _______________
9,240.00
78.65
P referred Claims ___________
D ividends ____________________ 50,327.90
Offsets _______________________
1,860.21
Cash on hand Dec. 31, 1936 __
3,793.25
L osses _______________________
2,774.50
Total

$ 77,168.96

Total

$ 77,168.96

C O N D E N S E D S T A T E M E N T O P C O N D IT IO N D E C E M B E R 31, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s ______ _$ 18,788.42 C a p it a l------------------------------------$ 12,000.00
B a n k in g H ouse and F. and F.
3.708.28 Surplus and Undivided Profits
1,462.73
Other R eal E s t a t e ___________
4,097.42 D eposits and C la im s ________
8,873.37
Cash on hand and due from
Other L ia b ilities ____________ 10,977.83
banks ______________________
3,793.25
A ll oth er resources __________
1.10
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

30,388.47

Total

30,388.47

208

REPORT OF THE COMMISSIONER OF BANKING

THE STATE BANK OF SUAMICO
Suamico
A. E. B u t t r ic k , S p ecia l D e p u ty C om m ission er
C o n d ition as o f J une 24, 1035
L ia b ilitie s

R e so u rc e s

C a p it a l_______________________ $ 15,000.00
Loans and D iscoun ts:
T otal Loans and D iscoun ts $ 75,090.87 “A ” D ebentures _____________ 15,000.00
2,901.69
Other R eal E s t a t e ___________
5,000.00 Surplus and Undivided Profits
I n v e s tm e n ts __________________ 30,758.13 D eposits:
T i m e ___________$ 67,055.88
A ll other r e s o u r c e s __________ 50,346.50
D e m a n d __ :____ 61,046.12
T ota l D eposits ____________$128,102.00
Other L ia b ilit ie s _____________
191.81
Total

______________________ $161,195.50

T otal

______________________ $161,195.50

R e c e ip ts and D isb u r se m e n ts D a te o f Closing' to J a n u a r y 1, 1937
D is b u r s e m e n ts

C o lle c tio n s

117.00
L iqu idation o f A s s e t s ------------$125,526.00 L eg al ________________________ $
1,368.75
Assessm ents on s t o c k ______
4,150.23 A dm in istration ______________
106.08
Other C ollection s ___________
4,960.26 Taxes, I n s u r a n c e ____________
Other Expenses _____________
1,273.77
D ividends ____________________ 107,771.95
13,833.20
Offsets _______________________
Cash on hand Dec. 31, 1936 __
5,513.99
Loss Convert. A ssets to Cash
4,651.75
T o t a l _______________________ $134,636.49

T o t a l _______________________ $134,636.49

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, 1937
R e so u rc e s

D ividend A c c o u n t ----------------- $107,771.95
Loans and D iscoun ts ----------- 27,227.09
7,128.50
B a n k in g H ouse and F. and F.
1,300.00
Other R eal E s t a t e ---------------Cash on hand and due from
5,513.99
banks ______________________
331.77
A ll oth er resources --------------Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$149,273.30

L ia b ilitie s

“ A ” D e b e n t u r e s _____ _______ $ 15,000.00
C a p it a l_______________________
15,000.00
Surplus and U ndivided Profits
4,494.83
D eposits and C la im s _________ 114,676.91
Other L iabilities _______
101.56

Total

$149,273.30

REPORT OF THE COMMISSIONER OF BANKING

209

FARMERS & MERCHANTS BANK
Sun Prairie

J. P. H ammarlund , S p ecia l D e p u ty C om m ission er
C on dition a s o f J u ly 3, 1929
R e so u rc e s

L ia b ilitie s

Loans and D iscou n ts:
On real estate__$291,669.86
Other ---------------531,151.47

C a p it a l------------------------------------$ 40,000.00
Surplus and Undivided Profits 21,351.11
D eposits:
T i m e ---------------- $717,107.06
T otal Loans and D iscoun ts $822,821.33
D e m a n d _______ 147,455.83
Other R eal E s t a t e ___________ 57,448 67
I n v e s t m e n t s --------------------------- 46,535.01
Total D eposits ------------------ $864,562.89
A ll oth er r e s o u r c e s __________ 60,593.99 Borrow ing's from oth er Banks 61,485.00
T o t a l ------------------------------------$987,399.00

T o t a l ------------------------------------$987,399.00

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, 193G
C o lle c tio n s

D is b u r s e m e n ts

L iqu idation o f A s s e t s ________$214,210.28
A ssessm ents ,on s t o c k ______
16,270.00
Other C o lle c t io n s ____________ 60,404.78
9.25
Unpaid D rafts ______________
Cash on H a n d _______________
37,092.78

L eg al ------------------------------------- $ 35,348.91
21,442.18
A dm in istration ______________
Taxes, I n s u r a n c e ____________ 19,185.31
Other Expenses _____________ 30,817.88
B ills P ayable ------------------------ 61,485.00
P referred C la im s ____________
200.00
D ividends ____________________ 117,247 11
Offsets ------------------------------------ 37,662.07
Cash on hand Dec. 31, 1936 __
4,598.63

T o t a l ------------------------------------$327,987.09

T o t a l ------------------------------------$327,987.09

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, 1936
R e so u rc e s

Loans and D is c o u n t s ________$126,782.75
Other R eal E s t a t e ____________ 145,119.46
Bonds and Other S ecu rities__ 15,360.23
Cash on hand and due from
banks ---------------------------------4,598.63
A ll oth er r e s o u r c e s __________ 488,749.69
Total

----------------------------------$780,610.76

14


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L ia b ilitie s

C a p it a l------------------------------------$ 40,000.00
D eposits and C la im s ________ 724,331.51
Stock A ssessm ent ___________ 16,270.00
Unpaid D rafts ______________
’ 9.25

T otal

------ ,--------------------------- $780,610.76

210

REPORT OF THE COMMISSIONER OF BANKING

AMERICAN EXCHANGE BANK
Superior
M. 0 . B r an d vo ld , S p ecia l D e p u ty C om m ission er

C o n d ition as o f 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 it a l _______________________ $100,000.00
Loans and D iscoun ts:
3,262.99
T ota l Loans and D iscoun ts $118,292.47 Surplus and Undivided Profits
Other R eal E s t a t e ___________ 42,000.00 R. F. C. _____________________ 65,057.48
Investm ents --------------------------3,028.00
A ll .other r e s o u r c e s --------------5,000.00
T o t a l ________ ______________ $168,320.47

T o t a l _______________________ $168,320.47

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 t o D e c e m b e r 31, 1930
D is b u r s e m e n ts

C o lle c tio n s

499.86
L iqu idation o f A s s e t s ----------- $ 26,678.86 A dm in istration ----------------------$
7.00
3,151.07 Taxes, I n s u r a n c e -----------------Other C ollection s ___________
1,622.61
A djustm en t R. F. C. Loan —
905.67 Other Expenses -------------------R. F. C . ______________________
23 634.99
A djustm ent R. F'. C . ------------905.67
Com prom ise Losses ------------613.04
Suspended Credits --------------1,130.21
__
591.05
Cash on hand Dec. 31, 1936
In terest Paid to R. F. C . ----1,731.17
T o t a l _______________________ $ 30,735.60

T o t a l _______________________ $ 30,735.60

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 D E R 31, 1936
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s ----------- ! 91,613.61 C a p it a l________________________$100,000.00
3,624.80
4.850.00 Surplus and Undivided Profits
B ank ing H ouse and F. and F.
42,000.00 Other L ia bilities -----------------1,733.59
Other R eal E s t a t e ---------------3.028.00 B ills P ayable R. F. C . ______
42,328.16
Bonds and Other S ecu rities—
Cash on hand and due from
591.05
banks ______________________
5,603.89
A ll other r e s o u r c e s --------------Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$147,686.55

Total

$147,686.55

REPORT OF THE COMMISSIONER OF BANKING

211

TREMPEALEAU VALLEY STATE BANK
Taylor
E. W. Benson, S p ecia l D e p u ty C om m ission er
C o n d ition ns o f June 23, 1032
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real esta te— $ 51,833.14
Other __________ 81,286.82
T otal Loans and D iscoun ts $133,119.96
A ll oth er r e s o u r c e s __________
9,723.31

T o ta l

$142,843.27

C a p it a l------------------------------------$ 25,000.00
D eposits:
T i m e ___________$ 69,977.14
D e m a n d _______
32,694.35
T otal D eposits ____________ $102,671.49
B orrow ing's from other B anks 15,000.00
171.78
Other L ia b ilities ____________
T o ta l

$142,843.27

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, 1936
C o lle c tio n s

Liquidation o f A s s e t s ___
A ssessm ents on s t o c k ___
R e covery on bond ______
Other C ollection s ______
Cash on hand 6/23/32 __

D isb u r s e m e n ts

$ 56,718.58
14,664.72
4,400.00
6,455.15
853.47

L eg al -------------------- ---------------- $ 1,065.47
A dm in istration ______________
6,238.57
Taxes, I n s u r a n c e ____________
3,804.14
1,559.06
Other E xpenses -------------------B ills P ayable and In terest __ 15,293.45
P referred C la im s ____________
1,000.43
D ividends ------------------------------ 26,221 78
Offsets -----------------------------------5,158.36
Cash on hand Dec. 31, 1936 __
4,760.87
A djustm en ts and L o s s e s ____ 17,989.79

T ota l ----------------------------------- $ 83,091.92

T o t a l ------------------------------------$ 83,091.92

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. 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 52,972.85 C a p it a l------------------------------------$ 25,000.00
B ank ing H ouse and P. and P.
3,601.65 D eposits and C la im s ________
78,561.09
Other R eal E s t a t e ___________ 23,351.52 Other L ia b ilities ____________ 14,664.72
Cash on hand and due from
banks ______________________
4,760.87
A ll oth er r e s o u r c e s ___________ 33,538.92
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$118,225.81

Total

$118,225.81

212

REPORT OF THE COMMISSIONER OF BANKING

WARRENS BANK
Tomah
R. E.

S h e p h a r d , S p ecia l D e p u ty C om m ission er

C o n d ition a s o f S ep te m b e r 18, 1031

Liabilities

R e so u rc e s

C a p it a l_______________________ $ 25,000.00
Surplus and Undivided Profits
10,331.04
D eposits:
T i m e __________ $289,389.60
D e m a n d _______ 95,994.98
T otal Loans and D iscoun ts $389,237.19
Other R eal E s t a t e ----------------2,000.00
I n v e s t m e n t s ___________________ 18,892.02 T otal D eposits ____________ $385,384.58
A ll oth er resources __________ 22,045.48 B orrow ing's from other B anks 11,400.00
Other L ia b ilities -----------------59.07
Loans and D iscou n ts:
On real esta te_$151,121.69
Other __________ 238,115.50

T ota l

______________________ $432,174.69

T ota l

______________________ $432,174.69

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 t o D e c e m b e r 31, 1936
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s ------------$190,409.41
Assessm ents on s t o c k ______ 16,769.89
Other C o l l e c t i o n s ___________
35,933.18
Cash on hand date of closin g 22,856.58

T otal

$265,969.06

L eg a l ------------------------------------- $ 1,846.09
A dm in istration ---------------------- 15,159.52
7,681.70
Taxes, I n s u r a n c e -----------------1,571.23
Other E xpenses _____________
11,400.00
Bills P ayable ----------------------1,566.89
P referred Claim s ---------------D ividends ____________________ 199,417.92
26,394.48
Offsets _______________________
931.23
Cash on hand Dee. 31, 1936 __
Total

$265,969.06

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, 1936
R e so u rc e s

Loans and D is c o u n t s ________$102,150.16
B a n k in g H ouse and P. and P.
3,010.02
Other R eal E s t a t e ___________ 23,877.28
Bonds and Other S ecu rities__ 10,704.55
Cash on hand and due from
banks ---------------------------------931.23
D ividends Paid and Losses
In curred ___________________ 285,715.98
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$426,389.22

L ia b ilitie s

C a p it a l _______________________ $ 25,000.00
Surplus and Undivided Profits 10,000.00
D ividends P a i d ------------------------199,417.92
Balance Claim s -------------------- 163,502.56
Assessm ents Paid and Other
Special A c c o u n t s ___________ 28,468.74

T otal

$426,389.22

REPORT OF THE COMMISSIONER OF BANKING

213

BANK OF TOMAHAWK
Tomahawk
D e a n H . M a y e r , S p ecia l D e p u ty C om m ission er

C o n d ition as o f A p r il 22, 1933
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
Capital ---------------------------------- $ 30,000.00
T ota l Loans and D iscoun ts $157,869.28 Surplus and Undivided Profits
23,886 31
Other R eal E s t a t e ___________ 13,071.85 D eposits:
I n v e s t m e n t s __________________ 129,284.82
T i m e ---------------- $122,150.79
A ll other r e s o u r c e s __________
1,186.91
D e m a n d _______ 100,195.72
T otal D eposits ___________ $222,346.51
B orrow ing's from other Banks 24,702.07
Other L ia b ilit ie s _____________
477.97
T ota l

----------------------------------$301,412.86

T otal

----------------------------------$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 Closing: to D e c e m b e r 31, 1936
C o lle c tio n s

D is b u r s e m e n ts

Liquidation o f A s s e t s ________$169,352.61 L egal ------------------------------------- $
90.30
Assessm ents on s t o c k ______
21,259.87 A dm in istration ______________
8,492.19
Other C ollection s ___________ 93,384.98 Taxes, I n s u r a n c e ____________
5,362.68
Other E xpenses _____________
3,672.81
24,702.07
B ills P ayable _______________
P referred Claim s ___________
976.31
D ividends ------------------------------ 141,967.67
Offsets ------------------------------------ 18,684.75
Cash on hand Dec. 31, 1936 _ 14,946.03
A d ju s t m e n ts --------------------------- 65,102.65
T o t a l -------------------------------- ---$283,997.46

T o t a l ------------------------------------$283,997.46

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, 1936
R e so u r c e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 42,764.26 C a p it a l------------------------------------$ 30,000.00
B ank ing H ouse and F. and F.
8.540.00 Surplus and Undivided Profits
1,985.41
Other R eal E s t a t e ___________ 15.282.03 D eposits and C la im s ________
48,341.23
Bonds and Other S ecu rities__
8,894.76 Stock Assessm ents P a i d ____ 21,259.87
Cash on hand and due from
banks ______________________
14.946.03
A ll other resources _________
7,188.61
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

97,615.69

Total

97,615.69

214

REPORT OF THE COMMISSIONER OF BANKING

SECURITY STATE BANK
Turtle Lake
A rthur

J. K i n g , S p ecia l D e p u ty C om m ission er
C o n d ition a s 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
D eposits:
T i m e ___________$ 40,377.98
D e m a n d _______
9,315.42
T otal Loans and D iscoun ts $ 31,946.61
Other R ea l E s t a t e ----------------- 14,355.46
T ota l D eposits ____________ $ 49,693.40
Investm ents __________
7,492.76
A ll oth er r e s o u r c e s __________ 10,898.57
Loans and D iscou n ts:
On real esta te_$ 25,780.57
Other __________
6,166.04

.$ 64,693.40

T otal

.$ 64,693.40

T otal

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 t o D e c e m b e r 31, 1036
D is b u r s e m e n ts

C o lle c tio n s

344.04
L iqu idation o f A s s e t s ----------- $ 32,345.24 L eg al ________________________ $
1,791.07
A ssessm ents on s t o c k ---------- 11,700.00 A dm in istration ______________
Taxes, I n s u r a n c e -----------------1,024.63
Other C ollection s --------------2,125.17
1,187.21
3,250.93 Other E xpenses _____________
Cash 8/11/33 __________________
D ividends ____________________ 28,347.67
56.03
Offsets _______________________
Cash on hand Dec. 31, 1936 —
121.90
A d ju s t m e n ts --------------------------- 16,548.79
$ 49,421.34

T otal

.$ 49,421.34

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, 1936
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s _______ $ 7,371.91 C a p it a l_______________________ $ 12,000.00
3,000.00
Other R eal E s t a t e ----------------- 14,185.46 Surplus and Undivided Profits
D eposits and C la im s ________
22,630.24
Cash on hand and due from
banks ______________________
121.90 Other L ia b ilities ____________ 11,700.00
U ndivided Profits ----------------- 27,650.97
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

.$ 49,330.24

T otal

49,330.24

REPORT OF THE COMMISSIONER OF BANKING

215

VAN DYNE STATE BANK
Van Dyne
J. C. S t a d l e r , S p ecia l D e p u ty C om m ission er
C o n d ition as o f A p r il 2 , 1934
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
Other _________ $ 12,205.37

C a p it a l------------------------------------$ 15,000.00
Surplus and Undivided Profits
4,144.94
D eposits:
T otal Loans and D iscoun ts $ 12,205.37
T i m e ___________$ 68,397.44
I n v e s t m e n t s __________________ 35,931.90
16,010.71
D e m a n d _______
A ll oth er r e s o u r c e s __________ 55,415.82
T otal D eposits ____________ $ 84,408.15
T otal

---------------------------------- $103,553.09

T otal

----------------------------------$103,553.09

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, 1936
C o lle c tio n s

D is b u r s e m e n ts

Liqu idation o f A s s e t s _______ $ 75,238.26 L eg al ------------------------------------- $
988.11
A ssessm ents on s t o c k ______
11,842.14 A dm in istration ______________
1,441.14
769.66 Taxes, Insurance ___________
Other C ollection s ___________
150.53
46.96
P referred C la im s ____________
D ividends ____________________ 84,193.88
Offsets _______________________
811.06
Cash on hand Dec. 31, 1936 __
218.38
T o t a l ------------------------------------$ 87,850.06

T o t a l _______________________ $ 87,850.06

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, 1930
R e so u rc e s

Loans and D is c o u n t s _______ $
Bonds and Other S ecu rities
Cash on hand and due from
b a n k s ______________________
Undivided Profits ___________

L ia b ilitie s

2,778.60 C a p it a l _______________________ $ 15,000.00
6,975.00 D eposits and C la im s ________
214.38
218 38
5 242.40

T o t a l _______________________ $ 15,214.38


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T o t a l ----------------------------------- $ 15,214.38

216

REPORT OF THE COMMISSIONER OF BANKING

BANK OF VIROQUA
Viroqua
K. C. B a r n e y , S peaial D e p u ty C om m ission er
C o n d ition as o f D e c e m b e r 9, 1933
L ia b ilitie s

R e so u rc e s

Capital ______________________ $ 65,000.00
Surplus and Undivided Profits
31,774.03
D eposits:
D eferred ______ $572,757.73

Loans and D iscou n ts:
On real estate_$446,260.68
Other __________ 203,799.19
T otal Loans and D iscoun ts $650,059.87
I n v e s t m e n t s __________________ 75,125.74
A ll other r e s o u r c e s --------------- 72,023.00
T ota l

______________________ $797,208.61

T otal D eposits -------------------$572,757.73
B orrow in g s from oth er hanks 112,650.00
Other L ia bilities ------------------ 15,026.85
T otal

______________________ $797,208.61

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, 1936
C o lle c tio n s

L iquidation o f A s s e t s ---A ssessm ents on stock —
Other C ollection s --------Cash 12/9/33 -----------------E xpense R efun d -----------

D is b u r s e m e n ts

$533,764.67
29,369.14
51,501.94
25,146.35
940.33

$640,722.43

Total

L eg al ------------------------------------- $ 5,128.99
9,997.04
A dm in istration ---------------------Taxes, I n s u r a n c e ------ ------------ 14,657.08
14,219.94
Other E xpenses _____________
B ills P ayable ----------------------- 112,650.00
6,163.75
P referred Claim s ---------------D ividends ------------------------------ 446,530.63
7,020.20
Offsets _______________________
Cash on hand Dec. 31, 1936 — 24,354.80
$640,722.43

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, 1936
R e so u rc e s

L ia b ilitie s

L oan s and D is c o u n t s ----------- $ 87,296.52
Other R eal E s t a t e ___________ 48,240.00
Cash on hand and due from
banks ______________________
24,354.80
A ll oth er r e s o u r c e s --------------4,284.58
E xpense o f L iq u id a t io n ------ 63,519.56
Loss by C o m p r o m is e ------------- 100,811.76

C a p it a l_______________________ $ 65,000.00
Surplus and U ndivided Profits 30,714.87
D eposits and C la im s ------------- 153,360.47
Assessm ent on s t o c k ----------29,369.14
E arn ings o f L iq u id a t io n ---- 49,122.41
E xpense R e f u n d -------------------940.33

T o t a l _______________________ $328,507.22

T o t a l ______________ — ---------$328,507-22


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

REPORT OF THE COMMISSIONER OF BANKING

217

FARM ER’S BANK

Viroqua
K . C. B a r n e y , S p ecia l D e p u ty C om m ission er

C o n d ition as o f June 25, 1931
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real esta te__$188,217.00
Other _________ 130,988.39

Capital ---------------------------------- $ 50,000.00
Surplus and Undivided Profits
10,503.97
D eposits:
T i m e __________ $169,764.58
T otal Loans and D iscoun ts $319,205.39
D e m a n d _______ 97,370.71
Other R eal E s t a t e ___________ 27,056.38
I n v e s t m e n t s __________________
7,702.20
T otal D eposits ____________ $267,135.29
All oth er r e s o u r c e s __________ '38,288.57 B orrow in gs from other Banks 64,587.2S
Other L iabilities ____________
26.00
T ota l

----------------------------------$392,252.54

T ota l

______________________ $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, 1936
C o lle c tio n s

Liqu idation o f A s s e t s _______ $185,358.94
Assessm ents on s t o c k ______
19,441.76
Other C ollection s ___________ 36,107.86
5,843.28
Cash at c l o s i n g _____________

T o t a l ----------------------------------- $246,751.84

D isb u r s e m e n ts

Int. Pd. B orrow ed M on ey____ $
L eg a l ------------------------------------A dm inistration ______________
Taxes, I n s u r a n c e ____________
Other Expenses _____________
B ills P ayable -----------------------P referred C la im s ____________
D ividends ------------------------------Offsets -----------------------------------Cash on hand Dec. 31, 1936 __
Loss Charged O f f ___________

5,640.79
3,962.15
7,851.15
11,825.61
14,419.40
60,462.28
3,141.20
38,553.06
12,745.15
11,846.87
76,304.18

T o t a l ------------------------------------$246,751.84

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, 193G
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts ______ $ 87,365.23 C a p it a l------------------------------------$ 50,000 00
Other R eal E s t a t e ___________ 108,241.25 Surplus and Undivided Profits 10,000.00
D ividends P a i d ______________
38,553.06 D eposits and C la im s ________ 262,385.85
Cash on hand and due from
A ssessm ent P a i d ____________ 19,441.76
11,846.87 Cash V a r ia t io n ______________
hanks ______________________
22.99
A ll oth er r e s o u r c e s __________
7,244.50
Loss A cco u n t ________________
88,599.69
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$341,850.60

Total

$341,850.60

218

REPORT OF THE COMMISSIONER OF BANKING

BLUE MOUND STATE BANK

Wauwatosa
A lfred N e w l a n d e r , 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 2S, 1933
L ia b ilitie s

R e so u rc e s

Capital ______________________ $ 50,000.00
Surplus and Undivided Profits
19,021.89
D eposits:
T i m e ___________$ 27,534.32
28,027.21
D e m a n d _______
T otal Loans and D iscoun ts $ 91,679.61
Other R eal E s t a t e ----------------3,000.00
T otal D eposits ------------------ $ 55,561.53
I n v e s t m e n t s __________________ 43,208.30
A ll other r e s o u r c e s ___________ 15,620.79 B orrow in g s from other B anks 28,879.75
Other L iabilities -----------------45.53
Loans and D iscoun ts:
On real esta te__$ 6,000.00
Other __________ 85,679.61

T otal

______________________ $153,508.70

Total

______________________ $153,508.70

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 t o D e c e m b e r 31, 1936
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s ----------- $ 56,931.27 L eg al ________________________ $ 3,215.40
5,463.06
A ssessm ents on s t o c k ---------- 25,550.40 A dm in istration ---------------------84.61
Other C ollection s ----------------5,099.47 Taxes, I n s u r a n c e -----------------Other E xpenses _____________
1,856.20
B ills P ayable ------------------------ 28,879.75
P referred C la im s ____________
7,400.28
D ividends ____________________ 34,361.55
Offsets _______________________
2,807.34
Cash on hand Dec. 31, 1936 —
1,692.41
L o s s e s ________________________
1,820.54
87,581.14

T otal

87,581.14

T ota l

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, 1936
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s ----------- $ 63,685.08
B a n k in g H ouse and F.and F.
7,436.67
Other R eal E s t a t e ___________
3,000.00
Bonds and Other S ecu rities—
8,992.18
Cash on hand and due from
banks ______________________
1,692.41
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 84,806.34

C a p it a l_______________________ $ 50,000.00
2,820.04
Surplus and Undivided Profits
D eposits and C la im s ------------- 12,075.98
25,550.40
Other L ia bilities ------------------

Total

$ 84,806.34

REPORT OF THE COMMISSIONER OF BANKING

219

BURNHAM STREET STATE BANK
West Allis
A lfred N e w l a n d e r , Special D epu ty Commissioner

C o n d ition as o f J a n u a ry 27, 1933
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real esta te_$ 32,683.08
Other __________ 39,715.83

C a p it a l _______________________ $ 50,000.00
Surplus and Undivided Profits
3,861.05
D eposits:
T i m e ___________$ 22,924.82
T ota l Loans and D iscoun ts $ 72,398.91
D e m a n d _______ 100,765.89
Investm ents _________________ 121,579.17
A ll oth er r e s o u r c e s __________ 33,285.14
Total D eposits ____________ $123,690.71
B orrow in gs from oth er B anks 49,653.84
Other L ia b ilities ____________
57.62
T otal

----------------------------------$227,263.22

T ota l

---------------------------------- $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 Closing- t o D e c e m b e r 31, 1930
C o lle c tio n s

D is b u r s e m e n ts

L iqu idation o f A s s e t s ________$144,105.98 L egal ________________________ $ 2,791.15
Assessm ents on s t o c k ______
34,105.81 A dm in istration ______________
5.592.39
Other C ollection s ___________ 20,126.41 Taxes, I n s u r a n c e ____________
2, 202.11
Other E xpenses _____________
4,285.65
49,653.84
B ills P ayable _______________
P referred C la im s ____________
174.68
D ividends ____________________ 112,086.55
Offsets _______________________
6,400.97
Cash on hand Dec. 31, 1936 __
1.141.39
Losses ________________________
14,009.47
Total

$198,338.20

Total

$198,338.20

C O N D E N S E D S T A T E M E N T O E C O N D IT IO N D E C E M B E R 31, 193G
R e so u rc e s

Loans and D iscounts ______ $ 20,261.82
B ank ing H ouse and F. and F. 24,877.25
Bonds and Other S ecu rities__ 26,321.09
Cash on hand and due from
banks ______________________
1,141.39
A ll other r e s o u r c e s __________
36.75
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

72,638.30

L ia b ilitie s

Capital _______________________ $ 50,000.00
Surplus and Undivided Profits 17,624.67
D eposits and C la im s ________
6,124.77
Other L iabilities ____________ 34,138.20
T otal

72,638.30

220

REPORT OF THE COMMISSIONER OF BANKING

WESTBORO STATE BANK
Westboro

J ohn 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 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
D eposits:
T i m e ___________$ 26,785.33
D e m a n d _______
40,541.97
T ota l Loans and D iscoun ts $ 67,105.14
Other R eal E s t a t e ----------------4,898.67
T otal D eposits ____________ $ 67,327.30
I n v e s t m e n t s __________________
3,861.32
1,500.00
All other r e s o u r c e s --------------4,623.03 Borrow ing's from oth er Banks
Loans and D iscou n ts:
On real esta te__$ 23,205.60
Other __________ 43,899.54

T ota l

______________________ $ 80,488.16

T ota l

______________________ $ 80,488.16

R e c e ip ts an d D isb u r se m e n ts D a te o f C losing- to D e c e m b e r 31, 1936
D is b u r s e m e n ts

C o lle c tio n s

L iquidation o f A s s e t s ----------- $ 33,358.49
Assessm ents on s t o c k ---------9,805.00
Other C ollection s ___________
2,052.94
3,509.32
Cash date o f c l o s i n g ________

$ 48,725.75

Total

L egal ________________________ $ 4.900.98
A dm in istration ---------------------6,665.76
Taxes, Insurance ____________
3,398.39
975.25
Other Expenses _____________
B ills P a y a b le ________________
1,500.00
C om prom ise L o s s ____________ 10,540.80
D ividends ____________________ 13,117.14
Offsets _______________________
6,802.73
Cash on hand Dec. 31, 1936 —
824.70
48,725.75

T otal

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, 1936
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n ts ------------- $ 39,913 64
B ank ing H ouse and F. and F.
2,066.30
1,640.41
Other R eal E s t a t e ---------------Cash on hand and due from
b a n k s ______________________
824.70
Loss, E xpense and U. P.
D eficit _____________________
26,481.18
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 70,926.23

C a p it a l_______________________ $ 10,000.00
Surplus and Undivided Profits 13 51 8 80
D eposits.a n d C la im s ________
46,925 27
Other L ia b ilit ie s _____________
482.16

Total

$ 70,926.23

221

REPORT OF THE COMMISSIONER OF BANKING

BANK OF W ESTBY
Westby
K enneth

C. B a r n e y , S p ecia l D e p u ty C om m ission er

C o n d ition a s o f S ep te m b e r 24, 1932
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
C a p it a l------------------------------------$ 40,000.00
T ota l Loans and D iscoun ts $239,376.67 Surplus and Undivided Profits
14,118.61
Other R eal E s t a t e ___________ 53,900.66 D eposits:
I n v e s t m e n t s __________________ 102,721.25
Total D eposits ____________ $408,035.98
All oth er r e s o u r c e s __________ 33,702.31 B orrow in gs from other Banks
8,060.00
Shrinkage sale bonds, trust
a s s e t s ---------------------------------- 40,454.36
Total

----------------------------------$470,154.59

T otal

----------------------------------$470,154.59

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, 1936
C o lle c tio n s

Liqu idation o f A s s e t s ___
A ssessm ents on s t o c k __
Other C o lle c t io n s _______
Cash on hand 9/24/32 __
Bills Payable, R. F . C . __

Total

$135,959.73
25,469.90
19,216.00
19,056.41
26,320.22

$226,022.26

D isb u r s e m e n ts

L eg al ________________________
5,789.25
A dm in istration ______________
5.470.20
Taxes, Insurance ____________ 15,188.94
Other Expenses _____________
8,698.37
34,320.22
B ills P ayable _______________
P referred C la im s ____________
540.84
D ividends ____________________ 133,795.83
Offsets _______________________
8.347.21
Cash on hand Dec. 31, 1936 __ 13,871.40
Total

.$226,022.26

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, 1936
R e so u rc e s

Loans and D is c o u n t s _______ $ 37,425.06
B ank ing H ouse and F. and F. 14,423.90
Other R eal E s t a t e ___________ 108,006.94
1,605.00
Bonds and Other S ecu rities_
Cash on hand and due from
b a n k s ---------------------------------- 13,871.40
Doss A ccou n t _______________ 165,478.46
D ividends ____________________ 133,795.83
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$474,006.59

L ia b ilitie s

C a p it a l_______________________ $ 40,000.00
Surplus and Undivided Profits
2,879.98
D eposits and C la im s ________ 271,752.81
Stock A s s e s s m e n t ___________ 25,577.97
D ividends ____________________ 133,795.83

Total

$474,006.59

222

REPORT OF THE COMMISSIONER OF BANKING

W ESTBY STATE BANK

Westby
K e n n e t h C. B a r n e y , 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 2, 1932
L ia b ilitie s

R e so u rc e s

C a p it a l------------------------------------$ 50,000.00
Loans and D iscou n ts:
12,054.97
T ota l Loans and D iscoun ts $442,333.91 Surplus and U ndivided Profits
Other R eal E s t a t e ___________ 20,941.06 D eposits:
T ota l D e p o s i t s ____________ $443,373.38
I n v e s tm e n ts __________________ 36,745.33
A ll oth er r e s o u r c e s __________ 62,842.00 B orrow in g’s from oth er Banks 57,415.41
Other L ia b ilities -----------------18.54
T ota l

______________________ $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 s in g to D e c e m b e r 31, 1930
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s ________$157,461.53
A ssessm ents on s t o c k ______
4,254.74
Other C ollection s ___________ 30,168.56
Cash on hand 1 0 /2 /3 2 _______
16,327.25
Bills Payable, R. F. C . ______
33,693.38

Total

$241,905.46

L eg a l ________________________ $
A dm in istration ---------------------Taxes, Insurance ____________
Other Expenses _____________
B ills P ayable _______________
P referred C la im s -----------------D ividends ____________________
Offsets _________ :_____________
Cash .on hand Dec. 31, 1936 —

8,582.63
5,516.00
16,027.91
19,309.61
74,658.11
11,189.50
83,652.80
15.792.49
7,176.51

.$241,905.46

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, 1930
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 81,141.16
B a n k in g H ouse and F. and F. 35,000.00
Other R eal E s t a t e ___________ 125,166.00
Bonds and Other S ecu rities__
6,140.80
Cash on hand and due from
banks ______________________
7,176.51
O verdrafts ___________________
1,253.91
D ividends ____________________ 83,652.80
Loss A ccou n t ____________
150,677.52

C a p it a l_______________________ $ 50,000.00
D eposits and C la im s ________ 335,487.88
Bills Payable, R. F. C . ______
16,802.04
Stock Assessm ents --------------4,265.98
D ividends ____________________ 83,652.80

T o t a l _______________________ $490,208.70

T o t a l _______________________ $490,208.70


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

REPORT OF THE COMMISSIONER OF BANKING

223

ANCHOR STATE BANK

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, 1935
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real esta te__$ 46,442.00
Other --------------- 687,286.46

D e b e n t u r e s -----------------------------$ 20,000.00
C a p it a l------------------------------------ 40,000.00
Surplus and Undivided Profits
6,999.18
D eposits:
Total Loans and D iscoun ts $733,728.46
T i m e ----------------$479,928.71
I n v e s t m e n t s __________________ 28,301.40
D e m a n d ---------- 243,811.53
All oth er r e s o u r c e s ________ _ 128,709 56
T otal D eposits ___________ $723,740.24
B orrow in gs from F H A ______ 100,000.00
Total

----------------------------------$890,739.42

T otal

----------------------------------$890,739.42

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, 193«
C o lle c tio n s

D isb u r s e m e n ts

L iqu idation o f A s s e t s ________$557,330.27 B ankrup tcy _______________ — $ 27,627.75
A ssessm ents on s t o c k _________________ 24,024.01
A d ju s t m e n ts _______________
49,768.96
Sale o f Purn. and F i x . _____
279.75 Other R eal E s t a t e ________
2,400.00
1,364.21 Loss on Bond S a l e s ______
Other C ollection s ___________
225.02
E xpense:
L egal ____________________
3,240.71
A dm inistration _________
9,820.69
Taxes, I n s u r a n c e _______
412.50
Other E x p e n s e s ________
6,431.19
B ills P ayable _____________ — 102,147.48
P referred C la im s _________
424.41
R efun ds o f In terest ______
2,445.75
P ostal Savings ____________
627.01
Offsets _____________________
124,292.40
Cash on hand Dec. 31, 1936 __ 253,134.37
T o t a l ------------------------------------$582,998.24
T o t a l ------------------------------------$582,998.24

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. 193«
R e so u rc e s

Loans and D is c o u n t s ________$309,613.79
B a n k in g H ouse and F. and F. 19,720.25
Other R eal E s t a t e ___________
2,400.00
Bonds and Other S ecu rities__18,012.00
Cash on hand and due from
banks ---------------------------------- 253,134.37
All oth er r e s o u r c e s __________
99.39
Loss th rou gh B a n k r u p t c y __ 27,627.75
Loss th rou gh Court A d ju s t­
m ent ------------------------------------ 49,768.96
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$680,376.51

L ia b ilitie s

D e b e n t u r e s -----------------------------$ 20,000.00
C a p it a l------------------------------------ 40,000.00
Surplus and Undivided Profits
8,101.15
D eposits and Claim s ______ 604,513.65
Stock A s s e s s m e n t ___________ 24,024.01

T otal

$680,376.51

224

REPORT OF THE COMMISSIONER OF BANKING

PEOPLES BANK OF WRIGHTSTOWN
West Wrightstown
G ordon M. R eim m el , 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 1, 1934
L ia b ilitie s

R e so u rc e s

C a p it a l------------------------------------$ 20 , 000.00
6,581.85
Surplus and Undivided Profits
D eposits:
T i m e ___________$101,975.97
D e m a n d ----------- 20,340.21
T ota l Loans and D iscoun ts $115,508.91
Other R eal E s t a t e ___________
7,180.29
T ota l D eposits ------------------ $122,316.18
I n v e s t m e n t s __________________
4,711.75
A ll oth er r e s o u r c e s __________ 21,497.08
$148,898.03
.$148,898.03
Total
Total

Lioans and D iscoun ts:
On real esta te__$ 28,005.00
Other __________ 87,503.91

R e c e ip ts an d 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, 1936
D is b u r s e m e n ts

C o lle c tio n s

L iqu idation o f A s s e t s ----------- $
A ssessm ents on s t o c k ---------R e co v e ry on b o n d ___________
Other C ollection s ___________
Cash on hand 3/1/34 -------------

72,274.07
14,883.03
3.73
10,472.05
12,145.49

$109,778.37

Total

L eg al ________________________ $
572.40
A dm in istration ---------------------2,896.51
Taxes, Insurance -----------------1,012.99
Other E xpenses _____________
1,502.34
A d ju s t m e n ts __________________ 16,887.19
D ividends ____________________ 70,246.74
Offsets _______________________
5,159.92
Cash on hand Dec. 31, 1936 — 11,500.28
$109,778.37

Total

C O N D E N S E D S T A T E M E N T O P C O N D IT IO N D iS C E M H E R 31, 1936
L ia b ilitie s

Loans and D is c o u n t s ----------- $ 43,234.84 C a p i t a l ___________________________ $ 20,000.00
3,000.00
B a n k in g H ouse and F. and F.
9,351.59 S u r p l u s a n d U n d v :d e d P r o f i t s
Other R eal E s t a t e ____________ 11,480.29 D eposits and C la im s ------------- 46,939.88
Other L ia b ilities ------------------ 22,090.98
Cash on hand and due from
banks _______________________
11,530.64
A ll oth er r e s o u r c e s ----------------- 16,433.50
.$ 92,030.86
Total
$ 92,030.86
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

REPORT OF THE COMMISSIONER OF BANKING

225

WEYERHAEUSER 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 ns o f M arch 31, 1030
R e so u rc e s

L ia b ilitie s

Loans and D iscou n ts:
On real esta te__$ 27,420.28
Other __________ 43,060.53

C a p it a l_______________________ $ 10,000.00
Surplus and U ndivided Profits
1,172.13
D eposits:
T i m e ___________$ 55,178.53
T otal Loans and D iscounts $ 70,480.81
D e m a n d _______
44,915.06
Other R eal E s t a t e ___________ 20,855.85
I n v e s tm e n ts __________________ 10,500.98
T otal D eposits ____________ $100,093.59
All oth er r e s o u r c e s __________ 12,328.08 B orrow in gs from oth er B anks
2,900.00
Total

----------------------------------$114,165.72

T otal

______________________ $114,165.72

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, 1036
C o lle c tio n s

D is b u r s e m e n ts

609.93
Liqu idation o f A s s e t s _______ $ 40,356.69 L egal ________________________ $
A ssessm ents on s t o c k ______
2,300.00 A dm in istration ______________
4,029.17
1,398.47
403.16 Taxes, Insurance .____________
Other C o lle c t io n s ____________
Other E xpenses _____________
305.35
2,900 00
B ills P a y a b le ________________
P referred C la im s ____________
.97
D ividends ____________________ 23,503.32
5,966.28
Offsets _______________________
Cash on hand Dec. 31, 1936 __
4,346.36
Total

43,059.85

Total

43,059.85

C O N D E N S E D S T A T E M E N T O P C O N D IT IO N D E C E M B E R 31, 1636
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n ts ________ $ 44,169.46 C a p it a l_______________________ $ 10,000.00
Other R eal E s t a t e ____________ 15,541.61 Surplus and Undivided Profits
500.00
Bonds and Other S ecu rities__
3,317.18 D eposits and C la im s ________
69.126.72
Cash on hand and due from
Other L ia b ilities ____________
2,237.69
b a n k s ______________________
4,346.36
A ll other r e s o u r c e s ___________ 14,489.80
Total

15


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 81,864.41

Total

$ 81,864.41

226

REPORT OF THE COMMISSIONER OF BANKING

PEOPLES STATE BANK
Whitehall
E . W . B e 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 on dition as o f J u ly 7, 1932
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
C a p it a l_______________________ $ 30,000.00
6,800.00
T otal Loans and D iscoun ts $213,412.46 Surplus and U ndivided Profits
Other R eal E s t a t e ___________ 37,388.36 D ep osits:
T i m e __________ $144,757.23
Investm ents __________________
23,004.90
D e m a n d _______ 48,363.86
A ll oth er r e s o u r c e s __________ 11,778.96
Total D eposits ___________ $193,121.09
Borrow ing's from other Banks 53. 0 0 .on
Other L ia b ilit ie s _____________
2,663.59
Total

$285,584.68

.$285,584.68

T otal

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, 1930
C o lle c tio n s

Liquidation o f A s s e t s ________$122,187.20
A ssessm ents on s t o c k ______
17,994.26
Other C o lle c t io n s ____________ 18,674.13
Cash on hand 7 / 7 / 3 2 ________
8,514.46

D is b u r s e m e n ts

L eg al ________________________ $ 2,930.51
A dm in istration ______________
5,783.47
Taxes, I n s u r a n c e ______
3,672.27
2,468.20
Other E xpenses _____________
B ills P ayable and Redis. and
In terest ____________________ 56,144.56
P referred C la im s ______
2,720.35
D ividends ____________________ 45,975.97
O ffset**

9 9 8 4 14

Cash on hand Dec. 31, 1936 __
Adj. and L o s s e s _________ :___
T ota l

_____________________ $167,370.05

5!o58!56
33,232.02

T o t a l __________________ $167,370.05

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 82,398.39 C a p it a l_______________________ $ 30,000.00
fi.snn fn
B a n k in g H ouse and F. and F.
1,877.25 Surplus and Undivided Profits
Other R eal E s t a t e ___________ 65,765.00 D eposits and C la im s ________ 138,269.49
Bonds and Other S ecu rities__
3,342.23 Other L iabilities ____________ 17,996.26
Cash on hand and due from
banks ______________________
5,058.56
34,624.32
A ll o th er resources _________
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$193,065.75

Total

$193,065.75

REPORT OF THE COMMISSIONER OF BANKING

227

W H ITE LAKE STATE BANK

White Lake
D ean

H. M a y e r , S p ecia l D e p u ty C om m ission er
C o n d ition a s 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 D iscoun ts:
On real esta te__$ 6,735.50
Other --------------- 43,437.34

Capital ----------------------------------$ 15,000.00
Surplus and U ndivided Profits
3,868.85
D eposits:
T i m e ___________$ 34,636.12
Total Loans and D iscounts $ 50,172.84
D e m a n d _______
23,796.43
Other R eal E s t a t e ___________
3,000.00
I n v e s tm e n ts __________________ 51,431.80
Total D eposits _________ ._,.$ 58,432.55
All other r e s o u r c e s _________
3.028 6 Borrowing's from oth er Banks
32,482.45
Cash --------------------------------------2,151.15
Total

----------------------------------$109,783.85

T otal

---- ---------------------------- $109,783.85

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, 1036
C o lle c tio n s

D is b u r s e m e n ts

L iquidation o f A s s e t s _______ $ 87,958.45 L eg a l --------------------;---------------- $
391.91
A ssessm ents on s t o c k ______
11,048.50 A dm in istration ______________
4,787.94
Other C ollection s ___________ 14,831.69 Taxes, I n s u r a n c e ____________
686.64
2,151.15 Other Expenses _____________
Cash on hand 2 /7 /3 3 __________
5,672.53
Bills P ayable ------------------------ 32,482.45
P referred C la im s ____________
94.02
D ividends ------------------------------ 69,888.21
Offsets -----------------------------------1,316.35
Cash on hand Dec. 31, 1936 __
149.74
520.00
Bond R e-p u rch a sed ________
Total
$115,989.79
Total
$115,989.79

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, 1&36
R e so u rc e s

Loans and D is c o u n t s _______ $ 7,105.76
B ank ing H ouse and F. and F.
2,782.00
Bonds and Other S ecu rities_
1,120.00
Cash on hand and due from
banks ---------------------------------149.74
A ll other r e s o u r c e s __________
90.25
D ividends ____________________ 69,888.21
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$ 81,135.96

L ia b ilitie s

C a p it a l------------------------------------$ 15,000.00
Surplus and Undivided Profits
8,717.65
4,965.40
Stock Assessm ents _________
D ividends -----------------------------69,888.21

Total

$ 81,135.96

228

REPORT OF THE COMMISSIONER OF BANKING

BANK OF WILSON
Wilson

E. C. A jer, S p e cia l D e p u ty C om m ission er
C o n d ition as o f J u ly 20, 1934
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
C a p it a l________________ _______ $ 10,000.00
Total Loans and D iscounts_$ 29,685.84 Surplus and Undivided Profits
2,330.48
Other R eal E s t a t e ___________
6,200.00 D eposits:
I n v e s t m e n t s __________________ 28,432.50
T i m e ___________$ 48,219.84
A ll oth er r e s o u r c e s ___________ 12,479.77 D e m a n d _______
16,247.79
T otal D eposits ____________ $ 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, 1930
C o lle c tio n s

D is b u r s e m e n ts

L iqu idation o f A s s e t s _______ $ 48,959.21
A ssessm ents on s t o c k ______
4,118.35
Other C o l l e c t i o n s ---------------1,616.26
Cash date o f c lo s in g -________
5,879.77

A dm in istration ______________ $ 2,251.77
Taxes, I n s u r a n c e ____________
187.59
Other Expenses _____________
577.59
Com prom ises ________________
22,324.40
P referred C la im s ____________
57.49
D ividends ____________________ 31,944.23
Offsets _______________________
475.58
Cash on hand Dec. 31, 1936 __
2,754.94

T o t a l _______________________ $ 60,573.59

T o t a l _______________________ $ 60,573.59

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, 1930
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s ----------- $ 15,409.13 C a p it a l _______________________ $ 10,000.00
Banking' H ouse and F. and F.
6,250.00 D eposits and C la im s ________
32,013.80
Bonds and Other S ecu rities—
300.00
Cash on hand and due from
banks ______________________
2,754.94
P rofit and Loss ( D e b i t ) ___ 17,299.73
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

.$ 42,013.80

T otal

.$ 42,013.80

229

REPORT OF THE COMMISSIONER OF BANKING

FARMERS SECURITY BANK
Wilton
R. E. S hephard , S p ecia l D e p u ty C o v im ission er
C o n d ition as of O ctob er 16, 1931
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real esta te_$ 21,515.00
Other _________
49,626.74

C a p it a l_______________________ $ 15,000.00
Surplus and Undivided Profits
3,000.00
D eposits:
T i m e ___________$ 79,100.72
T ota l Loans and D iscoun ts $ 71,141.74
D e m a n d _______
29,575.38
Other R ea l E s t a t e ___________ 14,109.04
I n v e s t m e n t s __________________ 37,593.35
T ota l D eposits ____________ $108,676.10
A ll oth er r e s o u r c e s __________ 10,657.09 B orrow in gs from other Banks
8,000.00
1,174.88
T ota l

---------------------------------- $134,676.10

Total

______________________ $134,676.10

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, 1936
C o lle c tio n s

D is b u r s e m e n ts

Liquidation o f A s s e t s _______ $ 63,213.81
7,352.21
A ssessm ents on s t o c k ______
Other C ollection s ___________
5,089.41
Cash on hand date o f closin g
3,389.86

Total

79,045.29

660.84
L egal ------------------------------------- $
A dm inistration ______________
9,716.24
Taxes, Insurance ____________
1,170.83
Other Expenses _____________
177.95
Bills P a v a b le ________________
S.OO'VOO
D ividends ____________________ 52,370.79
Offsets _______________________
5,076.95
Cash on hand Dec. 31, 1936 __
1,871.69
Total

$ 79,045.29

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, 1936
R e so u rc e s

Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$130,143.08

L ia b ilitie s

_

C a p it a l________________________ $ 15,000.00
Surplus and Undivided Profits 3,000.00
D eposits and C la im s 52,370.79
Other L ia b ilities ____________ 52,420.08
A ssessm ent A c c o u n t
7,352.21
_

Loans and D is c o u n t s _______ $ 20,267.75
B ank ing H ouse and F. and F.
2,317.00
Other R eal E s t a t e ___________
222.85
Bonds and Other S e cu ritie s-6,943.35
Cash on hand and due from
banks ______________________
1,871.69
D ividends P a i d ______________
52,370.79
Undivided Profits D e f i c i t ___
46,149.65

Total

$130,143.08

230

REPORT OF THE COMMISSIONER OF BANKING

UNION BANK OF WINNECONNE
Winneconne
R. A. D ie s t l e r , 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 ly 2 2 , 1933
R e so u rc e s

L ia b ilitie s

Loans and D iscou n ts:
On real esta te_$ 50,580.50
Other __________ 56,571.14

C a p it a l_______________________ $ 25,000.00
Surplus and U ndivided Profits 30,162.22
D eposits:
T i m e ___________$239,457.67
T ota l Doans and D iscoun ts $107,151.64
D e m a n d _______ 79,621.17
Other R eal E s t a t e ___________ 17,400.00
T otal D eposits ____________ $319,078.84
I n v e s t m e n t s __________________ 227,066.45
A ll oth er r e s o u r c e s __________ 55,058.12 Other L ia b ilit ie s _____________ 32,435.15
T otal

$406,676.21

$406,676.21

T otal

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 3 i , 1936
C o lle c tio n s

D is b u r s e m e n ts

Liqu idation o f A s s e t s _______ $240,271.01 L eg al ________________________ $ 1,989.71
3.539.94
Assessm ents on s t o c k ______
22,165.58 A dm in istration ---------------------673.64
Other C ollection s ___________ 14,742.71 Taxes, I n s u r a n c e ____________
Other Expenses _____________
2 460.32
Claims and R efu n ds Paid by
278.67
Court Order ______________
D ividends ____________________ 260,930.39
5.396.94
Offsets _______________________
1,909.69
Cash on hand Dec. 31, 1936 __
Total

$277,179.30

T otal

$277,179.30

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, 1936
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 1,591.22 C a p it a l_______________________ $ 25,000.00
B a n k in g H ouse and F. and F. 10,228.50 D eposits and C la im s ________
46,715.04
Other R eal E s t a t e ___________
1,220.79 Other L ia b ilities ____________ 23,154.82
Bonds and Other S ecu rities_ 57,806.10
Cash on hand and due from
banks ______________________
1 909.69
Im pairm ent o f C a p i t a l _____ 22,113.56
T o t a l _______________________$ 94,869.86


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T o t a l _______________________ $ 94,869.86

231

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 ecia l D e p u ty C om m ission er

C ondition as o f J u ly 8, 1932
R e so u rc e s

L ia b ilitie s

Loans and D iscoun ts:
On real estate__$ 10,300.00
Other __________ 54,863.28

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
T otal Loans and D iscoun ts $ 65,163.28
D e m a n d _______
38,854.13
Other R eal E s t a t e _- _______ _
2,200.00
I n v e s tm e n ts __________________ 57,081.15
T otal D eposits ____________ $107,238.64
A ll oth er r e s o u r c e s ___________
9,508.53Borrow ing's from oth er Banks
9,750.00
T otal

$133,952.96

T otal

$133,952.96

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, 1930
C o lle c tio n s

D is b u r s e m e n ts

L iquidation o f A s s e t s ____ ^_~$ 54,254.54 L egal ------------------------------------- $
182.85
Assessm ents on s t o c k ______
9,605.50 A dm in istration ______________
5,622.57
Other C o lle c t io n s ____________
8,881.96 Taxes, I n s u r a n c e ____________
734.48
1,929.02
Other Expenses _____________
Bills P ayable _______________
9,828.11
P referred C la im s ____________
817.58
D ividends ____________________ 45,464.69
Offsets _______________________
6,652.80
Cash on hand Dec. 31, 1936 _
1,509.90
Total

72,742.00

Total

72,742.00

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, 193«
R e so u rc e s

Loans and D iscoun ts _______
B ank ing H ouse and F. and F.
Other R eal E s t a t e ___________
Bonds and Other S ecu rities_
Cash on hand and due from
banks _____________________ _
A ll other resources __________
Surplus— DeTTcit _____________
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L ia b ilitie s

11,443.89 C a p it a l_______________________ $ 10,000.00
4,498.65 D eposits and C la im s ________
55,629.57
5,992.60
1,492.50
1,509.90
2,037.99
38,654.04
65,629.57

Total

$ 65,629.57

232

REPORT OF THE COMMISSIONER OF BANKING

VVYOCENA STATE BANK
Wyocena
F. W. M o e c k e r , S p ecia l D e p u ty C om m ission er
C o n d ition as o f J a n u a ry 30, 1033
L ia b ilitie s

R e so u rc e 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
T otal Loans and D iscoun ts $ 97,119.23
5,725.00
Other R eal E s t a t e ___________
T otal D e p o s it s _____________ $118,761.33
Investm ents __________________ 64,660.75
8,426.95 B orrow ing's from other Banks 38,820.83
A ll other resources __________
Other L ia b ilit ie s _____________
46.31
Loans and D iscoun ts:
On real esta te_$ 46,362.00
Other _________
50,757.23

$175,931.93

Total

$175,931.93

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, 193«
D is b u r s e m e n ts

C o lle c tio n s

570.10
L iq u id a tio n o f A s s e t s _______ $ 63,029.81 L egal ________________________ $
3,380.29
A ssessm ents on s t o c k ______
7,740.31 A dm in istration ______________
1 680.33
R e co v e ry on b o n d __,_________ 25,654.56 Taxes, I n s u r a n c e ____________
3,407.37
Other C o lle c t io n s _____________
14,566.70 Other Expenses _____________
45,314.52
6,49 3.69 B ills P ayable _______________
R. F. C. L o a n _______________
672.71
P referred C la im s ____________
D ividends -----------------------------53,848.96
_______________________
1,566.74
Offsets
Cash on hand Dec. 31, 1936 —
3,214.83
In terest Paid _______________
3,829.22
$117,485.07

Total

$117,485.07

T otal

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, 1 9 3 «
L ia b ilitie s

R e so u rc e s

Loans and D is c o u n t s ----------- ! 26,394.64 C a p it a l_______________________ $
5,167.50 Surplus and Undivided Profits
B a n k in g H ouse and F. and F.
7,125.00 D eposits and C la im s ---- -------Other R eal E s t a t e ---------------5,417.73 Other L ia b ilities -----------------Bonds and Other S ecu rities—
Cash on hand and due from
D ividends Paid _____________
3,214.83
banks ---------------------------------Adj. A cct. (L osses) ------------- 42,854.46
D ividends Paid ______________ 53,848.96
T otal


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$144,023.12

T otal

12 , 000.00

12,251.83
65,912.33
10.00

53,848.96

$144,023.12

REPORT OF THE COMMISSIONER OF BANKING

233

YUBA STATE BANK
Yuba
J o h n H u g g in s , S p e cia l D e p u ty C om m ission er

C o n d ition as of O ctob er 29, 1932
R e so u rc e s

L ia b ilitie s

Loans and D iscou n ts:
On real esta te— ? 22,975.00
Other --------------- 50,435.42

C a p it a l------------------------------------? 15,000.00
D eposits:
T i m e ---------------- $ 71,011.39
D e m a n d _______
27,287.44

T ota l Loans and D iscoun ts ? 73,410.42
Other R eal E s t a t e _____________
4.000.00 T otal D eposits ____________ $ 98,298.83
I n v e s t m e n t s __________________ 47,328.22 B orrow in gs from oth er Banks 24,637.40
All oth er r e s o u r c e s __________ 10,686.46 Other L i a b i l i t i e s ____________
26.85
Surplus ------------------------------------2,537.98
T otal

----------------------------------?137,963.08

T ota l

----------------------------------$137,963.08

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, 193C
C o lle c tio n s

D is b u r s e m e n ts

Liqu idation ,of A s s e t s ________$101,315.33 L eg al ------------------------------------- $
529.45
Assessm ents on s t o c k ______
11,797.51 A dm in istration ______________
5,425.24
Other C ollection s ___________
1,826.13 Taxes, I n s u r a n c e ____ _______
1,813.23
Other Expenses _____________
1,343.09
24,637.40
B ills P ayable ----------------------P referred C la im s ____________
23.13
D ividends ------------------------------- 52,875.68
Offsets ------------------ -----------------2,122.73
Cash on hand Dec. 31, 1936 __
6,166.79
Surplus and In terest P a i d ___ 20,002.23
T o t a l ----------------------------------- $114,938.97

T o t a l --------- -------------- '_______ $114,938.97

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, 1930
R e so u rc e s

L ia b ilitie s

Loans and D is c o u n t s _______ $ 24,477.10 C a p it a l------------------------------------$ 15,000.00
B a n k in g H ouse and P. and P.
9,697.15 D eposits and C la im s ________
43,308.80
Other R eal E s t a t e ___________
3,000.00 Stock A ssessm ents _________
11,797.51
Bonds and Other S ecu rities_
755.75
Cash on hand and due from
banks ______________________
6,166.79
A ll other resources __________
10.50
S u r p l u s ______________________ 25,999.02
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

70,106.31

Total

70,106.31

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Federal Reserve Bank of St. Louis

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O F F IC IA L S

OF

BANKS

Banks by Location and N am e, Alphabetically Arranged,


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

with Officers and Directors

236

REPORT OF THE COMMISSIONER OF BANKING

ABLEM AN
F a r m e r « S ta te B a n k

W m . Stoeckm ann, Pres.
John W . H indes, V ice Pres.
H. J. Chard, Cash.
Reuben Black, A. Cash.
D irectors:
W m . Stoeckm ann
John W . H indes
E rn st D ettm ann
W . C. H oltz
W . J. D w ars
John Redm an
A rthu r A. M eyer
ADAM S
A d a m s C o u n ty S ta te B a n k

R. B. W ood, Pres.
O E. W h itcom b, V ice Pres
C. W . W ood, Cash.
D ire cto rs :
E dw . K oerth
B. J. M cBride
Geo. P o liv k a
O. E. W h itcom b
R. B. W ood
ADEL, Li
A d e ll S ta te B a n k

M. C. P leken pol, Pres.
G. W. Bates, V ice Pres.
W a lter J. Lau, Cash.
D irectors:
G. W . Bates
W a lter J. Lau
P. W. Tem pas
W m . Z uen gler
M. C. P lek en pol
ALBANY
B a n k o f A lb a n y

S. J. M organ, Pres.
Wm. F. Hein. Vice Pres.
P. H. F lood , V ice Pres.
E. F. G raves, Cash.
Jessie Peckham , A. Cash.
G. R. Phelps, A. Cash.
D ire cto rs :
S. J. M organ
W m . F. Hein
P. H. F lood
E. F. G raves
G. R. Phelps
ALGOMA
C o m m u n ity S ta te B a n k

E. J. K erscher, Pres.
F ran k Jansky, V ice Pres.
H. N. Nelson, Cash.
X. H. Naze, A. Cash.
Leo W . Buege, A. Cash.
D ire cto rs :
E. W . A n d e re g g
F ran k Jansky
Em il K nospe
F ran k L oh rey
E. J. K ersch er
John G. M aedke
W . W . W itcp a lek
ALLENTON
A lle n to n S ta te B a n k

Chas. F. Steinberg, Pres.
G. W en inger, V ice Pres.
J. P. W en in ger, Cash.
R ay R. Umbs, A. Cash.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D ire cto rs :
Chas. F. Steinberg
G. W en in ger
J. P. W en in ger
Joseph Umbs
John J. H ess
A rthu r O. Puls
Mich L. W eis
ALMA
T h e A m e r ic a n B a n k

Chas. A. K irchner, Pres.
V alentine Thoeny, V. Pres.
W. F. K irchner, Cash.
J. R. Lindrud, A. Cash.
F. G. L au fen bui'ger, Teller
D ire cto rs :
Chas. A. K irch n er
V alen tin e T hoeny
W. F. K irch n er
P. E. Ibach
O. E. F lorin
M. L. F u gin a
Jam es A. K irch ner
ALMOND
T h e P o r ta g e C o u n ty B a n k

0. A. C row ell, Pres.
E. G. C row ell, V ice Pres.
Geo. G. C row ell, Cash.
D irectors:
O. A. Crow ell
E. G. Crow ell
C. R. C row ell
G. K enn eth Crow ell
Geo. G. Crow ell
AM ERY
Union S ta te B a n k

J. G. Burman, Pres.
V. H. Christensen, V. Pres.
O. M. E rickson , Cash.
C. M. Olson, A. Cash.
D irectors:
J. G. Burman
V. H. Christensen
E. M ekkelson
E. H. P orter
Dr. C. A. Nelson
AM H ERST
T h e In te r n a tio n a l B a n k o f
A m h erst

E. N. W old, Pres.
C. H. Cashin, V ice Pres.
Harry B. Pom eroy, Cash
D irectors:
P. E. B oyn ton
L eslie B orgen
Otto Dusel
C. F. H aertel
C. H. Cashin
E. N. W old
H arry B. P om eroy
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, V ice Pres.
O. A. Nelson, Cash.
M yron K jer, A. Cash.
D irectors:
M. K. H anson
H. N. Nelson
Chas. E. Smith
M. P. A xtell
O. A. Nelson

A N T IG O
T h e F id e lit y S a v in g s B a n k

B. H. D iercks, Pres.
F. C. K estly, V ice Pres.
M. K. Lam ont, Cash. & Trust
Officer
A. L. M azanec, A. Cash.
R. H. James, A ss’ t Trust
Officer
D irectors:
F. L. B erner
C. N. M elgaard
M. F. Oik
R. C. W illott
APPLETON
A p p le to n S ta te B a n k

B. J. Zuehlke, Pres.
A. H. K ru gm eier, V. Pres.
M. A. Schuh, Cash.
Tim Sauer, Jr., A. Cash.
E. F. Sem row , A. Cash.
L. F. Schreiter, A. Cash. &
Trust Officer
D irectors:
B. J. Z uehlke
A. H. K ru gm eier
M. A. Schuh
A. F. Zuehlke
H erm an W ie ck e rt
Seym our Gmeiner
Thos. F lan agan
APPLETON
F ir s t N a tio n a l B a n k o f
A p p le to n

R. S. P ow ell, Pres.
M. D. Smiley, Vice Pres.
R obt. W. Ebben, Cash.
P. J. Goerl, A ss’t Cash.
Geo. W . Barry, A. Cash.
D ire cto rs :
Chas. S. Boyd
G. E, Buchanan
C. B. Clark
F. J. H arw ood
C. L. M arston
R. S. P ow ell
F. J. Sensenbrenner
M. D. Smiley
W m . C. W in g
APPLETON
F ir s t T r u s t
A p p le to n

Com pany

of

R. S. P ow ell, Pres.
M. D. Smiley, V ice Pres.
W. A. Strassburger, Sec’y
G. W . Barry, A ss’ t Sec’y
W. A. Strassburger, Treas.
M. E. Rahn, A ss’ t Treas.
D irectors:
G. E. Buchanan
F. J. H arw ood
C. L. M arston
R. S. P ow ell
F. J. Sensenbrenner
M. D. Sm iley
Wm. C. W in g
APPLETON
O u ta g a m ie C o u n ty B a n k

Fred Stoffel, Pres.
John M organ, V. Pres.
Joseph Dohr, Cash.
O. A. H ansen, A. Cash.

REPORT OF THE COMMISSIONER OF BANKING
D ire cto rs :
Fred Stoffel
John M organ
Joseph D ohr
O. A. H ansen
Nie. D ohr
F. V. H auch
Earl W ichm ann
A R C A D IA
S tate B a n k o f A rc a d ia

Em il Maurer, Pres.
W. E. E nglish, V ice Pres.
H. F. Reuschle, Cash.
it. E. Pahl, A. Cash.
D ire cto rs :
E. E. B arlow
W. E. E n glish
A. C. F oster
John C. G aveney
Em il Maurer
H. F. R euschle
Carl Schultz
ARENA
A r e n a S ta te B a n k

T. G. Cretney, Pres.
Wm. G. Orht. V ice Pres.
H. E. W oit, Cash.
M erton H arrop, A. Cash.
D irectors:
S. W . D aw son
T. G. Cretney
Wm. G. Orht
Mrs. Lizzie H am ilton
Mrs. M innie Allen
ARGYLE
S ta te B a n k o f A r g y le

C. G. Uren, Pres.
Jesse J. Uren, V ice Pres.
A. P. Larson, Cash.
Olaf I. Paulson, A. Cash.
Geo. M. Aim, A. Cash.
D irectors:
Peter P. Aim
J. R. A rn ot
A. P. Larson
Jesse J. Uren
C. G. Uren
A R L IN G T O N
A r lin g to n S ta te B a n k

John C. Y oung, Pres.
O. G. K leinert, V ice Pres.
C. B. Smith, Cash.
N ellie Mae Smith, A. Cash.
D irectors:
S. C. Nelson
F ran k Lyon
W. W . Schultz
Casper Burke
A lb ert Lerch
A S H IP P U N
T lie B a n k o f A sh ip p u n

John Maasch, Pres.
C. F. F ranke, V ice Pres.
Geo. C opithorn, V ice Pres.
Benjam in Gauerke, Cash.
Agnes Gauerke, A. Cash.
D irectors:
John Maasch
C. F. Franke


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D irectors— con tin ued
Geo. Copithorn
A. E. P a g en k op f
A. G. Brendem uehl
W a lter A. Lange
Benjam in G auerke

AUGUSTA
P e o p les S tate B a n k

ASH LAN D
N o rth e rn S ta te B a n k

H enry Schw ert, Pres.
W. E. Nyhus, V ice Pres.
R oy H. K lein, Cash.
N. A. W arren, A. Cash.
G. O. Sam uelson, A. Cash.
C. F. Peterson, A. Cash.
E. F. Huun, A. Cash.
H. J. Axness, A. Cash.
D irectors:
H enry Schw ert
C. A. Poundstone
W m . N yback
G. A rthu r Johnson
M. L. E n singer
W . G. F ord yce
Frank H eiderer, Jr.
Phil Stoltz
N. E. Ledin
C. W. L ock h a rt
H. J. Axness
ASH LAND
T h e U n ion

N a tio n a l

237

Bank

F elix Penn, Pres.
W. J. H odgkin s, V ice Pres.
G. A. Carlson, V ice Pres,
and Cash.
W illis S. W elker, A. Cash.
D ire cto rs :
Thom as Bardon
G. C. B ielen berg
G. A. Carlson
W. J. H odgkin s
B. H. M etternich
F elix Penn
W. J. T u cker
D. F. W elk er
ATHENS
T h e B a n k o f A th e n s

Wm. L. Erbach, Pres.
John Braun, V ice Pres.
Geo. T. Fulm er, Cash.
M. L. Schriefer, A. Cash.
D irectors:
Wm. L. Erbach
John Braun
R einhold Paersch
Geo. T. Fulm er
H. B. Esselm an
AUBURNDALE
A u b u rn d a le S ta te B a n k

J. C. K ieffer, Sr., Pres.
M. Brandi, V ice Pres.
R. J. Bestul, Cash.
E lla M. G reunke, A. Cash.
D irectors:
J. C. K ieffer, Sr.
Joe Baierl
M. Brandi
W. F. Berdan
H arry E n geldin ger
A. J. F riedrich

Chas. Livesey, Pres.
F. H. R andall, V ice Pres.
L. H. R ock w ell, Cash.
Susie G. Thw ing, A. Cash
D irectors:
Fred Barka
R. W. Bow en
Chas. Livesey
J. C. M iller
F. H. R andall
R. B. W ashburn
B A L D Y V IN
F ir s t N a tio n a l B a n k

Geo. B. H eebink, Pres.
R. R. Rudesill, V ice Pres.
A. A. W illin k , Cash.
C. K essenich, A. Cash.
D irectors:
Geo. B. H eebink
R. R. R u desill
Frank Guiser
W m . E. H aw ley
A. 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, V ice Pres.
Joe H uenink, V ice Pres.
Carl O. Dahl, Cash.
D irectors:
L. Snoeyenbos
A. J. Nyman
Joe H uenink
Carl O. Dahl
Joseph Y oerg
Joseph Te H ennepe
P eter H ansen
BANCROFT
B a n c r o ft S ta te B a n k

L lew ellyn J. W alker, Pres.
Jesse L. Judd, V ice Pres
Jesse L. Judd, Cash.
H arry A. M anley, A. Cash.
D ire cto rs :
L lew ellyn J. W a lk er
Jesse L Judd
H arry A. M anley
E tta M organ
C larence R. G eorge
BANGOR
F a r m e r s S ta te B a n k

E. V. M engel, Pres.
H u go Hussa, V ice Pres.
Adolph Toepel, Cash.
John C. Bedessem , A. Cash
D ire cto rs :
E. V. M engel
H ugo Hussa
John Griffith
H arrison P fa ff
M. J. H um phrey
BANGOR
F ir s t N a tio n a l B a n k

L. J. R oberts, Pres.
A ndrew W o lf, V ice Pres.
E. J. W iles, Cash.
E. A. M erlo, A. Cash.
I A. R. Aichele, A. Cash.

238

REPORT OF THE COMMISSIONER OF BANKING

D ire cto rs:
L. J. R oberts
A ndrew W o lf
G eorge W o lf
L. A. Smith
W . H. W . P age
L. A. G ilflllan
P. Schroeder
E. A. M erlo
E. J. VViles
BARABOO
B a n k o f B a ra b o o

T. F. R isley, V ice Pres.
H. J. Steeps, Cash.
Geo. A. W eber, A. Cash.
W m . V. O. French, A. Cash.
D ire cto rs :
E. P. M cF etrid ge
W. E. B arin ger
Norman Quale
T. F. R isley
Frank M orley
H. J. Steeps
BARABOO
T h e F ir s t N a tio n a l B a n k
o f B a ra b o o

J. M. Sullivan, Pres.
R o llo M orley, V ice Pres.
(v a ca n t), Cash.
H. G. Gasser, A. Cash.
D irectors:
Chris D yrud
J. M. Sullivan
R o llo M orley
Otto Tim m e
D. H. E ck h ardt
BARSEVELD
B a rn e v e ld S tate B a n k

Jerom e J. Jones, Pres.
John B. W atk ins, V. Pres.
Anton S. A rneson, Cash.
Joseph Dauber, A. Cash.
D ire cto rs :
Jerom e J. Jones
John B. W a tk in s
Dave B aum gartner
Mrs. A m elia Jones
E dg a r Arneson
BARRON
B a n k o f B a rro n

F. D. Van Sickle, Pres.
J. E. B ow en, V ice Pres.
Jalm er Viitanen, Cash.
D. B. Thom pson, A. Cash.
D ire cto rs :
Geo. R. Borum
F. L. Van Sickle
•T. E. Bow en
J. W . Grant
M agne E. Solie
A. P. Stebbins
UARRON
F ir s t N a tio n a l B a n k o f
B a rro n

Chas. A. T aylor, Pres.
S. E. Severson, V ice Pres.
K. E. Thom pson, Cash.
Otis Skogstad, A. Cash.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D ire cto rs :
Chas. A. T aylor
T. J. Thom pson
S. E. Severson
Ed. A. E rickson
C. C. P ost

D irectors— continued
C. J. Schoenfeld
Chas. W addell
H. C. R eck n er

BARRON
The N orm anna
Bank

A. B. Chandler, Pres.
W. D. M cK in stry, V. Pres
G eorge H ickey, V ice Pres.
H. R. Vetter, Cash.
K. S. Fisher, A. Cash.
A. L. Bedker, A. Cash.
D irectors:
A. B. Chandler
W. D. M cK in stry
G eorge H ick ey
H. F. Schemm el
J. C. W o lle n b e rg
H. R. V etter

S a v in g s

F. S. W oodard, Pres.
M. N. R ockm an, V. Pres.
J. C. R ockm an, Cash.
M. B. Johnson, A. Cash.
D irectors :
P. A. Moe
F. S. W oodard
J. C. R ockm an
M. N. R ockm an
M. B. Johnson
B A Y C IT Y
B ay C ity S ta te B a n k

Paul H orten bach, Pres.
G. A. Ulvin, V ice Pres.
A. E. Feldm an, Cash.
L. B. D isney, A. Cash.
D irectors:
Paul H orten bach
G. A. Ulvin
A. E. Feldm an
Paul H ortenbach, Jr.
E. O. Feldm an
B A Y F IE L D
F ir s t N a tio n a l B a n k

R oy H. O kerstrom , Pres.
J. R. Sayles, V ice Pres.
J. R. Sayles, Cash.
A gn es M. Nelson, A. Cash.
D ire cto rs :
R oy H. O kerstrom
J. R. Sayles
John F. H auser
J. P. O’Malley
H. J. W achsm uth
B E A V E R DAM
T h e A m e r ic a n N a tio n a l
Bank

A. G. M iller, Pres.
W. C. D ickin son, V. Pres.
A. J. Zander, V ice Pres.
E. H. Jacobs, Cash.
C. B. H elbing, A. Cash.
D ire cto rs :
A. J. Zander
W. C. D ickinson
Chas. Yaum an
A. G. M iller
H. R. H uth
G. B. Swan
E. H. Jacobs
B E A V E R DAM
F a r m e r s S ta te B a n k

D. A. Briese, Pres.
C. J. Schoenfeld, V ice Pres
Wm. H. H all, Cash.
H. C. R echner, A. Cash.
D ire cto rs :
L. A. Briese
E. H. G utgesell
Wm. H. H all
J. F. Malone

B E A V E R DAM
O ld N a tio n a l B a n k

B E L L E V IL L E
B e lle v ille S ta te B a n k

C. B. Minch, Pres.
P. A. Genin, V ice Pres.
Pred W. Brunner, Cash.
M yrtie B. H arm on, A. Cash
D ire cto rs :
C. B. Minch
P. A. Genin
Fred W ild
M. B ecker
Fred W. Brunner
Joe E. Z w eifel
E. J. H enry
H arley Rasm ussen
H enry R oss
B E L L E V IL L E
C itize n s S ta te B a n k

J. T. Lyle, Pres.
D. J. H olm , V ice Pres.
O. B. Ace, Vice Pies.
C. O. Scott, Cash.
L. J. D oyle, A. Cash.
D irectors:
J. T. Lyle
D. J. H olm
O. B. Ace
Joseph B reu ling
O. A. Scott
G. A. Lehnherr
T. A. G affney
Fred Schrepfer
R. F. Clark
B E L O IT
B eloit S a v in g s B a n k

J. C. Teague, Pres.
G. A. D ow d, V ice Pres.
R o lf Rosm an, Vice Pres.
E. M. Van Lone, Treas.
C. M. W oolley, A ss’ t Treas.
P. L. F rederick, Sec’y
T rustees:
E. G. Smith
J. C. T eagu e
E. M. Van Lone
P. L. F rederick
G. A. Dow d
R o lf Rosm an
Geo. B. In gersoll
M. A. Bredesen
W m . Blazer
F. E. Callanc
W . L. Leishm an
R. W . S ch ellen ger

REPORT OF THE COMMISSIONER OF BANKING
B E L O IT
T h e B e lo it S ta te B a n k

B IG F A L L S
B ig F a lls S ta te B a n k

H. A. von Oven, Pres.
R. K. R o ck w e ll, 1st V. P.
A. R. Dahms, V ice Pres.
W. J. Baker, V ice Pres.
C. S. Renier, Cash.
G. P. Franz, A. Cash.
J. H. H ayes, A. Cash.
A. B. Adam s, A. Cash.
E. A. Leffingw ell, Trust Off.
D irectors :
W. J. B aker
A. R. Dahms
H. C. Freem an
R. E. Freem an
F. A. Meech
E. H. Neese
R. K. R o ck w e ll
H. A. von Oven

H enry Behrent, Pres.
E. E. Carr, V ice Pres.
L. C. Arndt, Cash.
D irectors:
A. G. A rndt
H enry Behrent
E. E. Carr
L. C. Arndt
M erton Lom bard

B E L O IT
T h e Second N a tio n a l B a n k

B IR C H W O O D
C itize n s S ta te B a n k

Jos. W. D eK eyser, Pres.
E. S. W ells, V ice Pres.
M. R. N ew berg, Cash.
D ire cto rs :
Jos. W . D eK eyser
E. S. W ells
H enry K napm iller
N. F. Catman

B. P. Eldred, Pres.
L. K. Munn, V ice Prps.
B IR N A M W O O D
B. P. Eldred, Jr., V ice Pres. T h e B a n k o f B irn a m w o o d
R u ssell V. Mason, Cash.
A. M. D uescher, Pres.
D irectors:
Wm. B eversdorf, V ice Pres
B. P. Eldred
John Perrar, Cash.
B. P. Eldred, Jr.
J. B. Rundham m er, A. Cash
L. W. M iller
D irectors:
G. F. Moran
Jos. Rundham m er
L. K. Munn
John K ru ll
E. H. Julius
BENTON
H. C. B oettch er
B e n to n S ta te B a n k
A. M. D uescher
J. A. W in sk ell, Pres.
Wm. B eversdorf
R. E. W ilk inson, V ice Pres.
John Perrar
J. G. Beck, V ice Pres.
R. A. Coulthard, V ice Pres.
BLACK CREEK
B ert K etter, Cash.
P. J. Latham, A. Cash.
B a n k o f B la c k C reek
D irectors:
B. J. Zuehlke, Pres.
J. A. W in sk ell
P
eter R yser, V ice Pres.
J. G. B eck
B. A. R ideout, Cash.
R. E. W ilk in son
A
dela Peters, A. Cash.
P. J. Latham
D irectors:
T. W . W ilk in son
B. J. Zuehlke
J. W . G rotkin
Peter R yser
R. A. Coulthard
M. A. Schuh
Chas. H agen
B E R L IN
W. A. Strassburger
T h e B e r lin S ta te B a n k
C. J. B u rdick
Cl T. Harding', Pres.
C. M. B oettge, V ice Pres.
BLACK EARTH
G eorge R. Peck, Cash.
H arry J. K ujaw a, A. Cash.
T h e B la c k E a r th S ta te
D ire cto rs :
Bank
C. M. B oettge
A. B. Thorsrud, Pres.
E. G. Bunce
H ow ard Sebert, V. Pres.
C. T. H ardin g
Olaf H agene, Cash.
F. C. F risbie
K enneth W . V oss, A. Cash.
D irectors:
B E R L IN
A. B. Thorsrud
F ir s t N a tio n a l B a n k
H ow ard Sebert
W. N. C raw ford, Pres.
Jacob W . Ripp
Leonard Moe
J. M. O’Connell, V ice Pres.
J. H. P ick ert, Cash.
Fred H. Turk
R. G. Bannin, A. Cash.
James McCue
B. J. Stupfel
A. R. Schw antes, A. Cash.
D ire cto rs :
W. N. C raw ford
B L A C K R IV E R F A LL S
J. H. P ick ert
J a c k so n C o u n ty B a n k
J. M. O’Connell
John H. Mills, Pres.
F . W. W righ t
H. H. R ich ards— Exec., V.
J. M. O’Connell
Pres.
W. A. Grota
R a y E. Gile, V ice Pres.
S. B. Stedman


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Federal Reserve Bank of St. Louis

239

D uane H offm an, V. Pres.
W arren H. Jones, Cash.
A. W. H elw ig, A. Cash.
L. McDirm id, A. Cash.
J. R. B olger, A. Cash.
Em ma B revig, A. Cash
Philip B. Mills, A. Cash.
Lulu Thom pson, A. Cash.
Julia W righ t, A. Cash
A rthu r E rickson , A. Cash.
D irectors:
E. S. Jedney
B. L. Van Gorden
John H. Mills
H. H. R ichards
R ay E. Gile
Duane H offm an
W arren H. Jones
A. W . H elw ig
L. M cD irm id
B L A IR
U nion B a n k o f B la ir

i’ hom as M attison, Pres.
Chas. J. Gibson, V ice Pres.
Wm. H. M elby, Cash.
R obert G ilfillan, A. Cash.
D irectors:
Thom as M attison
Chas. J. Gibson
V icto r A. Thom pson
H. E. Stum pf
A. J. Sather
F ran cis H erreid
Jos. J. Ouradnik
II L A N C H A R D V I L L E
F irs t N a tio n a l B a n k

E. Gabriel, Pres.
H arold Ostrum, V ice Pres
H arold Ostrum, Cash.
Curtis R. In gw ell, A. Cash.
D irectors:
E. Gabriel
Lester Martin
Perry Jackson
Ed Benson
H arold Ostrum
BLOOM ER
P eop les S ta te B a n k

J. A. M orrison, Pres.
G. A. M arquardt, V ice Pres.
M. M. B arlow , Cash.
E rn est Vaux, A. Cash.
Christine H assem er,
A. Cash.
E lsa Dallm ann, A. Cash.
D ire cto rs :
J. A. M orrison
G. A. M arquardt
M. M. B arlow
W. E. B erg
O. E. H anson
E. L. H enderson
J. W . W ern er
B L O O M IN G T O N
T h e B lo o m in g to n S tate
Bank

Oscar K napp, Pres.
H en ry E. W alz, V ice Pres.
V ialis F. W alz, Cash.
E. H. Sprague, A. Cash.
E ugene Sawyer, A. Cash.

240

REPORT OF THE COMMISSIONER OF BANKING

D irectors:
Oscar Knapp
H enry E. W alz
A. J. H am er
Ora H atch
F. B. P orter
B L O O M IN G T O N
T h e W o o d h o u s e «ft B a r tle y
Bank

L. P. B artley, Pres.
J. P. Martin, V ice Pres.
F. L. Bartley, Cash.
J. T. Garner, A. Cash.
D irectors:
L. P. B artley
J. P. Martin
F. L. B artley
J. T. G arner
M. W . B artley
B L U E R IV E R
B lu e R iv e r S ta te B a n k

J. R o b ’ t Coumbe, Pres.
A. C. G odager, V. Pres.
J. R o b ’ t Coumbe, Jr., Cash.
A. C. G odager, A. Cash.
D ire cto rs:
J. R o b ’t Coum be
W . R. Coumbe
W. H. D ooley
A. C. G odager
J. R o b ’ t Coumbe, Jr.
BONDUEL
B o nduel S ta te B a n k

Fred Freim uth, Pres.
R. J. W old t, V ice Pres.
C. A. Teschke, Cash.
H arold W . Sohr, A. Cash.
D ire cto rs :
Fred Freim uth
R. J. W o ld t
C. A. T eschke
R ob ert Specht
A lw in W . R a llies
John W estph al
W a lte r C. B leick
BO SCO BEL
B o sco b e l S ta te B a n k

C. W. M enkhausen, Pres.
C. S. H aym an, V ice Pres.
John P. Ruka, Cash.
R.obt. J. M orrison, Jr.,
A Oil

H. L. Blake, A. Cash.
D ire cto rs :
C. W. M enkhausen
C. S. H aym an
John P. R uka
R obt. J. M orrison, Jr.
L E. B arnett
Maud B arn ett K ron sh a ge
B O Y C E V IL L B
B a n k o f B o y c e v llle

W. R. Zabel, Pres.
Wm. Schlough, V ice Pres.
Ohes. H Zabel, Cash.
L illian Retz, A. Cash.
W. M. Bisson, A. Cash.


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Federal Reserve Bank of St. Louis

D irectors:
W. R. Zabel
W m Schlough
Chas. H. Zabel
C. W . H ayes
W . M. Bisson
BOYD
T h e S ta te B a n k o f B o yd

G eorge Lotz, Pres.
W. A. K lein er, V ice Pres.
Jno. W. Meyer, Cash.
Carl L u ebstorf, A. Cash.
D ire cto rs :
G eorge Lotz
W. A. K lein er
Jno. W. M eyer
A. G. K eehn
Ed. J. H ofk es
L. M. E slin ger
Jake E slin ger
BRANDON
T h e F o s te r B a n k

J. W. Foster, Pres.
E. F. F oster, V ice Pres.
F. R. Schw andt, Cash.
G. W. Schw andt, A. Cash.
D irectors:
J. W . F oster
E. F. F oster
G. F. M engel
F. R. Schw andt
G. W . Schw andt
B R IL L
B r ill S ta te B a n k

B. J. H erricks, Pres.
Ralph H ugdahi, V ice Pres.
B. C. Leonard, Cash.
D irectors:
B. J. H erricks
Ralph H ugdahi
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 ty B a n k

H enry B ecker, Pres.
Chas. Nass, V ice Pres.
A rthu r K. Schroeder, Cash.
Jos. W . Binsfeld, A. Cash.
D ire cto rs :
H enry B ecker
A rthu r K. Schroeder
Chas. Nass
A lvin C. W olfm ey er
Otto P iep en bu rg
H enry C. H orn
Otto Stichert
B R IL L IO N
F a r m e r s and M e rc h a n ts
Bank

A. F. Paustian, Pres.
H u go M uehlbach, V. Pres.
George E. Dawson, Cash.
Clemens P. W olf, A. Cash.
D ire cto rs :
A. F. Paustian
H ugo Muehlbach
G eorge E. D aw son
A. B. H aese
K osm as M iller
W illiam A bel
Chas. F. Pritzl

BRODHEAD
B a n k o f B rod h ead

C. J. Coldren, Pres.
B. J. Gardner, V ice Pres.
D. L. Am erpohl, V ice Pres.
G. E. B rou ghton, Cash.
H. V. H artm an, A. Cash.
D irectors:
C. J. Coldren
B. J. Gardner
D. L. Am erpohl
G. E. B roughton
S. J. Stair
M. J. Condon
R o y K. Stephens
Leo Scheberle
BRODHEAD
G reen C o u n ty B a n k

B. H. R od erick , Pres.
J. B. Pierce, V ice Pres.
Edw. H. Cole, Cash.
G. N. Swartz, A. Cash.
D ire cto rs :
Chas. Zuercher, Sr.
E. J. M itchell
W. L. Stephenson
J. C. Timm
Chas. W . F leek
B. H. R od erick
J. B. Pierce
Edw. H. Cole
H. C. B rou ghton
BROOKLYN
B r o o k ly n S tate B a n k

C. P. M organ, Pres.
F. H. Anderson. V ice Pres.
P. A. W ackm an. Cash
A lice L. P eterson, A. Cash.
D irectors:
C. P. M organ
F. H. Anderson
P. A. W ackm an
E. E. R oberts
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, Pros.
C. F. K uen, V ice Pres.
Otto Ruedebusch, Cash.
D. F. M cCarty, A. Cash.
D irectors:
C. F. K uen
E. F. Lerch
W. E. Bloohm
R. G. R aym ond
P. H. M cCarty
Hy. R osenkran z
Otto R uedebusch
BRUCE
D a ir y la n d S ta te B a n k

W. F. D ietlein, Pres.
L. W . Ham, V ice Pres.
W . C. Bender, Cash.
E velyn R. A lvey, A. Cash.
H. B. Cox, A. Cash.
C. T. Brastad, A. Cash.
D ire cto rs :
W . F. D ietlein
C. M. Sanford
H. B. Cox

REPORT OF THE COMMISSIONER OF BANKING
D irectors— con tin ued
O. J. F a lg e
A. A. Veness
L. W . Ham
W. J. Peterson
B U R L IN G T O N
B a n k o f B u r lin g to n

C. R o y McCanna, Pres.
S. M. R einardy, V ice Pres.
G. A. Uebele, Vice Pres.
Fred W. New, Cash.
H. J. H eiderm ann, A. Cash.
D irectors:
C. R oy McCanna
S. M. R ein ardy
G. A. Uebele
John L. M cCarthy
E. C. Johnson
James H. M urphy
Geo. A. H arper
B U R L IN G T O N
T h e B u r lin g to n
Bank

D ire cto rs :
John D ietrich
L ouis Goetz
Fred Goetz
Ben D ietrich
A. J. D ietzler
H. P. Landry
Paul Lotz
C A M B R IA
C a m b ria S ta te B a n k

H. F. Schemmel, Pres.
O. I. Jones, Exec. V. Pres.
A. G. H opkins, V ice Pres.
D. C. R oberts, Cash.
A. L. Jones, A. Cash.
D ire cto rs :
H. F. Schemmel
O. I. Jones
A. G. H opkins
D. C. R ob erts
J. E. R oberts
F. F. Scharf
Wm. E. W illiam s

N a tio n a l

G eorge W. W aller, Pres.
Wm. G. Rasch, V ice Pres.
Louis Rhodes, V ice Pres.
H. A. Moussa, Cash.
J. A. M angold, A. Cash.
D irectors:
W m . G. Rasch
Louis R hodes
H. J. R unkel
Joseph Toelle
G eorge W. W a lle r
W m . S. W ilson
H. A. M oussa
B U R L IN G T O N
M e in h a rd t B a n k

A. M einhardt, Pres.
S. L. Dudley, V ice Pres.
Eda M einhardt, Cash.
R ay D. Spiegelhoff, A. Cash
D irectors:
A. M einhardt
S. L. D udley
Eda M einhardt
R ay D. Spiegelhoff
A n toin ette M. Fu lton
BURNETT
B u rn e tt S ta te B a n k

A. F. Hammann, Pres.
F. G. Schmidt, V ice Pres.
H. H. H ilgen d orf, Cash.
H. G. Dehne, A. Cash.
D ire cto rs :
A. F. Ham mann
F. G. Schmidt
H. H. H ilg e n d o rf
F. E. Moul
R. O. W o o ck
W . A. Puls
Mrs. F. B. Schw antz
CADOTT
C itize n s S ta te B a n k

John D ietrich, Pres.
Louis Goetz, V ice Pres.
Fred Goetz, Cash.
E arl Liddell, A. Cash.
W . J. Griffith, A. Cash.

16

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Federal Reserve Bank of St. Louis

C A M B R ID G E
B a n k o f C a m b rid g e

A. R. Am undson. Pres.
John W . Porter, V ice Pres.
A. E. M eister, Cash.
D ire cto rs :
A. R. Am undson,
John W. P orter
A. E. M eister
Chris L egreid
K. K. Am undson
C A M B R ID G E
T h e In te r n a tio n a l B a n k o f
C a m b rid g e

Earl H. Munson. Pres.
H arry C. May, V ice Pres.
Oscar H. Severson, Cash.
D ire cto rs :
Earl H. Munson
H arry C. May
J. B. Turnbull
Em il F eb ock
O scar H. Severson
CAM ERON
B a n k o f C a m eron

C. H. Museus, Pres.
E. C. Schultz, V ice Pres.
G. B. Peterson, Cash.
S. H. K rantz, A. Cash
D ire cto rs :
C. H. Museus
E. C. Schultz
Guy Speirs
M. M. Sargent
W . W . Pieper
CAM PBELLSPORT
T h e F ir s t S ta te B a n k

F rank J. Bauer, Pres.
F ran k L. Scheid, V ice Pres.
F ran k P. Thiel, Cash.
S. J. Schlaefer, A. Cash.
D irectors:
F rank J. Bauer
F ran k L. Scheid
Simon Straohot.a
John J. Terlinden
O. F. Guenther
Leo J. Uelmen
C. P. Schill

241

CANTON
F a r m e r s S ta te B a n k

W. G. M alcolm , Pres.
R. E. Malone, V ice Pres.
Guy Stearns, Cash.
M argaret H ow land, A. Cash.
D ire cto rs :
W . G. M alcolm
R. E. Malone
Verne Marsh
H enry Manke
R uth M alcolm
A. O. W hite
Guy Stearns
C A R O L IN E
C a ro lin e S ta te B a n k

F. R. Buss, Pres.
C. O. Felts, V ice Pres.
W. A. H erzfeldt, Cash.
D irectors:
F. R. Buss
C. O. Felts
E. W . F ra ilin g
R. A. Jantz
W. A. H erzfeldt
CASCADE
S ta te B a n k o f C a sca d e

L. A. M oll, Pres.
F ran k Pietsch, V ice Pres.
Ralph K ohlm an, Cash.
E lfrida Timm, A. Cash.
D irectors:
L. A. M oll
F ran k Pietsch
Ralph K ohlm an
Fred B erg
John Meilahn
L eo B. Gill
CASCO
B a n k o f C a sco

H. J. Noel, Pres.
Thos. Drury. V ice Pres.
Lee W . Metzner. Cnsh
A n th ony J. Dhuey, A. Cash.
D ire cto rs :
D. J. Burke
Thos. D rury
H. A. D vorak
John G igot
H enry J. Noel
Lee W . M etzner
CASH TON
B a n k o f C a sh ton

Wm. P. Marx, Pres.
P. E. M itby, V ice Pres.
H. E. Strand, Cash.
P. J. H egge, A. Cash.
D irectors:
Fred D egenhardt
L. A. H ansen
O. R. Lee
W m . P. M arx
P. E. M itby
Jacob Seitz
L. O. Thorson
C A SS V I L L E
B a d g e r S ta te B a n k

K. L.
F. C.
H. C.
Noah

K lein pell, Pres.
Mink, V ice Pres.
Schweppe, Cash.
Brinkm ann, A. Cash.

242

REPORT OF THE COMMISSIONER OF BANKING

D irectors:
K. L. K lein pell
F. C. Mink
Fred Clauer
F. E. B lack bou rn
Louis K lein
Chris Breuer
A. T. Finney
CATO
T h e F a r m e r s S ta te B a n k

Jos. H. Brennan, Pres.
A. H. H uinker, V. Pres.
E dw ard J. K irch, Cash.
D irectors:
Jos. H. Brennan
A. H. H uinker
E dw ard J. K irch
John A. Pritzl
Jos. R eitm eyer
CAZENOVIA
S tate B a n k o f C a zen o via

John W alsh, Pres.
E. A. Lee, Vice Pres.
E. L. Collins, Cash.
B. M. K redl, A. Cash.
O. P. Olson, A. Cash.
D ire cto rs :
John W alsh
E. A. Lee
P. N. Bauer
F ran k W alsh
E. L. Collins
C E C IL
T h e S ta te B a n k o f Cecil

Herman Bocher, Pres.
E. C. Peterm an, V ice Pres.
O. H. Zahn, Cash.
D ire cto rs :
H erm an B och er
E. C. Peterm an
E m il Schmidt
H en ry E n gel
J. L. Rollm ann
P. J. W in ter
O. H. Zahn
C E D A R B IIR G
C e d a rb u rg S ta te B a n k

Théo. F. W itten b erg, Pres.
E. H. Roth, V ice Pres.
M. P. B ecker, V ice Pres.
P. J. W irth, Cash.
D irectors:
Theo. F. W itten b erg
E. H. R oth
P. J. W irth
John Blank
O. J. H urth
W . H. W iesler
John F. Nieman
C 0N T U R IA
S ta te B a n k o f C e n tn ria

W . T. Doar, Pres.
R. A. Peabody, V ice Pres.
O scar W. P eterson, Cash.
Joseph L. R ogers, A. Cash.
D ire cto rs :
W. T. D oar
R. A. P eabody
O scar W. Peterson
John Peterson
Cl. P. P eterson


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Federal Reserve Bank of St. Louis

CH ASEBURG
C h a se b u rg S ta te B a n k

C H IP P E W A F A L L S
N o r th w e ste r n S ta te B a n k

W m . H. Rem er, Pres.
H erm an Schroeder, V. P.
Chas. H. Spalding, Cash.
Sam Johnson. A. Cash.
A. O. Dummer, A. Cash.
D irectors:
W m . H. Rem er
H erm an Schroeder
R ob ert Lam prich

Otto C. D ettloff, Pres.
Clarence E. Rinehard, V. P.
A. W. L an gill, Cash.
R. P. Bartz, A. Cash.
R. B. H anson, A. Cash.
D irectors:
Otto C. D ettloff
Clarence E. Rinehard
A. W . L an gill
H. V. B artlett
N. A. Anderson
O. F. T rueblood
John F. K elly
C. E. Stiles
John Zecherle

otto

S chock

Chas. H. Spalding
C H IL T O N
The C o m m e rc ia l B a n k

R. C. H ugo, Pres.
A. C. K in gston , V ice Pres
John N. Jaeckels. Cash.
I. E. Sontag, A. Cash.
D irectors :
R. C. H ugo
A. C. K in gston
Geo. J. B erger
.Tos. S ch m idlkofer
Bdw . B onk
A. J. P feffer
John N. L an dgraf

A. N. Damon, Pres.
Otto M esenbring, V ice Pres.
N. C. Eklund, Cash.
D ire cto rs :
A lice Dam on
W. G. Paulson
W a lter G low e
A. N. Damon
Otto M esenbring

C H IL T O N
S tate B a n k o f C h ilto n

CLEAR LA K E
B a n k o f C lea r L a k e

L. P. F ox, Pres.
A. B. Connell, V ice Pres.
G. G. B loom er, Cash.
D irectors:
L. P. F ox
A. B. Connell
J. J. Grimm, Jr.
E m il H. Schm idt
C ornelius Leahy

A. N. Nelson, Pres.
G. A. Sandberg, V ice Pres.
A. E. Reed, V ice Pres.
O. E. Linderson, Cash.
E. G. Hallen, A. Cash.
D irectors:
A. N. Nelson
G. A. Sandberg
A. E. Reed
O. E. Linderson
W . T. D oar
H. M. Traiser

C H IP P E W A F A L L S
F ir s t N a tio n a l B a n k o f
C h ip p e w a F a lls

Orrin H. Larrabee, Pres.
Chas. H. Liehe, V ice Pres.
G. O. Thorpe, Cash.
L. J. Larson, A. Cash.
Norm an Deuel, A. Cash.
D irectors:
Chas. H ennem an
Orrin H. L arrabee
Chas. H. Liehe
A r t h u r A M cLeod
J. J. Phalen
G. O. T horpe
A lexander W iley
C H IP P E W A F A L L S
L u m b e rm e n ’s N a tio n a l
Bank

W. T. Sullivan, Pres.
F. G. Martin, V ice Pres.
F. G. Martin, Cash.
T. W. Jennings, A. Cash.
V. H. Johnson, A. Cash
D ire cto rs :
C. A. M andelert
F. G. Martin
J. D. M cRae
J. B. P iotrow sk i
W. T. Sullivan

CLAYTON
C itize n s S ta te B a n k

CLEVELAND
C lev e la n d S ta te B a n k

John L orfeld. Pres.
Jos. Stein, V ice Pres.
C. E. W itte, Cash.
H. J. L orfeld, A. Cash.
D irectors:
John L orfeld
Jos. Stein
W m . K am m ann
Oscar Schm idt
Bruno Zill
C. F. H eckm ann
Charles L orfeld
C L IN T O N
C itize n s S ta te B a n k

E dw ard Hahn, Pres.
Jesse D eLong, V ice Pres.
A. A. W agn er, Cash.
M. C. Broaden, A. Cash.
Fran ces Conley, A. Cash.
D irectors:
E dw ard Hahn
Jesse D eL on g
A. V. Peters
L. A. Shattuclc
A. J. Jensen
Chas. A. Blaess
I G eorge H. G raves

REPORT OF THE COMMISSIONER OF BANKING
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, V ice Pres.
W. T. Luedke, Cash.
C. J. Laux, A. Cash.
D irectors:
C. W. Binder
D. J. Flanagan
A lfre d H offm an
R. H. Schmidt
R udolph Schm iedeke
H attie M. Schroeder
A lb ert V ollb rech t
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, V ice Pres.
H. A. Rindt, V ice Pres.
Max Stieg, Cash.
W . H. Shultz, A. Cash.
John Buehren, A. Cash.
E dg a r Voelz, A. Cash.
D ire cto rs :
Chas. Bohn
J. A. Perkins
H. A. R indt
R ich ard Schoepke
Geo. J. L o n g
H enry K n itt
W. J. K ru e ge r
CLYMAN
F a r m e r s S ta te B a n k

H. J. Stueber, Pres.
Chas. W eber, V ice Pres.
W. H. K uenzi, Cash.
S. M. K uenzi, A. Cash.
D irectors:
H. J. Stueber
Chas. W eb er
W. H. Kuenzi
S. M. K uenzi
F. K la tt
CO BB
Cobb S tate B a n k

O. K nudson, Pres.
H. C. Nagel, V ice Pres.
A. F. K ram er, Cash.
D ire cto rs :
O. K nudson
H. C. Nagel
A. F. K ram er
Phil N ovak
Fred N ovak
C. W. Schuelke
COCHRANE
F a r m e r s «£ M e rc h a n ts
Bank

John Meili, Pres.
H u go Stein, V ice Pres.
A. W. H ofer, Cash.
R. A. G uettinger, A. Cash
John R. Meili, A. Cash.
D irectors:
H. O. Stein
A. W. H o fe r
A. E. G uettinger
John Meili
D ella G ilberg


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Federal Reserve Bank of St. Louis

COLBY
C o lb y S ta te B a n k

K. Andrew s, Pres.
J. F. Steinw and, V ice Pres
R. G. Salter, Cash.
M. J. Tennis, A. Cash.
D ire cto rs :
K. Andrew s
J. F. Steinwand
Paul A. W aech
H. H. C hristofferson
R. G. Salter
COLBY
S e c u rity S ta te B a n k

A. M. Steinwand, Pres.
Ed. Brehm, Sr., V ice Pres.
A rthu r R. Hem m y, Cash.
H erbert Steinwand, A. Cash.
D irectors:
A M. Steinwand
Ed. Brehm, Sr.
Paul F irnstah l
E. A. F leischauer
G eorge J. Ley
E dw in Zillm ann
L ouis F. From e
A rthu r R. Hemmy
COLEM AN
C o lem a n S ta te B a n k

Chas. A. W underlich , Pres.
F. R ose, M. D., V ice Pres.
E. F. Pelkey, Cash.
E. B. Thibodeau, A. Cash
D irectors:
Chas. A. W u nderlich
F. Rose
E. F. P elk ey
E. B. Thibodeau
P. B u rschin ger
COLFAX
P eop les S tate B a n k

G. J. Johnson, Pres.
W. E. Van Brunt, V ice Pres.
C. L. Christensen, Cash.
Leon Dunbar, A. Cash.
D ire cto rs :
G. J. Johnson
W. E. Van Brunt
C. L. Christensen
Sam I< Iverson
J. S. K lund
G eorge De Laitsch
C O L L IN S
C o llin s S ta te B a n k

L. T. V oigt, Pres.
A u gu st Born, V ice Pres.
A. G. W en dorf, Cash.
Ella Born, A. Cash.
D ire cto rs :
L. T. V oig t
A u gu st Born
H enry Sehmahl
H. A. Schulz
J. A. H eck er
H. A. Olm
Elm er T. V oig t
COLOM A
C olom a S ta te B a n k

H. F. Bartz. Pres.
A. J. Uher, V ice Pres.
Wm. W ichner, V ice Pres.
I Alan A. Gibbs, Cash.

243

D ire cto rs :
H. F. Bartz
A. J. Uher
W m . W ichn er
Alan A. Gibbs
D. H. K oplein
COLOM A
T h e P e o p le ’s B a n k

D arw in F ollett, Pres.
S. C. Runnels, V ice Pres.
R oy D rew, Cash.
W. B. R oblier, A. Cash.
D ire cto rs :
Vilas F ollett
D arw in F ollett
S. C. Runnels
R oy D rew
W . B. R ob lier

F a rm e rs & M e rc h a n ts
U n ion B a n k

W. L. Fritz, Pres.
F. A. Stare, V ice Pres.
A. H. P roctor, V ice Pres.
T. B. Thomas, Cash.
L. E. Fritz, A. Cash.
D irectors:
W. L. F ritz
F. A. Stare
A. H. P roctor
L aw ren ce H olsten
Wm. Cullen
R alph Pratt
T. B. Thom as
COLUM BUS
T h e F ir s t N a tio n a l B a n k

F. A. Chadbourn, Pres.
Wm. Mair, V ice Pres.
F. G. H oltz, V ice Pres.
C. A. M iller, Cash.
H. J. K och, A. Cash.
D ire cto rs :
O. J. A lbrech t
F. A. Chadbourn
R. C. Chadbourn
F. G. H oltz
Wm. Mair
C. A. M iller
COON V A L L E Y
W e s t b y -C o o n V a lle y S tate
Bunk

T. J. M oilien, Pres.
F ran k Schaper, V ice Pres.
I. N. K nutson, V ice Pres.
I. N. K nutson, Cash.
C. O. V eldey, A. Cash.
D ire cto rs :
T. J. M oilien
K. T. B in devig
F rank Schaper
A. G. C hapiew sky
I. N. K nutson
COTTAGE GROVE
C o tta g e G ro ve S ta te B a n k

John Schultz, Pres.
C. H. Struckm eyer, V. Pres.
F ran k Pyburn, Cash.

244

REPORT OF THE COMMISSIONER OF BANKING

D irectors:
John Schultz
C. H. Struckm eyer
P ran k Pyburn
L ester G alvin
Geo. T. M itchell
M. E. B rin khoff
I. J. W itte
C U A N D O fi
C ran don N a tio n a l B a n k

A. C. Luthey, Pres.
F. H. H im es, V ice Pres.
P. M. Smith, Cash.
A lthea Thom pson, A. Cash.
D irectors:
A. C. Luthey
P. H. H im es
A. W . Schm utzer
P. M. Smith
G. M. Luthey
CR O SS P L A IN S
S tate B a n k o f C ross P la in *

D irectors— continued
A. J. Quinn
Peter K nutson
C. H. Jacobson
R o y F. Curnow
W . E. E lleson
C U R T IS S
C u rtiss S ta te B a n k

H. H. C hristofferson, Pres.
F. W. Laabs, V ice Pres.
A. M. E rickson , Cash.
D ire cto rs :
H. H. C hristofferson
F. W . Laabs
F ran k K raut
John M iller
Theo. Thom pson
R. G. Salter
A. M. E rickson
DALE
F a r m e r s & M e rc h a n ts B a n k

A. F. Zuehlke, Pres.
H enry M. Zander, Pres.
Fred K aufm an, V ice Pres.
Frank J. Saeman, V ice Pres. E. P. Sherburne, Cash.
M onroe L. Tubbs, Cash.
E. W. K uether, A. Cash.
John A. Baer, A. Cash.
N. O. H elterhoff, A. Cash.
D irectors:
M. E. Olson, A. Cash.
H enry M. Zander
D irectors:
F ran k J. Saeman
A. F. Z uehlke
E n gelb ert Boehnen
Fred K aufm an
A m brose V. B ronner
M. A. Schuh
M onroe L. Tubbs
J. H. Leppla
I. E. Bauer
A. H. K ru gm eier
C U B A C IT Y
B. J. Zuehlke
C u ba C ity S ta te B a n k
E. W . B reyer
W.
H. T ow n e
W. H. Thom as, Pres.
J. M. Y ankee
L. W . P orter, V ice Pres.
G. T. Calvert, V ice Pres.
W . G. W im m er, Cash.
B ertha H eitkam p, A. Cash D A L L A S
B a n k o f D a lla s
Ed Schmieder, A. Cash.
D irectors:
Axel Jorstad, Pres.
W . H. Thom as
A lb ert B orgen, V ice Pres.
L. W . P orter
Gust W in trone, V ice Pres.
G. T. C alvert
Oscar O. Olson, Cash.
Geo. P. H eil
M. B. Locke, A. Cash.
Nick Simon
D irectors :
A xel Jorstad
O scar Olson
CUDAHY
A lb ert B orgen
C u d ah y S ta te B a n k
Gust W in trone
Chas. A. N icolaus, Pres.
P. V. N ick low
Otto Frank. V ice Pres.
R alph M. R osenheim er,
D A R IE N
Cash.
T h e F a r m e r s S ta te B a n k
Laura E. Roth, A. Cash.
D ire cto rs:
R. S. Y oun g, Pres.
Chas. A. Nicolaus
B. J. B lakely, V ice Pres.
Otto F rank
W alter Larson, Cash.
H erm an P ran ge
D ire cto rs :
R. D. L. W irth
R. S. Y ou n g
Edw. G. M inor
B. J. B lakely
H enry Frank
H. A. D odge
CUM BERLAND
F loy d H. Y ou n g
N o r th w e ste r n S ta te B a n k

S. O. Lund, Pres.
Chas. R enstrom , V ice Pres.
A. J. Quinn, Cash.
E rn est W ick , A. Cash.
R alph Peterson, A. Cash.
D irectors :
S. O. Lund
Chas. R en strom


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Federal Reserve Bank of St. Louis

D irectors:
N. W. B ow er
B. B. M cGreane
F. E. W est
John L. M cGrath
Geo. W . Martin
D. K. Schreiter
J. F. Collins
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, V ice Pres.
Louis K n ellw olf, Cash.
E rnest R u f, A. Cash.
D irectors:
E. Bell
H. H. Lane
C. H. B a rlow
C. F. M cD aniel
F. Parson
H. O. Sh ockley
D E E R F IE L D
B a n k o f D eerfield

G. O. B ergland, Pres.
L. P. H oyum , V ice Pres.
Severt A. Lee, V ice Pres.
L ou ie O. Neperud, Cash.
M. E. Legreid, A. Cash.
D irectors :
G. O. B erglan d
L. O. Dahle
E. P. H alvorson
L. P. H oyum
M inor K nilans
M. M ickelson
Severt A. Lee
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, V ice Pres.
M argaret Setter, Cash.
Essie L. R en nick, A. Cash.
L. S. Hinman, A. Cash.
D ire cto rs :
W. E. W eb ster
H enry E. F ou ks
Wm. B. Webster
L. S. Hinman
Jno. Sakrison
D eFO R E ST
D e F o r e s t—M orrison v llle
Bank

O. J. Boehm, Pres.
A. J. Mell, V ice Pres.
A u gu st H. Junge, V. Pres.
R. J. Kuhlm an, Cash.
M argu erite Moran, A. Cash.
D ire cto rs :
E rick Esse
O. S. D aley
W. H. Paulm an
W m . W an gerin

D A R L IN G T O N
C itiz e n s N a tio n a l B a n k

DELAVAN
C itiz e n s B a n k o f D e la v a n

N. W. B ow er, Pres.
B. B. M cGreane, V ice Pres.
Geo. W. Martin, Cash.
L. H. W ilson . A. Cash.
Paul M cG ettigan, A. Cash.

W. R. T op pin g,
L. H. W illiam s,
& Cash.
J. J-. K em m ett,
R. C. B esw ick,

Pres.
V ice Pres.
A. Cash.
A. Cash

REPORT OF THE COMMISSIONER OF BANKING
D irectors:
J. J. P h oenix
D. E. LaB ar
W . P. Fernh olz
W . R. T op pin g
L. H. W illiam s
J. J. K em m ett
DELAVAN
W is c o n s in S ta te B a n k

F. G. Tanck, Pres.
I. B. Davies, V ice Pres.
W . G. D oherty, Cash.
D ire cto rs :
F. G. Tanck
I. B. D avies
W. G. D oherty
H. S. B ow ers
A. A. Fenn
A. S. R yan
A. R. Stew art
DENM ARK
B a d g e r S ta te B a n k

A lbert D ufeck, Pres.
N ic K nutson, V ice Pres.
A. A. Maurer, Cash.
D ire cto rs :
A lbert D u feck
Nic K nutson
A. A. M aurer
A lb ert Skorn ich ka
Edw ard Schuster
H arry H. Hansen
Chas. Skorn ich ka
DENM ARK
D e n m a r k S ta te B a n k

Geo. G. D eBroux, Pres.
H enry F. W ittig , V ice Pres.
Wm. J. Noel, Cash.
D irectors:
J. J. Slatky
Michael Scanlan
John Conard
H enry F. W ittig
A. P. E rick son
F ran k H. K elln er
John O. Jorgensen
E dw ard P elish ek
Geo. G. D eB roux
DE PERE
R a n k o f W e s t D e P ere

D ire cto rs :
R. C. French
W illia m Calnan
Geo. P. Ford
C. A. Osen
R ay F. Zim dars
R ob ert A. R yan
John A. K uypers
John Jacobs
F ran k Schum erth
D E SOTO
De Soto S ta te B a n k

A.. J. Broadhead, Pres.
M. Steenberg, V ice Pres.
J. C. G illespie, Cash.
J. A. H ow arth, A. Cash.
D irectors:
A. J. Broadhead
M. Steenberg
W. T. W h ite
John Y ttri
Geo. Broadhead
DODGE
F ir s t S ta te B a n k

J. B. L iterski, Pres.
Jos. J. K ulas, V ice Pres.
E. J. Altm ann, Cash.
Geo. F. .Toshner, A. Cash.
JJlrectors:
J. B. L iterski
Jos. J. K ulas
V in cen t L osin ski
F ran k J. Toshner
F. A. M aliszew ski
J. F. Brom
Joe K ram er
D O D G E V IL L E
F ir s t N a tio n a l B a n k

John M. Reese, Pres.
Edw. L. Reese, V ice Pres.
P. J. P eterson, Cash.
D irectors:
John M. Reese
Edw. L. Reese
John I. Hahn
H. R. H ym er
P. J. Peterson
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.
D irectors:
T. M. Strong
H. C. Strong
A rthur Strong
E. O. H algrim

Max D. Franc, Pres.
E. J. McGeehan, V ice Pres.
J. C. Stengel, Cash.
W. L. Baeten, T eller
D ire cto rs :
Max L. F ran c
E. J. M cGeehan
DO RCHESTER
Martin Albers
Em il Jacobsen
T h e D o r c h e ste r S ta te B a n k
Leland A. W ells
F. V. H iebsch, Pres.
John W illem s
H. M arquardt, V ice Pres.
D avid A. W ish a rt
M. S. Sorenson, Cash.
L. D. Sorenson, A. Cash.
D irectors:
DE PERE
H. M arquardt
S ta te B a n k o f D e P e re
M. Papesch
R. C. French, Pres.
W illiam K uehl
Dr. A. W. Schief
W illia m Calnan, V ice Pres.
E. G. Beisner
Carl G. Scott, Cash.
C. H. Carlson, A. Cash.
M. F. Law rie
F. V. H iebsch
T. A. Jacobs, Branch Mgr.


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Federal Reserve Bank of St. Louis

245

DOUSM AN
D o u sm a n S ta te B a n k

B. J. Bischel, Pres.
F. E. H ill, V ice Pres.
Elm er G. Leon, Cash.
Erna L. Schneider, A. Cash.
D irectors:
L. J. Bischel
W. R. N otbohm
F. E. H ill
J. G. W illiam s
E lm er G. Leon
DRUMM OND
S tate B a n k o f D ru m m o n d

F. H. B artlett, Pres.
O. A. G lassow , V ice Pres.
C. Ai Christianson, Cash.
D irectors:
F. H. B artlett
O. A. G lassow
C. A. Christianson
E dw ard G irard
C. S. B ostw ick
DURAND
B a n k o f D u ra n d

A. W. Crippin, Pres.
Joseph W eber, V ice Pres.
Chas. F. Bauer, Cash.
J. E. Bauer, A. Cash.
C. K. Brainard, A. Cash.
S. C. Quale, A. Cash.
D irectors:
M. H. Carroll
Wm. E. Thurston
H enry H artu ng
H. P. N icklas
John W . H arris
DURAND
S e c u rity N a tio n a l B a n k

John Brunner, Jr., Pres.
H. J. E n geldin ger, V. Pres.
John E n geldin ger, V. Pres.
G. C. S ch iefelbein, Cash.
A. J. O esterreicher,
A. Cash.
R. E. K eeler, A. Cash.
D ire cto rs :
John Brunner, Jr.
John E n geld in ger
H. J. E n geld in ger
John X. Bauer
E. S. P attison
A nton W eiss
EAGLE
B a n k o f E a g le

H. M. Loibl, Pres.
F ran k K lopp en bu rg, V. P.
L. H. Lins, Cash.
I. H. E n gebretsen , A. Cash.
D ire cto rs :
H. M. L oib l
F ran k K lop p en b u rg
H arry Smart
E. B. A bendroth
L. H. Lins
E A G L E R IV E R
F ir s t N a tio n a l B a n k

E. W . Ellis, Pres.
A lex H iggin s. V ice Pres.
F ran k A. H all, V ice Pres.

246

REPORT OF THE COMMISSIONER OF BANKING

Geo. Esbensen, Cash.
Thos. M acQuaker, A. Cash.
C. A. M yers, A. Cash.
D irectors:
E. W . E llis
A lex H iggin s
F ran k A. H all
Geo. Esbensen
Thom as M acQ uaker
EAST TROY
S tate B a n k o f E a s t T r o y

E dw ard B. R ohleder, Pres.
Charles P. Maier, V. Pres.
Charles P. Maier, Cash.
Paul B. Larsen, A. Cash.
D ire cto rs :
E dw ard B. R oh leder
Charles P. Maier
Benita B. H enry
R ena D. R oh leder
Ann Maier
E A U C L A IR E
A m e ric a n N a tio n a l B a n k
& T r u s t Co.

R ich ard J. Lew is, Pres.
Ole H arstad, V ice Pres.
W. A. K aiser, V ice Pres.
E. M. Peterson, Cash.
C. J. D anielson, A. Cash.
D ire cto rs :
R ich a rd J. L ew is
Oie H arstad
W. A. K a iser
E. M. Peterson
E. W. K aiser
H. Geo. Peterson
E A U C L A IR E
U nion N a tio n a l B a n k

Geo. B. W heeler, Chr.
G eorge C. D reher, Pres.
K nu te A nderson, V ice Pres.
M. B. Syverson, V. Pres.
C. A. Bugher, V. Pres.
J. W. Selbach, Cash.
B. G. W eizen egger, A. Cash.
Clarence K appers, A. Cash.
R. V. W ilco x , A. Cash.
E. J. Oien, A. Cash.
G. N. Sperstad, A. Cash.
D ire cto rs :
K nu te Anderson
G eorge L. Blum
Chas. A. B ugher
G eorge C. D reher
R osw ell H. H obbs
Ralph W. H utchens
H erm an T. L ange
B en edict R. Schwahn
W illia m L. Seyberth
M artin B. Syverson
G eorge B. W h eeler
R oy P. W ilco x

D ire cto rs :
H erm an A. K a edin g
G eorge H. F lood
John H illebranu
A u brey K aedin g
M onroe Smith
F. O. B rig gs
J. F. Grahl
EDGAR
The Bank of E dgar

A. W. Puchner, Pres.
C. C. D eLong, V ice Pres.
Wm. C. Seim, Cash.
D irectors:
A. W. P uchner
C. C. D eL on g
E. W. P fra n g
W m . C. Seim
O. G. F eh lh aber
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.
W eetm an D ickin son, V. P.
H. M. Petersen, Cash.
D ire cto rs :
J. W . M enhall
W eetm an D ickinson
E. Z. Menhall
P. M. E llin gson
A. F. R atzlaff
EDGERTON
T o b a c co E x c h a n g e B a n k

E. T. E bbott, Pres.
F. L. K e llo g g , V ice Pres.
C. A. Hoen, Vice Pres.
Wm. C. Buchholz, Cash.
D irectors:
D. A. M cCarthy, Chr.
E. T. E b b ott
F. L. K e llo g g
C. A. Hoen
J. H. Coon
E m il D orow
J. O. E llick son
L. O. Lein, Jr.
F. E. Shearer
M artin H. O berdeck
ELCHO
S ta te B a n k o f E lc h o

John F. Singer, Pres.
Paul J. D ailey, V ice Pres.
Geo. H. Bauer, Cash.
D ire cto rs :
John F. Singer
Paul J. D ailey
Julius F ollstad
E ugene Palm er
Geo. H. Bauer
ELDORADO
E ld o ra d o S ta te B a n k

J. H. Nolan, Pres.
Chas. Behrns, V ice Pres.
A. J. H enning, Cash.
C. A. K em nitz, A. Cash.
Lulu O’Shea, A. Cash.
EDEN
D ire cto rs :
E d e n S ta te B a n k
J. H. Nolan
Chas. Behrns
H erm an A. K aedin g, Pres.
A. J. H enn ing
G eorge H. F lood , V ice Pres.
L. G. S ch w ertfeger
John H illebrsnd. Cash.
C. J. H en n in g
Aubrey K aedin g, A. Cash.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

ELKHART LAKE
B a n k o f E lk h a r t L a k e

R ob ert H orneck, Pres.
Dr. A. Loos, V ice Pres.
J. K. Johnson, Cash.
D ire cto rs :
R ob ert H orneck
Dr. A. L oos
H erbert H orneck
V ictor Jeanty
M ilton Jung
Jacob Strub
A. J. Zorn
ELKHORN
T h e F ir s t N a tio n a l B a n k

W . C. Norton, Pres.
A. C. D esing, V ice Pres.
G eorge E. H art, Cash.
W. R. Opitz, A. Cash.
D ire cto rs :
W. C. Norton
A. C. D esing
Geo. E. P otter
Jas. L. H arris
W m . Opitz
ELKHORN
S tate B a n k o f E lk h o r n

Geo. H utton, Pres.
Ben Bachhuber, V ice Pros.
K. P. G oodrich, Cash.
W. H. Lean, A. Cash.
D irectors:
Geo. H utton
Ben B achhuber
W . H. Lean
Geo. P. P eck
A. T. Thorson
ELLSW ORTH
B a n k o f E lls w o r th

F. G. M agee, Pres.
W. L. Oltman, V ice Pres.
John T. Beddall, V ice Pres.
L. R. Cadwell, Cash.
John G. H agestad, A. Cash.
G. B. Reed, A. Cash.
James F. Hines, A. Cash.
D ire cto rs :
F. G. M agee
W. L. Oltman
John T. Beddall
L. R. Cadw ell
John G. H agestad
H. R. H uber
S. E. Moen
ELM W OOD
F ir s t S ta te B a n k

O. W . G root, Pres.
J. A. M ulhollam , V ice Pres.
F. A. Springer, V ice Pres.
E. J. M cK ernon, Cash.
Paul Zeug, A. Cash.
F. J. Thom pson, A. Cash.
D ire cto rs :
O. W. G root
J. A. M ulhollam
F. A. Springer
E. J. M cK ernon
F. G. H olt
L. E. W ild
Paul F eiler

REPORT OF THE COMMISSIONER OF BANKING

247

ELROY
B a n k o f E lr o y

F A L L R IV E R
R io —F a ll R iv e r U n ion B a n k

FOND DU LAC
N a tio n a l E x c h a n g e B a n k

Carl C. V ogel, Pres.
R. E. Gibbens, V ice 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 enry C. R ow an
John P. Schauer
A lfre d Zeise

C. A. W righ t, Pres.
Joseph Steel, V ice Pres.
C. C. F rederick, Cash.
A. C. Brossard, A. Cash.
D irectors :
C. A. W rig h t
Joseph Steel
C. C. F rederick
E dith E n glek e
H. H. H u gg ett
R ussell M oore
E. J. M orrison
E arl H enton
P. F. Breen

J. P. K alt, Pres.
Wm. Mauthe, V ice Pres.
F. H. B oyle, V ice Pres.
W. A. Sanders, V ice Pres. &
CrsIi
E. W. M cK eough, A. Cash.
D irectors :
Wm. Mauthe
Dr. H. E. T w oh ig
A. H. Lange
J. P. K a lt
J. E. M cNeany
Dr. A. J. Pullen
A n ton L oeh r
F. H. B oyle
H. H. Boyle

EM BARRASS
E m b a r r a s s S ta te B a n k

T. H. B untrock, Pres.
A lb ert K orth, V ice Pres.
W m . Anton, Cash.
A bner Anton, A. Cash.
D ire cto rs :
Julius Utke
Chas. Gehrt
Chas. Fandrey
A lb ert K orth
Em il K orth
A rthu r K o e lle r
T. H. B untrock
E T T R IC K
E tt r ic k S ta te B a n k

H. F. Claussen, Pres.
A. C. H agestad, V ice Pres.
J. A. K am prud, Cash.
V. Li. Thom pson, A. Cash.
D irectors:
A. J. B rovold
M aurice Casey
H. F. Claussen
A. J. E kern
B. I. E n ghagen
A. C. H agestad
Li. K. U nderheim
E V A N S V IL L E
F a r m e r s & S ta te B a n k

Leonard P. E ager, Pres.
E. E. Denison, V ice Pres.
F o rre st T. Durner, Cash.
D irectors:
H. F. Brunsell
E. E. Denison
F. T. Durner
Leonard P. E ager
E. H. L ibby
FALL CREEK
T h e S ta te B a n k o f F a ll
C re ek

W . H. F raw ley, Pres.
J. O. Ziemann, V ice Pres.
C. W . V oech tin g, Cash.
Gertrude Ziemann, A. Cash.
R alph H. W ise, A. Cash.
D irectors:
H enry B ruesew itz
W . H. F ra w ley
C. W. V oech tin g
R alph H. W ise
J. O. Ziem ann


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

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
o f F e n n im o r e

Geo. F. Frantz, Pres.
John W . K reul, V ice Pres.
A. R. Cotherm an, Cash.
A. K enneth Kern, A. Cash
D irectors:
Geo. F. F rantz
John W. K reul
A. R. Cotherm an
A. K enneth K ern
R. J. Campbell
Ed. H eathcote
F E R R Y V IL L E
F e r r y v ille S tate B a n k

Fred Copsey ‘D ’, Pres.
Edw . Em erson ‘D’, V. Pres.
F. R. G arvey, Cash.
D ire cto rs :
John Churness
P. N. Smith
M. R. Munson
Fred Copsey
Edw . Em erson
FLORENCE
S tate B a n k o f F lo re n c e

E. W . Peterson, Pres.
C. R. Tiderm an, V ice Pres.
R. C. Lindberg, Cash.
D irectors:
E. W. Peterson
C. R. Tiderm an
R ich ard Peterson
F. J. L aw ren ce
O. G. Johnson
A rth u r M. Sells
C. C. Swanson
FOND DU LAC
F ir s t F o n d dn L a c
N a tio n a l B a n k

E rn est J. Perry, Pres.
C. J. Breitzm an, V ice Pres.
E. A. K enney, Cash.
Chas. H otalin g. A. Cash.
J. A. Pfeil, A. Cash.
J. W . Jagdfeld, A. Cash.
D irectors:
C. J. Breitzm an
T. L. D oyle
C. L. Gloyd
E. D. Jones
A lex Leonard
E rnest J. P erry
M. E. W est
L. A. W illiam s

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 hitm ore, Pres.
J. R. H arvey, V ice Pres.
W. A. Canary, Cash.
V. E. H ouston, A. Cash.
D irectors:
F ran k Bennett
W . A. Canary
L loyd Dohs
J. R. H arvey
C. H. W h itm ore
F O R E S T J U N C T IO N
F o re s t J u n c tio n S tate
Bank

John Seybold, Pres.
Otto Schley, Cash.
A nthony Schw abenlender,
A. Cash.
D irectors:
John Seybold
Otto Schley
M. P. W iechm an
John F. Otto
W. R. D w yer
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 llle

H. J. Teske, Pres.
W . H. Bastar, V ice Pres.
W. H. Bastar, Cash.
L. J. Gerondale, A. Cash.
D irectors :
H. J. Teske
W. H. Bastar
G eorge Schmitz
M. S. T lach ac
A rt L. W eb er
N estor E n gleb ert
L. J. G erondale
F O R T A T K IN S O N
C itize n s S ta te B a n k
T. B. R oyce, Pres.

E. R. K lassy, V ice Pres.
E dw in H edberg, Cash.
J. T. F arrell, A. Cash.
D irectors:
C. A. D ow n in g
H. B. C arpenter
J. A. Casw ell
T. B. R oy ce
E. R. K la ssy
E dw in H edberg

/

248

REPORT OF THE COMMISSIONER OF BANKING

F O R T A T K IN S O N
F ir s t N a tio n a l B a n k

F R A N K S V IL L E
B a n k o f F r a n k s v ille

S. N. Schafer, Pres.
a . k . H oard, Vice Pres.
C. H. Aspinw all, Cash.
R. J. Smith, A. Cash.
U ire cto rs :
S. N. Schafer
A. R. H oard
C. H. A spin w all
S. H. W eidem ann
J. E. Mack
H. H. Curtis
C. B. R ogers

W . G. Shum w ay, Pres.
L. C. Christensen, V. Pres.
A. C. H aertel, Cash.
M. E. Lee, A. Cash
D ire cto rs :
W . G. Shum way
L. C. Christensen
A. C. H aertel
Geo. T. G illett
Herman Funk
M. E. W a lk er
H. P. Gast
Thos. H. Skew es

F O R T A T K IN S O N
F o r t A tk in s o n S a v in g s
Bank

O. W. D onkle, Pres.
C. Eug. W ard, V ice Pres.
G. E. vVard, Cash.
L. R. D onkle, A. Cash.
D ire cto rs :
O. W. D onkle
C. Eug. W ard
G. E. W ard
D. R. D onkle
J. F. M ueller
F. N. Sontag
O. T. Olson
F O U N T A IN C IT Y
F ir s t S ta te B a n k

C. A. K irch ner, Pres.
M. L. Fugina, V ice Pres.
W . F. Bohri, Cash.
J. A. K irchner, A. Cash.
D irectors:
C. A. K irch ner
M. L. F u gin a
Edw. H. K irch n er
W . F. B ohri
O. E. F lorin
FOX LAK E
S ta te B a n k o f F o x L a k e

D. C. Church, Pres.
H. F. W itthun, V ice Pres.
G. F. R oberts, Cash.
W . H. W itthun, A. Cash.
D ire cto rs :
D. C. Church
H. F. W itth un
G. F. R oberts
W. C. O’Connell
John H ughes
H. E. Adam s
J. W . H obk irk
F R A N C IS C R E E K
S ta te B a n k o f F r a n c is
C reek

John Ew en, Pres.
Jos. J. Gruber, V ice Pres.
F. C. Baugniet, Cash.
W m . L. Ew en, A. Cash.
D ire cto rs :
F. C. B augniet
A lb e rt B leser
John Ew en
Jos. J. G ruber
R o b e rt H essel
Joseph K oeh ly
A lb ert R ezba
W m . H. Spencer
James J. Z ah orik


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

F R E D E R IC
F a r m e r s S ta te B a n k

C. W . V. Peterson, Pres.
A. O. D ahlberg, Vice Pres.
F. D. W itu ck i, Cash.
R uth M. Johnson, A. Cash.
D irectors:
A. W . B lom gren
G. R obt. Grimh
F R E D O N IA
S ta te B a n k o f F re d o n ia

E. L. R osenheim er, Pres.
Jos. W. Schmit, V ice Pres.
H. W. W itt, Cash
W m . J. Neuens, A. Cash.
D ire cto rs :
E. L. R osenheim er
R alph M. R osenheim er
Joseph W . Schmit
N. J. Paulus
H. W . W itt
FREEDOM
F re e d o m S ta te B a n k

Ed. J. Murphy, Pres.
Jos. W. A ppleton, V. Pres
H. J. B ehling, Cash.
D ire cto rs :
Ed. J. M urphy
Jos. W . A ppleton
Jos. H. Geenen
John Schom m er
E. J. McGeehan
F R IE S L A N D
F r ie s la n d S ta te B a n k

Eli Cupery, Pres.
A lbert F ralick , V ice Pres.
R in k Cupery, Cash.
M erle F roelich , A. Cash.
D irectors:
E li Cupery
A lb ert F ra lick
F red Posthum a
H. C. Sauer
D ow G. Tillem a
W illia m Tessm ann
Paul V ander Velde
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, V ice Pres
J. A. Ham mer, Cash.
R. E. M ossberg, A. Cash.

D irectors:
J. F. Cance
Leonard Larson
Ben W. D avis
F. A. K ellm an
W . S. W ad leigh
J. A. H am m er
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. Sherw ood, Pres.
Ole Fortn ey, V ice Pres.
H. H. Sherw ood, Cash.
L. L. Sherw ood, A. Cash.
D ire cto rs :
G. T. A tw ood
Ole F ortn ey
O. A. Sherw ood
L. B. Sherw ood
T. N. Nelson
C. H. N orw ood
H enry Munson (now
deceased)
GENESEE DEPOT
S ta te B a n k o f G en esee
D epot

H ow ard T. Greene, Pres.
A rthu r R ichards, V ice Pres.
A rthur R ichards, Cash.
N ew ell P arker, A. Cash.
W. G. Plass, A. Cash.
Elm er H. Frank, A. Cash
D irectors:
H ow ard T. Greene
A rthur R ich ards
Leonard F. H eintz
H arry R. H urst
A lb ert D. W ilson
John F. Frank
James G. P ronold
GENOA
G en oa S ta te B a n k

A. Tulloch, Pres.
Aug. B. Z abolio, V ice Pres.
G. C. Loefflad, Cash.
G. M. D ow ney, A. Cash.
D ire cto rs :
A. Tulloch
Aug. B. Z abolio
Ton y Levi
Fred M orelli
G. C. Loefflad
G E N O A C IT Y
C itize n s Stnte B a n k

R. P. G uptill, Pres.
H. D. C. Bannister, V. Pres.
El. H. W estgor, Cash.
H arold M cD onald, A. Cash.
D ire cto rs :
R. P. G uptill
H. D. C. B annister
L. O. Smith
M ax M iller
J. L. W illiam s
GERM ANTOW N
T h e G e rm a n to w n
Bank

S tate

Em ma D uerrw aechter, Pres.
G eorge D iefenbach, V. Pres.
Clarence E. Schramm, Cash.

REPORT OF THE COMMISSIONER OF BANKING
D irectors:
Fred Van Rhienen
Lena Gehl
H en ry Suelflow
Carl Schw artz
GIL, L E T T
G llle tt S ta te B a n k

J. M. A nkerson, Pres.
N. O. Sorensen, V ice Pres.
A. E. H anstedt, Cash.
F. R. Rabe, A. Cash.
D irectors:
James Sorensen
A lb e rt Zippel
A lb ert Zenk
J. A. H elf
Jos. Plain
G IL M A N
S ta te B a n k o f G ilm a n

John Slota, Pres.
B. W. M ayborne, V. Pres.
V icto ria Slota, Cash.
D ire cto rs :
B. L. Slota
H. W . O gurek
John K a pszu k iew icz
B. W . M ayborne
John Slota
G IL M A N T O N
G ilm a n to n S ta te B a n k

C. D. Loom is, Pres.
Dr. A. D. Smith, V ice Pres.
D anford C. Loom is, Cash.
Mabel C. Loom is, A. Cash.
D ire cto rs :
C. D. Loom is
Dr. A. D. Smith
D anford C. Loom is
Mabel C. Loom is
W. G. G ooderm ote
Ferd Steiner
D. A. W helan
GLEASON
G le a so n S ta te B a n k

G L E N W O O D C IT Y
F ir s t S ta te B a n k
G le n w oo d

of

M. F. Baker, Pres.
James Jensen, V ice Pres.
H. L. Payne, Cash.
E dw ard Gavie, A. Cash.
Anna L egier, A. Cash.
D ire cto rs :
M. F. B aker
James Jensen
Jessie A. Beebe
H. L. Payne
E dw ard Gavie
GOODM AN
C itize n s B a n k o f G oodm an

G. W. D’Am our, Pres.
G. A. H oughton, V ice Pres.
U. H. Swope, Cash.
D irectors:
G. W . D’A m our
G. A. H ough ton
W. E. H oyt
F. A. Sinkula
G. H. Sw ope
GRAFTON
G ra fto n S ta te B a n k

Louis L. Zaun, Pres.
W illia m H ovener, V. Pres.
R ob ert P. Zaun, Cash.
Em ily Zaun, A. Cash.
D ire cto rs :
W illia m H ovener
Otto K oh lw ey
A nton Rausch
Fred A. Scheer
L ouis L. Zaun
GRAND M ARSH
G ra n d M a rsh S ta te B a n k

L. P atrick, Pres.
F riedrich K loss, V ice Pres
H. O. Spindler, Cash.
M ary E. Spindler, A. Cash.
D irectors :
GRANTSBURG
F ir s t B a n k o f G r a n ts b u r g

Jacob G. Callsen, Pres.
H arry G. D oering. V. Pres.
C. C. M illenbah, Cash.
E dw ard L. Smith, A. Cash.
D ire cto rs :
Jacob G. Callsen
H arry G. D oerin g
C. C. M illenbah
W m . D. R ice
John Callsen

J. R. Cassel, Pres.
V. E. H aw ley, V ice Pres.
W a lter Jensen, Cash.
D ire cto rs :
J. R. Cassel
V. E. H aw ley
W a lter Jensen
B yron Selves
J. E. Sp an gberg

GLENBEULAH
T h e G le n b e u la h S ta te B a n k

G R A N T S B IJ R G
T h e F ir s t N a tio n a l B a n k
o f G r a n tsb u r g

James Gannon, Pres.
A. VV. Stannard, V ice Pres.
E. L. A rnold, Cash.
Alm a A. A rnold, A. Cash.
D irectors:
James Gannon
A. W. Stannard
E. L. A rnold
F. A. Baum ann


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

H. A. A nderson, Pres.
J. A. Larson, V ice Pres.
C. J. Fossum , Cash.
D irectors:
H. A. Anderson
Carl M. Anderson
C. J. Fossum
J. A. Larson
A. V. Sandberg

249

G R A T IO T
G ra tio t S ta te B a n k

H. W. B urm eister, Pres.
R. F. B urm eister, V ice Pres
E. L. Geach, V ice Pres.
H. L. Geacii, A. Cash.
D ire cto rs :
H. W. Burm eister
R. F. B urm eister
E. L. Geach
H. L. Geach
L. J. Burm eister
GREEN BAY
B a n k o f G reen B a y

H. R. Erichsen, Pres.
W. T. H agen, V ice Pres.
A lb ert K aap, Cash.
C. L. Cavil, A. Cash.
F. VandenBusch, A. Cash.
D irectors:
H. R. Erichsen
W. T. H agen
A lbert K aap
W. L. Evans
J. H. Servotte
E. H. M anger
Fred F. Cross
A. B. Turnbull
GREEN BAY
K e llo g g -C i t iz e n s N at. B a n k

John R ose, Pres.
A. E. W inter, V ice 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
Nie Bur
V ictor I. Minahan
A. E. W in ter
F. J. B. D uchateau
W. E. Fairfield
W . B. Gueinzius
E arle M urray
C. R. Phenicie
J. I. C hristopherson
F. O. Schuette
GREEN BAY
P e o p les T r u s t & S a v in g s
Bank

J. R. Minahan, P res.
Leon Findeisen. V ice Pres.
R. T. Bennie, Cash.
R. M. Tetzlaff, A. Cash.
D ire cto rs :
J. R. Minahan
Leon Findeisen
C. R. Phenicie
L. A lb ert K arel
J. M. Conw ay
A. B. Turnbull
R o g e r C. Minahan
R. T. Bennie
GREEN BAY
T h e W e s t Side S tn te B a n k

P eter Platten, Pres.
F ran k J. B. Duchateau,
V ice Pres.
C. C. M arcott, Cash.
E. M. K reuser, A. Cash.

250

REPORT OF THE COMMISSIONER OF BANKING

D irectors:
P eter P latten
P ran k J. B. D uchateau
C. C. Alarcott
John Rose
W i l l J. P l a t t e n

A. V a n d en w ym elen berg
Chas. M athys
GREEN BAY
W is c o n s in S tate B a n k

E. N. Murphy, Pres.
J. Y. M icksch, Sr., V. Pres.
A. A. Reim er, V ice Pres.
R. W. Smith, Cash.
S. M. G reiling, A. Cash.
D irectors :
E. N. M urphy
J. V. M icksch, Sr,
A. A. R eim er
S. A. Johnson
J. C. Basten
Joseph Clusman
R. W. Smith
GREEN LAK E
G reen L a k e S ta te B a n k

I. O. Sherw ood, Pres.
H arry M orris, V ice Pres.
L. H. Burling1, Cash.
D irectors:
I. O. Sherw ood
H arry M orris
L. H. B u rling
Geo. E. Baldw in
W a lter Smith
A. D. Carew
L. E. P atchett
GREENLEAF
S ta te B a n k o f G re e n le a f

D irectors:
A dolph Schw arze
Wm. C. Steiger
R obt. Zetsche
A. C. B uker
F. W. H u n tzick er
H enry V ollrath
W . A. S ch lin sog
GRESHAM
S ta te B a n k

Earl A. Stier, Pres.
John Tischhauser, V. Pres.
A. W. Schw eppe, Cash.
D irectors:
O. E. M organ
L. S. H offm an
C. J. E bert
E arl A. Stier
John Tischhauser
K en T raeger
A. P. R uhbusch
John Peters
HALES CORNERS
S ta te B a n k , H a le s C orners

R. W. H olz, Pres.
H enry Conrad, V ice Pres.
Reuben Bartsch, Cash.
Garland E. Strandt, A. Cash.
D ire cto rs :
E. W . B osch
Joseph Dineen
W . A. Getzel
E. J. G odsell
E. C. H olz
A. P. H orn
Charles M iller
R. W . H olz
H enry Conrad
HAM M OND
H a m m o n d S ta te B a n k

L. P. P ox, Pres.
P ran k P. P a lck , V ice Pres.
J. B. Flatley, Cash.
R. M. Prust, A. Cash.
D irectors:
L. P. P o x
P ran k P. P alck
Jam es E. Clark
J. B. P la tley
R. M. Prust
Jacob B rittn acher
D. O. F la tle y

H E. H artw ig, Pres.
H. B. Olsen, V ice Pres.
P. L. Anderson, Cash.
A. R. Shannon, A. Cash.
D irectors:
J. E. H anson
C. G. Staab
Ned E. Nelson
T. J. W ilfo rd
H. B. San dfort
Theo. Thorson

GREEN VALLEY
S tate B a n k o f G reen V a lle y

HANCOCK
Bank o f H ancock

W. H. Bocher, Pres.
Mark Valentine, V ice Pres
John H. K uehl, Cash.
D irectors:
W. H. B ocher
M ark V alentine
D. J. M cllree
W . H. Jahnke
E rn est Pautz
Em il B irr
F e lix P a w elczyk

M. S. W alker, Pres.
M. E. W alker, V ice Pres.
L. J. W alker, Cash
C. B. W rig h t, A. Cash.
D irectors:
M. S. W a lk er
M. E. W a lk er
R. P. W a lk er
L. J. W a lk er
C. B. W rig h t

GREENWOOD
F a r m e r s & M e rc h a n ts
Bank

Adolph Schwarze, Pres.
W m . C. Steiger, V ice Pres.
R obt. Zetsche, V ice Pres.
A. C. Buker, Cash.
I. W. Stafford, A. Cash.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

HARTFORD
F ir s t N a tio n a l B a n k

E. W. Saw yer, Pres.
J. A. B ecker, V ice Pres.
A. V ogelsa n g, V ice Pres.
R. W. Bailey, Cash.
H. L. Radke. A. Cash.
R. E. W in terhalteer,
A. Cash.

D irectors:
J. A. B ecker
A. J. Jordan
O. P. K issel
W. B. P lace
J. H. P ortz
E. W . Saw yer
A. V og elsa n g
HARTFORD
H a r tfo r d E x c h a n g e B a n k

Dr. E. ,T. M onroe, Pres.
H enry H. Esser, V ice Pres.
P. S. Clausen, Cash.
J. F. Schaefer, A. Cash.
D ire cto rs :
E. T. M onroe
H enry H. Esser
P. S. Clausen
A. A. H auser
H enry L. Juergens
A. J. Portz
H enry Z ieg ler
HARTLAND
B a n k o f H a r tla n d

H. G. B. Nixon, Pres.
C. H. W itten b erg, V ice Pres.
P. W. Irish, Cash.
J. G. P arker, A. Cash.
D ire cto rs :
H. G. B. Nixon
C. H. W itten b erg
G. J. F red rick
D. A. K err
P. W. Irish
HAYW ARD
T h e P e o p le s N a tio n a l B a n k

Thom as McClaine, Pres.
L. S. Robbins, V ice Pres.
Oscar Dindholm, Cash.
Alvin M adson, A. Cash.
D irectors:
Thom as McClaine
L. S. R obbins
A lvin M. Johnson
P. R. Nash
W a lter J. D uffy
W m . A lexan der
A. R. Schm idt
E. J. Collett
A dolph W illiam s
H E L E N V IL L E
T h e B a n k o f H e le n v ille

F. W . Boehm, Pres.
Aug. C. Gruennert, V. Pres.
H. L. Bornheim er, Sec’y
Roy Muck, Cash.
D ire cto rs :
F. W. Boehm
Aug. C. G ruennert
H. L. B ornheim er
R oy Muck
A. P. K oser
H IG H L A N D
H ig h la n d S ta te B a n k

A. C. D avis, Pres.
Mrs. H. J. Pecht, V ice Pres
A rthu r J. Pecht, Cash.
M agdalene M. Pecht,
A. Cash.

REPORT OF THE COMMISSIONER OF BANKING
D irectors:
A. C. Davis
Mrs. H. J. Fecht
A rthu r J. F echt
D. G. W illiam s
Charles J. Tim bers
H IL B E R T
S ta te B a n k o f H ilb e r t

M. A. Schuh, Pres.
A nton Loehr, V ice Pres.
F ran k E. Pieper, V. Pres.
W a lter Glow e, Cash.
W ilb u r J. Steiner, A. Cash.
D ire cto rs :
M. A. Schuh
A n ton Loehr
F ran k E. Pieper
W m . F. Christel
L. F. Stark
N. E. Ziskind
Jos. Thiel
H IL L S B O R O
F a r m e r s S ta te B a n k

R. R ichards, Pres.
Bert H ofm eister, V ice Pres
B. P. H ealy, Cash.
A. E. Shebeck, A. Cash.
D ire cto rs :
R. R ich ards
Bert H ofm eister
Fred W op a t
A dolph Lisker
E dw ard W o lf
Otto Z astrow
W . O. Shear

A lfred Bitter, A. Cash.
W m . F. Stauss, A. Cash.
D ire cto rs :
W m . E ick h off
L ouis W. D reier
John O. B oeldt
A lfred B itter
Cornelius Brass
W alter F. P feiffer
John M. H enning
HUDSON
F ir s t N a tio n a l B a n k o f
H u d so n

S. C. Phipps, Pres.
Joseph Y oerg, V ice Pres.
E. H. Nagel, V ice Pres.
Joseph Y oerg, Cash.
J. A. Johnson, A. Cash.
John D orw in. A. Cash.
C. E. Day, A. Cash.
D irectors:
S. C. Phipps
Joseph Y oerg
E. H. Nagel
C. E. D ay
L. H. A shley
A. R. Schultz
E. A. H arding
HURLEY
Iron E x c h a n g e B a n k

251

IN D E P E N D E N C E
S tate B a n k o f In d ep e n d e n ce

Anton Senty, Pres.
W a lter E. Sprecher, V. P.
Otto A. Sprecher, Cash.
D irectors:
John F. K u lig
John A. M arkham
R. C. W arn er
A nton Senty
W a lter E. Sprecher
Otto A. Sprecher
IO L A
F ir s t S ta te B a n k o f Io la

S. M. Myhre, deceased, Pres.
Gunder Bergen, V ice Pres.
O. C. Leean, Cash.
S. J. Leean, A. Cash.
D ire cto rs :
Gunder Bergen
N. O. Bidney
O. J. Aasen
A. G. W illiam s
A dolph Listul
John S. Olson
IR O N R ID G E
C o m m e rc ia l S ta te B a n k

Peter K loeck n er, Pres.
E. E. Schw andt, V ice Pres.
J. M. Dusel, Cash.
Melvin R in gle, A. Cash.
Martin M cCollow , A. Cash.
D irectors:
Peter K loeck n er
E. E. Schw andt
J. M. Dusel
JT. J. Cuncly
A u gu st H ildebrandt

Geo. P. E arling, Pres.
M. F. Reid, V ice Pres.
J. C. K yle, V ice Pres.
C. H. Sealy, Cash.
Mayme V. Y oung, A. Cash.
HOLM EN
H. F. Davia, A. Cash.
D irectors•
B a n k o f H o lm e n
O. M. Schaus
John S. Coady, Pres.
iX O N IA
L. E. D ick
V. S. K eppel, V ice Pres.
J. C. K yle
Ix o n la S ta te B a n k
H arold Johnson, Cash.
M. F. R eid
Even E. Solberg, A. Cash.
E. G. K ru eger, Pres.
Max L afave
D ire cto rs :
Alb. Jaeger, V ice Pres.
C. H. Sealy
J. O. B erg
H. E. Pugh, V ice Pres.
J. S. Coady
Otto R. Buelter, Cash.
K. O. Gaarder
D ire cto rs :
H U S T IS F O R D
H. Johnson
E. G. K ru eger
H u s tis fo r d S tate R a n k
V. S. K eppel
Alb. J aeger
R oland R. R adloff, Pres.
H. E. Pugh
W. O fstedahl
Joseph Gillich, V ice Pres.
H ubert J aeger
M. V oll a
W . E. Kohn, Cash.
John D egner
W
. E. Zilisch, A. Cash.
R. J. Schw efel
H O R IC O N
D ire cto rs :
H. E. Else
H o rie o n S ta te B a n k
Roland R. R adloff
Joseph G illich
R u ssell A. W ilco x , Chr. of
JACKSON
E. E. R andall
the Board
B a n k o f J a c k so n
A ug. E. R oeseler
Chas. H aw ks, Pres.
O. F. H oge, Pres.
H. C. R yd er
F. H. Clausen, V ice Pres.
C. A. B oesew etter, V. Pres.
H. G. D iekelm ann, Cash.
E. L. Rosenheim er, Cash
E m il E. Beyer, A. Cash.
H USTLER
D ire cto rs :
D ire cto rs :
O. F. H oge
H
u
s
tle
r
—
C
am
p
D
o
u
g
la
s
Russell A. W ilco x
C. A. B oesew etter
Chas. H aw k s
Bank
Geo.
H. F ran k
F. H. Clausen
Chas. O. Cron, Pres.
R. M. R osenheim er
F rank Bodden
E
dw
ard
Moe,
V
ice
Pres.
E.
L.
R osenheim er
H. G. D iekelm ann
C. V. Fitch, Cash.
M. C. A lbertson, A. Cash.
J A N E S V IL L E
HO W ARD S GROVE
D ire cto rs :
T h e F ir s t N a tio n a l B a n k
P. O. S h e b o y g a n
Chas. O. Cron
E dw ard Moe
H. S. Love joy , Chr. o f Board
S ta te B a n k o f H o w a r d s
A. J. Pitel
H. S. H aggart, Pres.
G ro v e
Otto Steinbach
E. A. K ohler, V ice Pres.
Wm. E ick h off, Pres.
L. H. Tem te
Wm. McCue, Cash.
Louis W. D reier, V ice Pres.
Elm er Von Haden
W. E. H yzer, A. Cash.
John O. Boeldt, Cash,
Chas. Seibold
E. W. Lifts, A. Cash.


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Federal Reserve Bank of St. Louis

252

REPORT OF THE COMMISSIONER OF BANKING

D irectors:
H. S. L o v e jo y
N. L. Carle
Wm. McCue
J. A. C raig
Jas. B. T ait
V. P. R ichardson
H. S. H a g ga rt
Chas. A. M u ggleton
E. A. K ohler
W. T. Sherer
E dgar J. Leach
J A N E S V IL L E
M e rc h a n ts A S a v in g s
Bank

E. J. H aum erson, Pres.
Geo. S. Parker, V ice Pres.
R. B. M cR oberts, V. Pres.
H. W. Allen, Cash.
M. A. H anson, A. Cash.
D irectors:
E. J. H aum erson
Geo. S. P ark er
M. O. M ouat
A. Paul Owen
A. H. Pem ber
Wm. H. R yan
R. E. W isn er
P. J. E. W ood
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. Jackm an, Pres.
J. M. B eck, V ice Pres.
C. S. Jackm an, Cash.
E. T. Brow n, A. Cash.
T. C. Cullen, A. Cash.
D ire cto rs :
F. H. Jackm an
J. M. B eck
C. S. Jackm an
W illia m M cV icar
H. H. Bliss
J. L. W ilco x
G eorge D eBruin
E. T. B row n
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 Com pany

F. H. Jackm an, Pres.
C. S. Jackm an, V ice Pres.
G eorge DeBruin, Sec’ y
F. E. Connors, A. Sec’y
D irectors:
F. H. Jackm an
J. M. B eck
G eorge D eBruin
C. S. Jackm an
J. H. M cV icar
W m . M cV icar
H. H. Bliss
J. L. W ilco x
Earl T. B row n
JEFFERSON
T h e F a r m e r s & M e rc h a n ts
Bank

Lynn H. Smith, Pres.
C. E dw ard Copeland, V. P.
H. R. Fox, Cash.
W. S. K ispert. A. Cash.
C. C. F rohm ader, A. Cash.
L u cille Danger, A . Cash.


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Federal Reserve Bank of St. Louis

D irectors:
G eorge F. B u llw inkel
C. E dw ard Copeland
H. R. F o x
E rnst Nass
F. L. R itch ie
Carl J. Seifert
Lynn H. Smith
T’. R. Spooner

W . E. Rohde, Cash.
A. H. Pluckhan, A. Cash.
D irectors:
L. C. Pautsch
Paul A. H em m y
Chr. Inderm uehle
W . E. R ohde
Geo. M. Illig

JEFFERSON
J e ffe rso n C o u n ty B a n k

KAUKAUNA
The B ank of K aukauna

W. S. H enry, Pres.
Wm. C. Mayer, V ice Pres.'
R ob ert K. H enry, Cash.
V. A. Beischel, A. Cash.
D irectors :
W . S. H enry
W m . C. M ayer
L. J. M istele
Jos. Stoppenbach
Benj. R. Schw eiger
N. J. Braun
Jno. A. Prust
Irv in g J. H ibbard
A lfred W. H eilem ann
JO HN SO N C R E E K
M an sfield s S ta te B a n k

Fred C. Mansfield, Pres.
C. L. H ubbs, V ice Pres.
G eorge O. W olf, Cash.
Lester A. Haas, A. Cash.
D irectors :
Fred C. Mansfield
C. L. H ubbs
G eorge O. W o lf
L ester A. Haas
H om er W . H enke
JUDA
T h e B a n k o f Juda

John K ryder, Pres.
J. S. Bradley, V ice Pres.
C. O. B runkow , Casii.
D ire cto rs :
John K ryd er
J. S. B radley
C. A. Newman
F ran k H. M iller
B. H. R od erick
Judd D avis
F. F. H a rtw ig
A. B. H a rtw ick
J. H. G renzow
J U N C T IO N C IT Y
J u n ctio n S ta te B a n k

M att D. M arty, Pres.
W. G. Berdan, V ice Pres.
S. J. Sebora, Cash.
L. J. Sebora, A. Cash.
D irectors:
M att D. M arty
W. G. Berdan
Theo. D im ka
Theo. J. D ickrell
W . T. Clausnitzer
Dr. G. W . R eis
JU N EAU
C itize n s B a n k o f J u n e au

L. C. Pautsch, Pres.
Paul A. H emm y, V ice Pres.
Chr. Inderm uehle, V. Pres.

J. P. K line, Pres.
Dr. G. J. Flanagan, V. Pres.
Chas. D. T ow sley, Cash.
G. S. M ulholland, A. Cash.
B arbara M. K ram er,
A. Cash.
D ire cto rs :
Dr. G. J. F lan agan
L. A. Gerend
Geo. A. K line
J. P. K line
Ben G. P ru gh
H. T. Runte
Chas. D. T ow sley
J. S. W yn b oom
KAUKAUNA
F a r m e r s an d M e rc h a n ts
Bank

L. F. Nelson, Pres.
Peter Renn, V ice Pres.
John Coppes, V ice Pres.
H. W. Olm, Cash.
John Van De Loo, A. Cash.
Geo. D ogot, A. Cash.
D ire cto rs :
Jul. J. M artens
L. F. Nelson
P eter Renn
John Coppes
H. W. Olm
E. G. Haas
F. J. B algie
J. L. Coonen
Chas. A ppleton
A. M an kosky
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. D w yer, Pres.
O. F. Schroeder, V. Pres.
K. Posselt, Cash.
J. B. G allggher, A. Cash.
R. J. Jirschele, A. Cash.
D ire cto rs :
M. T. Cafferty
H. A. Dorns
Jas. Milne
J. B. G allagh er
K. P osselt
KENOSHA
T h e B r o w n N a tio n a l B a n k

Lynn T. H annahs, Pres.
C. C. Allen, V ice Pres.
Wm. Thurn, V ice Pres.
E. H aubrich, Cash.
F. W . W igh t, A. Cash.
W . A. Hess, A. Cash.

REPORT OF THE COMMISSIONER OF BANKING
D irectors:
C. C. Allen
Lynn T. H annahs
Dr. J. F. H astings
E. H au brich
A. H. Lance
A. M N eergaard
Chas. H. P fe n n ig
W m . Thurn
KENOSHA
F ir s t N a tio n a l B a n k

L. T. Hannahs, Pres,
J. W. Blair, V ice Pres.
M. G. Boerner, Cash.
Bruce Eastm an, A. Cash.
Paul Zielenski, A. Cash.
H. C. Stine, A. Cash.
V. A. Nelsen, A. Cash.
W . C. Gitzlaff, A. Cash.
C. W . A llen, A. Cash.
D ire cto rs :
C. C. Allen
J. W. Blair
R. P. Cavanagh
L. T. Hannahs
A. H. Lance
E. H. M cCarty
J. T. W ilson
K ENOSHA
T h e N o r th w e ste r n L oan
an d T r u s t C o m p a n y

W m . C. Crosby, Chr. o f
the Board
W m . Thurn, Pres, and
Treas.
C. C. Alien, V ice Pres.
Lynn T. H annahs, V. Pres.
Marie M. L udw ig, Sec’y
Leo M. B rick ley, A. Sec’y
H arry N. Swenson,
A. T reasu rer
D irectors:
C. C. Allen
Charles W. Allen
R ich ard P. Cavanagh
Wm. C. Crosby
Lynn T. H annahs
A. H. Lance
W m . Thurn
Jam es T. W ilson

D irectors:
G eorge A. D uvall
Chas. J. Burm eister
Ben W a egli
H erm an Griese
A nton W . K ie w e g
Julius P. Stangel
Dr. D. B. Dana
Edw . P. Schw antes
W m . Lazansky
W m . Giese
KEWAUNEE
U nion S ta te B a n k

L. W . Bruemm er, Pres.
Wm. Belter, V ice Pres.
J. G. W alecka, Cash.
E. P. Shimek, A. Cash.
A. P. Kuehl, A. Cash.
D irectors:
K IE L
C itize n s S ta te B a n k

D. P. Nauth, Pres.
Otto Stoeltm g, V ice Pres.
M. C. Timm, Cash.
H a rry J. R oeck, A. Cash.
D irectors:
D. F. Nauth
Otto S toeltin g
P. P. K nau f
Edw. C. G utenkunst
Theo. W. Schreiber
H arry H. K lem m e
M. C. Timm
K IE L
S ta te B a n k o f K ie l

W a lla ce R. Johnson, Pres.
Rud. Greve, V ice Pres.
E arl Lehner, Cash.
C. A. K anske, A. Cash.
D ire cto rs :
W a lla ce R. Johnson
Rud. Greve
J. B. Laun
Theo. Brill
C. J. M eiselw itz
H. J. D uecker
A lfred H ingiss
K IM B E R L Y
K im b e r ly S ta te B a n k

M. D. Smiley, Pres.
S. P. Shattuck, V ice Pres.
I. C. Clark, Cash.
A. L. Rosenheim er Pres.
H. A. Van H im bergen,
A. Cash.
N. W . Rosenheim er, V. Pres.
D ire cto rs :
M. W. Rosenheim er, Cash.
M. D. Sm iley
H. A. Rem m el, A. Cash.
S. P. Shattuck
Paul Landmann, A. Cash.
I. C. Clark
D irectors:
Fred K roen ke
A. L. R osenheim er
Jacob Lam ers
N. W . R osenheim er
C. G. Maes
M. W . R osenheim er
Martin W ydeven
A. W. K och
L. P. R osenheim er
A. L. Rosenheim er, Jr
K IN G S T O N
KEW ASKUM
B a n k o f K e w a sk u in

KEW AUNEE
S tate B a n k o f K e w a u n e e

L . A lb ert K arel, Pres.
V. H. Janda, V. Pres.
L. A lb ert K arel, Jr., Cash.
John W . H ostak, A. Cash.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

K in g s t o n -D a lt o n
Bank

S tate

W. P. L ueptow , Pres.
J. T. Shaw, V ice Pres.
E. D. W illiam s, Cash.
H. V olkm ann, A. Cash.
Reuben Cruckson, A. Cash.

253

D irectors:
W . P. L u eptow
J T. Shaw
Edw . M urphey
PI. W . L ighthall
C. P. K n igh t
E. D. W illiam s
H. V olkm ann
KNOW LES
K n o w le s S ta te B a n k

H. A. K aedin g, Pres.
Peter Sterr, V ice Pres.
O. A. Kuhn, Cash.
A. P. Sterr, A. Cash.
D ire cto rs :
H. A. K aedin g
P eter Sterr
O. A. Kuhn
A. P. Sterr
Aug. Nast
P. vvC Thom as
Chas. Jandrey
LA CROSSE
B a ta v ia n N a tio n a l B u nk

H. O. K lein, Pres.
G. Van Steenw yk, V. Pres.
A. J. Capellen, Cash.
C. J. Johnson, A. Cash.
N. M. Elstad, A. Cash.
D ire cto rs :
E dw in E rickson
A. S. Punk
H. O. K lein
A ndrew Lees
D. G. MacMillan
A. L. M iller
Gust P. Sexauer
P rank E. Smith
G. Van Steenw yk
LA C R O S S E
E x c h a n g e S ta te B a n k

Jos. P. Gohres, Pres.
H arry Spence, V ice Pres.
W. J. L ow ry, Cash.
D ire cto rs :
Jos. P. Gohres
H arry Spence
W. J. L ow ry
H. G. McCabe
P. L. Pierce
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. H olley, V ice Pres.
L. P. R obinson, Sec’ y
H. A. Netzer, A ss’ t Sec’y
D ire cto rs :
G. van Steenw yk
H. K. H olley
Jno. C. Burns
C. P. Michel
L. P. R obin son
LA CROSSE
T h e N a tio n a l B a n k o f
L a C rosse

W. C. H interm an, Pres.
P. H. H ankerson, V ice Pres.
Geo. A. M acLachlan, Cash.
P. L. Cilley, A. Cash.
J. W. D ocken dorff, A. Cash.
I. E. R u ggles, A. Cash.

254

REPORT OF THE COMMISSIONER OF BANKING

D irectors:
W. C. H interm an
P. H. H ankerson
H enry Gund
Chas. E. Colman
Chas. A. H oeschler
C. F. M ichel
P. M. Pam perin
P. W. Pitm an
P. W . Sisson

D ire cto rs :
Jas. G. Allen
Chas. S. F rench
H. N. G ifford
C. A. K aye
W . L. Smith

L A CROSSE
S ta te B a n k o f L a C rosse

Wm. A. E n gsberg, Pres.
W . E. Tyler, V ice Pres.
Emil H. Neupert, Cash.
Wm. G. K orth, A. Cash.
D irectors:
Wm. A. E n gsb erg
W. E. Tyler
Emil H. Neupert
John C. M urphy
John L. H ooper

John C. Burns, Pres.
J. M. H olley, V ice Pres.
R. J. Ray, Cash.
A. H. E rickson , A. Cash.
D irectors:
N. Nustad
A. T. H olm es
H arry W a tk in s
John C. Burns
J. M. H olley
R. J. Ray
L A D Y S M IT H
P io n e e r N a tio n a l B a n k

D. M. Lundm ark, Pres.
R. J. Coon, V ice Pres.
B. A. W ick strom , V ice Pres.
B. A. W ick strom , Cash.
E. W. P agel, A. Cash.
D ire cto rs :
L. M. Lundm ark
R. J. Coon
G. L. H ilb ert
B. A. W ick strom
E. W . P a gel
L A D Y S M IT H
S e c u rity S ta te

L A K E M IL L S
B a n k o f L a k e M ills

L A K E M IL L S
T h e G re e n w o o d ’s S tate
Bank

D irectors:
R ich ard M. Connor
W. D. Connor, Jr.,
L. P. M allow
A. F. Evans
E. G. Ovitz
Anton Schiesl
W m . Stenerson
LARSEN
F a r m e r s S tate B a n k

Elias Sorrenson, Pres.
C. S. H allock, V ice Pres.
H. W. D auffenbach, Cash.
Lea Gerald, A. Cash.
D ire cto rs :
E lias Sorrenson
C. S. H allock
Chas. Cross
J. M. Johnson
H. W . D auffenbach
LEBANON
L ebanon S ta te B a n k

Aug. H. Raether, Pres.
G ustav H. Uttech, V ice Pres.
E
rnst H. W inter, Cash.
A. W. G reenw ood, Pres.
G. E. G reenw ood, V ice Pres Gladys E. K ru eger, A. Cash
R. C. G reenw ood, Vice Pres D ire cto rs :
A u g H. R aether
O. A. W odke, Cash.
Gustav H. Uttech
P. C. G reenw ood, A. Cash.
E
rnst H. W in ter
A. H Baumann, A. Cash.
John Brendem uehl
D irectors:
H enry Schuett
A. W. G reenw ood
A lb ert B rau nsch w eig
G. E. G reenw ood
Em il Nass
O. A. W odke
P. C. G reenw ood
L E O P O L IS
H. J. Setz
L e o p o lis

Bank

LANCASTER
L a n c a ste r S ta te B a n k

S tate B a n k

C. O. Pelts, Pres.
Adam G rosskopf, V. Pres.
A. N. Brunner, V ice Pres.

R. J. Clark, Pres.
Prank Hein, V ice Pres.
P. J. M anning, Cash.
R. C. Mertens, A. Cash.
D irectors:
R. J. Clark
P ran k Hein
O. J. P a ige
E. P fe ife r
T. Ditm anson
W . P. O’Connor
Philip Christm an
H. D. M ichael

G eorge E. B eck, Pres.
T. C. W elsh, V ice Pres.
M. W. Irgens, Cash.
A. C. Thiel, A. Cash.
D ire cto rs :
Geo. E. B eck
E. G. Schmidt
C. M. DuHamel
T. C. W elsh
J. C. Vesperm an

V ictor Sousek, A. Cash.
D ire cto rs :
C. O. Felts
Adam G rossk opf
A. N. Brunner
J. C. R utte
A lf. L. Schmidt

LA FA R G E
L a F a r g e S ta te B a n k

LANCASTER
Union S tate B a n k

Ham Cowan, Pres.
N orval Norris, V ice Pres.
John W . L an gley, Cash.
Clyde P. Green, A. Cash.
D ire cto rs :
E. O. Adam s
H am Cowan
John W . L a n gley
R a y M elvin
N orval N orris
G. E. Southw orth
P. A. V itcenda

Frank C. Meyer, Pres.
John M. Pink, V ice Pres.
C. E. H alferty, Cash.
A n drew W. Jerrett, A. Ca.sb
D ire cto rs :
Prank C. M eyer
C. M. C alvert
M aurice M. Z iegler
J. J. Seipp
John M. Pink
C. E. H a lferty
A n drew W . Jerrett

P. L. W ard, Pres.
P. Prouty, V ice Pres.
E. A. Prouty, Cash.
Wm. M. W ood, A. Ca: h
D irectors:
P. L. W ard
E. A. P rou ty
B. C. Bohn
H. O. W arren
F. P rou ty

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 e n e va

LAONA
L aon a S ta te B a n k

Jas. G. Allen, Pres.
W. L. Smith, V ice Pres.
P. A. B riegel, Cash.
J. E. R ussell, A. Cash,

W. D. Connor, Jr., Pres.
E. G. Ovitz, V ice Pres.
P. P. Aschenbrener, Cash
Clara Bradle, A. Cash.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

A. N. B r u n n e r , C a s h .

L IM E R I D G E
T h e S ta te B a n k o f L im e
R id g e

L IT T L E C H U T E
B a n k o f L ittle C h ute

P. A. Gloudemans, Pres.
Wm. Geenen, V ice Pres.
H. J. Stark, Cash.
E. J. M ollen, A. Cash.
D ire cto rs :
P. A. G loudem ans
W m . Geenen
J. H. D oyle, M.D.
H enry W. B ongers
H. J. Stark

REPORT OF THE COMMISSIONER OF BANKING
L IV IN G S T O N
L iv in g s to n S ta te B a n k

L. J. LaCourt, Pres.
W esley W atson, V ice Pres.
M. P. Olafson, Cash.
Irene L ivin gston , A. Cash.
D irectors :
Martin Allen
W. B. A lton
Louis Cordts
T. O. Gundlach
L. J. LaCourt
H arry M arshall
W esley W atson
LODI
S ta te B a n k o f L od i

J. S. Clow, Pres.
R oy M cParlane, V ice Pres
T. R. Maney, Cash.
L. C. H aberm an, A. Cash.
H. L. Gesell, A. Cash.
D irectors:
J. S. Clow
R oy M cFarlane
C. W. Chrisler
W. A. Packham
R. J. G roves
T. P. Bannan
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

LOYAL
C itize n s S ta te B a n k o f
Loyal

J. M. Philpott. Pres.
Dr. H. H. C hristofferson
V ice Pres.
Thos. Proeba, Vice Pres.
J. R. Colby, Cash.
Lester Schultz, A. Cash.
D irectors:
J. M. Philpott
Dr. H. H. C hristofferson
tiio s . P roeoa
W. J. Rush
C. B. Esselm ann
G. V. W eyhm iller
P red L a k osk y
Geo. Schoch
LUCK
F id e lity S ta te B a n k

A nton Laursen, Pres.
Andrew Alm, Vice Pres,
and Cash.
Carl R. Thye, Vice Pres
H. H. Lindgren, A. Cash
W. J. Anderson, A. Cash.
L. C. Law son, A. Casn.
D irectors:
A n drew Alm
Nels E dlin g
A. J. H aym an
A nton Laursen
H. H. Lindgren
O. W. Luna
Carl R. Thye

John R ig g e rt, Pres.
C. K oenig, V ice Pres.
P. L. H udson, Exec. V. Pres.
Martin P. K oew er, Cash
D ire cto rs :
LUXEM BURG
John R ig g e rt
B a n k o f L u x e m b u rg
C. K o e n ig
L. A lb ert K arel, Pres.
Martin P. R oew er
Chas. L. Peters, Vice. Pres
A. O. Tuhus
Clem Lass, Vice Pres.
Jam es H. H ill
Carl W. Andre, Cash
R ich ard Seidl, A. Cash.
LONE RO CK
D irectors:
•
H. B oncher
F arm ers B ank
A u gust Spitzer
L. O. Brainard, Pres.
L aw ren ce R u eckl
D onald O. Brace, Cash.
Dr. J. R. Minahan
M. H. M oore, A. Cash.
Jos. J. Jonet
Clara Sim onson, A. Cash.
L. A lb ert K arel
D irectors :
Chas. L. Peters
J. P. Brace
L. O. Brainard
H. D. B rainard
L Y N D O N S T A T IO N
D onald O. Brace
L yndon S ta te B a n k
Louise Brainard
R. H. Laabs, Pres.
D. J. Costigan, V. Pres.
Edmund
E. H art, Cash.
LONE R O CK
D irectors:
S ta te B a n k o f L on e R o c k
R. H. Laabs
John Mullen, Pres.
D. J. Costigan
P. W . W onn, V ice Pres.
Wm. T a ylor
J. R. Prost, Cash.
R. J. D oyle
O. C. A rneson, A. Cash.
G.
Arens
Luella M oore, A. Cash.
D irectors :
T. W . K in g
LYONS
D ennis Shannon
L yon s S ta te B a n k
W . J. Dolan
N. L. Carsw ell
C. P. Schinke, Pres.
J. D. B rophy
P. J. B rickner, V ice Pres.
P. W . W onn
W . P. C raw ford, Cash.
John Mullen
L. E. H eck, A. Cash.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

255

D irectors :
G. P. B atchelet
F. J. B rickn er
W . P. C raw ford
John H eck
G. S. M alsch
C. P. Schinke
John V og t
M cF a r l a n d
M c F a r la n d S ta te B a n k

John M. Anderson, Pres.
John P. Gumm, V ice Pres.
H om er L. Vick, Cash.
D irectors:
John M. A nderson
John P. Gumm
H om er L. V ick
H. C. K lein e
John H ölscher
M A D IS O N
A m e r ic a n E x c h a n g e

Bank

F. W. Suhr, Pres.
John Suhr, Vice Pres.
Edm und Suhr, Cash.
Wm. S. H obbins, A. Cash
D irectors :
P. W. Suhr
John Suhr
Edmund Suhr
E lsie Suhr
W m . S. H obbins
M A D IS O N
B a n k o f M ad iso n

N. T. Gill, Pres.
S. H. G oodnight. V. Pres.
Sidney L. Gay, V ice Pres.
Paul H. Schroeder, Cash.
R. P. T horhang, A. Cash.
D ire cto rs :
H arrison G arner
John W. Gay
Sidney L. Gay
N. T. Gill
S. H. G oodn igh t
W. T. Lindsay
H arrison A. Smith
Paul E. Stark
W illiam P. W halen
M A D IS O N
T h e C e n tra l W is c o n s in
T ru st Com pany

L. M. H anks, Pres.
C. E. K arn, V ice Pres
C. R. A cly, V ice Pres.
M. O. Tuhus, Secretary
R. A. Black, T reasurer
D irectors:
P ran k W . H oyt
H. L. M oseley
H. L. French
W a lter P rau tsch i
A. W . Schulkam p
E. W. Schenck
Oscar Rennebohm
J. B. R am say
S. A. Oscar
B. P. Mautz
C. E. K arn
L. M. H anks

256

REPORT OF THE COMMISSIONER OF BANKING

M A D IS O N
C o m m e rc ia l S tate B a n k

A. O. Paunack, Pres.
S. L. G oldstine, V ice Pres.
W. T. Cullinan, Cash.
E. H. Pauli, A. Cash.
D irectors:
Solom on Levitan, Chm.
A. O. Paunack
S. L. G oldstine
A. C. Larson
T. W . Torm ey
M ortim er Levitan
Geo. R en tsch ler
M A D IS O N
T h e F ir s t N a tio n a l B a n k
o f M ad iso n

T. R. H efty, Pres.
J. H. Stephan, V ice Pres.
J. H. Coe, V ice Pres.
H. C. Jam ieson, V. Pres.
R. H. M arshall, Cash.
O. B. L ovell, C om ptroller
C. J. K e llo g g A. Cash.
V. F. Brow n, A. Cash.
D. A. K erth, A. Cash.
J. Edw . O’Connell, A. Cash
D ire cto rs :
A. C. Breuch
W . W . C argill
J. E. D oyle
T. R. H e fty
L ouis H irsig
H. S. Johnson
W . H. K ie k h o fer
D. W. Mead
J. F. O’ Connell
Benj. S. R eyn olds
John St John
J. H. Stephan
M A D IS O N
M ad iso n T r u s t C o m p a n y

A. O. Paunack, Pres.
Fred L. H olm es, V ice Pres.
Geo. F. G regg, V ice Pres.
J. O. W allestad, Sec’y
O. L. F redrick son , Treas.
D ire cto rs :
S. H. Chase
S. B. Schien
J. J. Gerhardt
S. L. G oldstine
A. G. M ichelson
R. C. B uerki
A. C. Larson
M ortim er Levitan
J. J. F itzp a trick
Geo. R en tsch ler
H. J. L ow ry
Fred R isser
B erthold Sauthoff
V o y ta W ra b etz
E. E. W itte
R. M. R ieser
M A D IS O N
R a n d a ll S ta te B a n k

V icto r E. A lbrigh t, Pres.
Thos. D. W illiam s, V. P.
Geo. H. Schroeder, V. Pres.
W m . Laub, Cash.
E. W. Roddan, A. Cash.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D irectors:
T. D. W illiam s
G. H. Schroeder
Wm. Laud
V. E. A lb rig h t
A. L. Stone
R. T. H arris
C. P. Juckem
J. L. Colby
R. W . H am m ersley
M A D IS O N
S e c u rity S ta te B a n k

L. L. Lunenschloss, Pres.
A lf. P eterson, Cash. & V. P.
Otis Sim ley, A. Cash.
R ay F. Sennett, A. Cash.
Chris Ethun, A. Cash.
D irectors:
L. L. Lunenschloss
Alf. Peterson
Charles H. T enney
S. G. Scanlan
H enry V ogts
Dr. A. T. B reyer
Thom as E. Colem an
M A D IS O N
Union T r u s t C o m p a n y

“ D” C. F. Schw enker, Pres.
“ D” T. E. W ied enbeck, V. P.
“ D” L. D. Atkinson, Tr. Off.
& V ice Pres.
R. M. H enderson, A ss’ t Tr.
Officer
Wm. A. H obbs, A. Cash.
A. M. Johnson, A. Cash.
D irectors:
E. B. Steensland
J. W. Jackson
Em erson Eia
Geo. K. M cConnell
H. H. Steensland
S. P. Stark
W. A. D evine
F. C. Blied
R. J. N eckerm an
M A ID E N R O C K
B a n k o f M aid e n R o c k

F. W . Carpenter, Pres.
C. W . Carpenter, Cash
R. H. Carpenter, A. Cash.
D irectors:
F. W. C arpenter
C. W. Carpenter
R. H. Carpenter
N. M. C arpenter
E. R. Carpenter
F. E. Carpenter

M ANAW A
F a r m e r s S ta te B a n k

W. Irvine, Pres.
F. R. M eiklejohn , V. Pres.
J. C. K insm an, V ice Pres.
C. E. H offm ann, Cash.
D irectors:
A. Sturm
F. J. Gehrke
L. W . E astlin g
H. A. Voss
F. W . W eisb rod
W . Irvin e
F. R. M eiklejohn
J. C. K insm an
M A N IT O W O C
E a s t W is c o n s in T ru s te e
Co.

Emil Baensch, Pres.
Louis Schuette, V ice Pres.
Oscar A. A lter, Secy., Treas.
F ran k Tadych, Asst. Sec’y.
G. R o lf R istad, Tr. Officer
D irectors:
Em il Baensch
Louis Schuette
Oscar A. A lter
G. R o lf R istad
F ran k T adych
M A N IT O W O C
F ir s t N a tio n a l B a n k

M. H. Dempsey, Pres.
El L. Pleuss, V ice Pres.
F. T. Zentner, V ice Pres.
W. H. Pauly, V ice Pres.
E. J. Swanke, Cash.
G. O. M axfeldt, A. Cash
E. H. Benishek, A. Cash.
D irectors:
M. H. D em psey
F. T. Zentner
Thos. H ig g in s
W. H. P au ly
O. A. R ich ter
C. E. Brady
A. G. Stangel
F. C. Schoch
E. L. Pleuss
M A N IT O W O C
M a n ito w o c N a tio n a l B a n k

D aniel C. Bleser, Pres.
G. R. Rahr, V ice Pres.
G eorge Gibbs, Exec.
V. Pres.
G eorge Gibbs, Cash.
E. J. Zankle, A. Cash.
W. A. Johnson, A. Cash.
D irectors:
D aniel C. B leser
M A ID E N R O C K
G. R. R ahr
G eorge Gibbs
T h e F i r s t N a tio n a l B a n k
W
. C. Protz
J. R. Garber, Pres.
Chas. K u ln ick
A. E. Carm ichael, V ice Pres.
Chas. P erou tky, V ice Pres.
W. F. Julian, Cash.
M A N IT O W O C
A. E. Larson, A. Cash.
M a n ito w o c S a v in g s B a n k
D irectors:
Edwin Schuette, Pres.
J. R. G arber
H
enry D etjen, V ice Pres.
A. E. Carm ichael
H en ry R. Schuette, Cash.
Chas. P erou tk y
E
dw
in K ru eger, A. Cash.
C. E. M athys
W ilm er H aese, A. Cash.
J. A. Jorgensen

REPORT OF THE COMMISSIONER OF BANKING
D irectors:
E dw in Schuette
H enry D etjen
H enry R. Schuette
E dw in K ru eger
W ilm er H aese
M ARATHON
M e rc h a n ts & F a r m e r s
S ta te B a n k

H erbert From m , Pres.
R ob ert Rux, V ice Pres.
R. M. H alw eg, Cash.
V ilas Rux, A. Cash.
D irectors:
H erb ert From m
R obt. R u x
R. M. H a lw e g
Fred A. Steidinger
F. X. S ch illin g
H erm an H ornung, Sr.
E dw in Stieber
M ARATHON
T h e S ta te B a n k
M a ra th o n City-

of

Carl H ilber, Pres.
Ernst R in gle, V ice Pres.
Geo. E. R itger, V ice Pres.
Geo. E. R itger, Cash.
A. H. Schneiders, A. Cash.
D ire cto rs :
Carl H ilber
E rnst R in gle
E m il Dern
J. M. V ogedes
Paul R a je k
Fred A. M enzner
Geo. E. R itg e r
M A R IB E B
M arib e l S ta te B a n k

E dw ard M. Benishek, Pres.
Jos. J. H urka, V ice Pres.
P. R. Schley, Cash.
D irectors:
E dw ard M. B enishek
Jos. J. H urka
G eorge W . K iel
H erm an K ohn
P eter W itak
Anton Rozum
Milo D ushek
John C. D vorak
W . M. Touhey
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, V ice Pres.
H. C. Anderson, Cash.
A. W. Jackson, A. Cash.
E inar Orsett, A. Cash
D irectors:
G. J. R ein ke
F. E. N oyes
Samuel Clem ents
H. C. Anderson
T obias K irm se
A rthu r J. R ettk e
Loren S. M iller

17


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Federal Reserve Bank of St. Louis

M A R IN E T T E

T h e F ir s t N a tio n a l B a n k

257

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

A. J. W h itford , Pres.
F. J. Lauerm an, V ice Pres. L. A. H artl, Pres.
A. J. W h itford , Cash.
W . E. D em ing, V ice Pres.
L. R. Simon, A. Cash.
J. L. Stauber, V ice Pres.
D irectors:
J. L. Stauber, Cash.
W . C. Cam pbell
J. Leinw under, A. Cash.
F. G. H ood
M. A. H ansen, Jr., A. Cash.
C. J. Lauerm an
D irectors:
F . J. Lauerm an
L. A. H artl
A. J. W h itford
W . E. D em ing
E. M. Lee
M A R IN E T T E
E. P. U m hoefer
Aug. Mews
T h e S tep h en so n N a tio n a l
Bank

H. J. Brow n, Pres.
H. L. H aslan ger, V ice Pres.
Geo. W. Stephenson, Cash.
W. L. Nelson, A. Cash.
E. C. M cCrory, A. Cash.
D irectors:
H. J. B row n
H. L. H aslan ger
F. J. Lauerm an, Jr.
E. W . L eR oy
E. A. Mundt
E. A. M eyer
M A R IO N
F ir s t N a tio n a l B a n k in
M arion

E. S. Byers, Pres.
F. H. U ttorm ark, V ice Pres.
J. E. Arndt, Cash.
H. E. Braun, A. Cash.
L. E. Fox, A. Cash.
D irectors:
E. S. Byers
F. H. U ttorm ark
C. H. Mees
P. C. R ogers
A nton M alueg
E. S. R og ers
W m . E. W o lf
M ARKESAN
F a r m e r s S ta te B a n k

C. A. D illie, Pres.
Ed. W . Laper, V ice Pres.
R. J. Connolly, Cash.
H. B. D illie, A. Cash.
F. L. Friday, A. Cash.
D irectors:
W . H. Am es
F. E. Cable
E. H. D avidson
C. A. D illie
H. B. D illie
Ed. W. Laper
C. P. W h iteh ouse
M ARKESAN
M a rk e sa n S ta te B a n k

Ira W . P arker, Pres.
Wm. Sink, V ice Pres.
A. S. D ensm oor, Cash .
Ralph Clark, A. Cash.
C. F. M ielke, A. Cash.
D irectors:
A. S. D ensm oor
Geo. C. Johnson
Guy M iller
Ira W . P arker
Wm. Sink
W. G. Stoddart
A. M. W illia m s

M ARYTOW N
F a r m e r s & M e rc h a n ts
Bank

Joseph Neis, Pres.
Anton Schiller, V ice Pres.
A. F. Baus. Cash.
E lsie M ueller, A. Cash.
D irectors:
John W in k el
H ubert Bartel
E dw in S. K naus
John L. Steffan
Joseph Neis
A nton Schiller
A. F. Baus
M ATTOON
M a tto o n S ta te B a n k

W. F. M eagher, Pres.
W . B. K ram ar, V ice Pres,
and Cash.
Anna T. Prast, A. Cash.
D ire cto rs :
W. F. M eagher
W. B. K ram ar
M ary K. K ram ar
A nna T. P rast
M AUSTON
B a n k o f M a u sto n

Edw. J. Otto, Pres.
C. L. Behnken, V ice Pres.
E. P. K uehn, Cash.
R. H. Hale, A. Cash.
D irectors:
C. L. Behnken
C. H. D avidson
R. H. H ale
E. P. Kuehn
Edw. J. Otto
T. W . P fa ff
John Seitz
M A Y V IL L E
T h e F i r s t N a tio n a l B a n k in
M a y v ille

E. H. Naber, Pres.
Carl E ngel, V ice Pres.
F. P. Bernard, Cash.
A. M. Ruedebusch, A. Cash.
D ire cto rs :
E. H. N aber
Carl E n gel
B. P. Bernard
E m il Steinberg
John M. D ih rin g

258

REPORT OF THE COMMISSIONER OF BANKING

M A Y V IL L E
S ta te B a n k o f M a y v ille

R. F. R uedebusch, Pres.
P eter B uerger, V ice Pres.
A. M. Schreiner, Cash.
R. N. Bachhuber, A. Cash.
D irectors:
Dr. M. A. B ussew itz
L. A. B achhuber
Peter B uerger
F ran k lin K och
R. F. R uedebusch
Marie R in gle
John A. Thiel
M A Z O M A N IE
T h e P e o p le s S ta te B a n k

J. P. H udson, Pres.
Abr. L. Parm an, V ice Pres.
N. C. K irch, Cash.
P earl W in ch , A. Cash.
D ire cto rs :
J. P. Hudson
Abr. L. Parm an
N. C. K irch
Thos. Coldw ell
L. C. Scheel
M EDFORD
S ta te B a n k o f M ed fo rd

Chas. A. Flem ing, Pres.
C. F. Luepke, V ice Pres.
V. A. H irsch, Cash.
E. G. Bizer, A. Cash.
F. E. Long, A. Cash.
D irectors:
Geo. Hy. Elvis
Chas. A. F lem in g
V. A. H irsch
W. H. K oeh ler
C. F. Luepke
Martin M ueller
R. H. Musselm an
M ELROSE
B a n k o f M e lro se

C. J. H o g g , Pres.
J. D. Patterson , V ice Pres.
C. S. H ogg, Cash.
T. J. H ogg, A. Cash.
B. G. Hogg-, A. Cash
D irectors:
A n drew H eineck
E. P. Olson
W . J. H erm an
O scar F lu gsta d
F. H. Smith
R o y Lutz
W. A. Jessie
C. J. H o g g
J. D. P atterson
M ENASHA
B a n k o f M en ash a

R. J. F iew eger, Pres.
Ben P low righ t, V ice Pres.
F ran k P an k ratz (D ec’d)
Cash.
H. C. K oslosk e, A. Cash.
D irectors :
R. J. F ie w e g e r
Ben P lo w rig h t
F ran k Pan kratz (D ec’ d)
F. E. Sensenbrenner
Paul Strange
D. L. K im b erly
A. F. W eb er


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Federal Reserve Bank of St. Louis

M ENASH A
T h e F ir s t N a tio n a l B a n k
o f M e n a sh a

Carlton R. Smith, Pres.
Geo. Banta, Jr., V ice Pres.
T. D. Spalding, V ice Pres.
H. E. L an dgraf, Cash.
V. C. Suess, A. Cash.
D irectors:
Geo. Banta, Jr.
Anton Bruehl
R. M. Sensenbrenner
Carlton R. Smith
John Stevens, Jr.
H ugh Strange
F. B. W h itin g
MENOMONEE FALLS
F a r m e r s & M e rc h a n ts
Bank

F. J. Schw albach, Pres.
Leo E ckhardt, V ice Pres.
Edw ard Puehler. V ice Pres
John D. Ohrt, V ice Pres.
W. S. Goode. Cash.
K enn eth A. E ckhardt,
A. Cash.
Bernard W . Bellin, A. Cash.
D ire cto rs :
F. J. Schw albach
Edw ard Puehler
A rthu r K raem er
Leo E ckh ardt
W. S. G oode
John D. Ohrt
K enneth E ck h a rdt
M E N O M O N IE
B a n k o f M e n o m o n le

E. C. Q uilling, Pres.
A. R. V ogtsb erger, V. Pres.
E. J. Bressler, Cash.
C. A. Shern, A. Cash.
D ire cto rs :
E. C. Q u illing
A. R. V o g ts b e r g e r
E. J. B ressler
C. A. Shern
H. W. R u dow
F. F. B rew er
H. C. D iedrich
M E N O M O N IE
T h e F ir s t N a tio n a l B a n k

Geo. M. H ovlid, Pres.
J. H. H ickey, V ice Pres.
O. C. K ausrud, Cash.
H. C. Olson, A. Cash.
D irectors:
Geo. M. H ovlid
J. H. H ick ey
O. O. K ausrud
H. C. Olson
C. V. P orter

D irectors:
A1 C. Anderson
Wm. F. K ra ft
Carl Olson
R. A. R om m elm eyer
C. H. S ch abacker
John Cramer, Jr.
Ole H alvorson

M E R R IL L
C itize n s A m e r ic a n B a n k

Geo. L. G ilkey, Pres.
E dw ard From m , V. Pres.
F. C. H. D oepke, Cash.
W. H. Beine, A. Cash.
Em il M. K rem bs, A. Cash,
D irectors:
F. C. H. D oepke
Geo. P. E w in g
E. O. F a rb er
E dw ard F rom m
Geo. L. G ilk ey
L. J. O’R eilley
A. P. Schew e
F. J. Smith
C. B. W u rster
M E R R IL L
L in coln C o u n ty B a n k

W m . J. Tesch, Pres.
Chas. J. K inzel, V ice Pres.
C. H. Stange, V ice Pres.
H. F. Tew es, Cash.
Edw. F. M oyer, A. Cash.
D irectors:
W m . J. Tesch
Chas. J. K in zel
C. H. Stange
H. F. T ew es
J. A. E m erich
A. B. Nelson
Paul G ebert, Sr.
A. A. W enzel
Max Van H ecke
M ID D L E T O N
B a n k o f M id d le to n

Chas. F. Allen, Pres.
A. C. Utter, V ice Pres.
A. J. V iktor, Cash.
M. C. H aberland, A. Cash.
D irectors:
Chas. F. Allen
A. C. U tter
A. J. V ik tor
M. C. H aberland
John G. H offm an
Joseph C. A dler
John H. Z ieg ler
M IL T O N
B a n k o f M ilto n

L. M. B abcock, Pres.
H. B. Crandall, V ice Pres.
J. H. Coon, Cash.
D irectors:
L. M. B a b cock
H . B. Crandall '
W m . F. K ra ft, Pres.
J. H. Coon
W m . R. K ra ft, V ice Pres.
L. A. B a b cock
Carl Olson, V ice Pres.
F. H. H olm es
R. A. R om m elm eyer, Cash.
W . E. R og ers
H. B. H endrickson, A. Cash.
M E N O M O N IE
T h e K r a f t S ta te B a n k

REPORT OF THE COMMISSIONER OF BANKING
M IL T O N J U N C T IO N
The F arm ers B ank

A. M. Paul, Pres.
A. Paul Owen, V ice Pres.
J. A. Paul, Cash.
M. C. Paul, A. Cash.
D ire cto rs :
A. M. Paul
A. Paul Owen
J. A. Paul
M. C. Paul
M IL W A U K E E
A m e r ic a n S ta te B a n k

W m . Geo. Bruce, Pres.
H. W . Zum m ach, V. Pres.
E. A. Reddem an, V ice Pres.
Geo. J. G raebner, V ice Pres.
A. W. B ickier, Cash.
D irectors:
Wm. Geo. Bruce
A nton Butcher
H u go D euster
C. H. G erlin g
Geo. J. G raebner
L eo N. L evy
Chas. F. Millm ann
V. A. P a ch olsk i
E. A. Reddem an
John S. Stefanez
H. W . Zum m ach

R. H. F reitag, A. Cash.
W illiam H. Sullivan,
A. Cash.
Joseph H. Zirbes, A. Cash.
D irectors:
Charles L. B orst
H arry Christiansen
Urban F. D urner
Clarence H ill
W . F. Jackson
F red W. K ru eck
Otto F. P feil
F ran k M. W ein h old
John C. Zem an
Wm. B. F ran k
W illia m H. Sullivan
M IL W A U K E 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

259

D irectors:
Dr. C. E. A lb rig h t
W illiam M errill Chester
E. J. D em psey
A lb ert C. E lser
Otto H. F alk
Oscar G reenw ald
Gerald B. H ad lock
W alter K asten
G ustave Pabst
Cyrus L. Philipp
H arold H. Seaman
W illiam T a ylor
Charles O. Thom as
H enry M. Thom pson
E rw in C. Uihlein
Joseph E. Uihlein
R ob ert A. Uihlein
W illiam B. Uihlein
S. B. W ay

Em il Brodde, Pres.
M IL W A U K E E
Em il G. Rahr, V ice Pres.
F ir s t W is c o n s in T r u s t
Gabriel Zophy, V ice Pres.
Com pany
C. B. W h itn all, Sec’y-T reas.
R. G. Schuffenhauer, Asst.
W alter K asten, Ch. o f B.
Sec’y-T reas.
G eorge B. Luhman, Pres.
D irectors:
H ugh W . Grove, V ice Pres.
Em il B rodde
& T rust Officer
E m il G. R ahr
Charles M. M orris, V. Pres.
G abriel Z oph y
W. I. Barth, Sec’y & Treas.
C. B. W h itn all
W illis C. Otis, A. Tr. Off.
R. G. Schuffenhauer
A. H. B runkow , A. Tr. Off.
L ouis A. A rnold
M. A. Lee, A. Tr. Off.
Paul E. Schmidt
M IL W A U K E E
O liver O. Barth, A. Sec’y
W illiam Baum ann
John W . Campbell, A. Sec’y
B a d g e r S ta te B a n k
L eo W olfsoh n
W alter H. Dietz, A. Treas.
C. M. G locke, Pres.
R ob ert W. Janssen, A. Sec’y
F. J. Tharinger, V ice Pres.
G
eorge H. G illies, A. Sec’ y
M IL W A U K E E
E dw ard A. Jung, V. Pres.
Leon F. Reed, A. Treas.
F ir s t W is c o n s in N a tio n a l
& Cash.
D
irectors:
G. A. Anderson, A. V. Pres.
Bank
C. E. A lb rig h t
H. W. Landw ehr, A. V. P.
R ob ert Camp
W alter K asten, Pres.
R. C. Schum acher, A. Cash. W
A. C. E lser
illia
m
T
aylor,
Exec.
E dw ard Ebert, A. Cash.
Otto H. F a lk
V ice Pres.
E. H. W endorff, A. Cash.
E. J. D em psey
G erald B. H ad lock, V. Preu.
D irectors:
W
illia
m
G.
Brum
der,
V.
P.
Oscar
G reenw ald
E dw in Buchanan
W a lter K asten
E
dw
in
Buchanan,
V.
Pres.
C. M. G lock e
Charles
M. M orris
G
eorge
T.
Campbell,
V.
P.
Wm. A. K rasselt
Geo. E. F leischm ann, V. P.
G eorge B. Luhm an
Chas. E. Savadil
Joseph
U.
Ladem
an,
V.
Pres.
G
ustave
P abst
F. J. T h a rin ger
C. L. Philipp
E dw in R. Orm sby, V. Pres.
Dr. D. P. Thill
W . M. Chester
John
S.
Owen,
V
ice
Pres.
D. D. W en sin k
H. H. Seaman
Joseph W. Simpson, Jr.,
H. M. Thom pson
V ice Pres.
E. C. Uihlein
R oy L. Stone, V ice Pres.
M IL W A U K E E
Jos. E. Uihlein
Charles O. Thom as, V. Pres.
B a y V ie w State B a n k
R ob ert A. Uihlein
A. G. Casper, Cash.
John H. Budzien, Pres.
W m . B. Uihlein
H. L ich tfeld t,
Edw. C. K leven ow , V. Pres Clarence
G. D. Van D yke
C om ptroller
Paul A. Papke, Cash.
S. B. W ay
James J. B rooks, A. V. Pres.
D ire cto rs :
P ierre N. H auser, A. V. P.
John H. Budzien
W illia m J. K lum b, A. V. P. M I L W A U K E E
Jam es A. B ook
F ran k T. N icolai, A. V. P.
Edw. C. K leven ow
Chester D. R aney, A. V. P. G u ard ia n M u tu a l S a v in g s
Fred Smith
Bank
N icholas R endenbach,
Fred J. R u ck s
A. V ice Pres.
E dgar A. P ettin gill, Pres.
H erbert Lam pe
E dw ard S. Tallm adge,
R olan d H arloff, V ice Pres
H erb ert H. Smith
A ss’ t V ice Pres.
R ich ard K iel, Cash.
H enry Tam m s
Clarence B ecker, A. Cash.
R a y P. Schom m er, A. Cash.
H enry Luebs
Philip J. Dreis, A. Cash.
D irectors:
W a lter E. E ngel, A. Cash.
R. P. Schom m er
D onald A. H arper, A. Cash.
M IL W A U K E E
E. A. P ettin gill
L
aw
ren
ce
K.
H
oughton,
R. K iel
T h e C ity B a n k and T r u s t
A. Cash.
Chester Thorsen
Com pany
E dw ard V. K aiser, A. Cash.
Otto D ittm er
S ylvester M. K oller,
F. M. W einhold, Pres.
R oland H arloff
W . F. Jackson, V ice Pres.
A. Cash.
Charles B ergs
Charles L. Borst, V ice Pres. R ich ard J. Law less, A. Cash.
M ax C. F ritsch el
Wm. B. Frank, Cash.
R olan d R. Roehm , A. Cash.
W a lter R oloff


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Federal Reserve Bank of St. Louis

260

REPORT OF THE COMMISSIONER OF BANKING

M IL W A U K E E
H o lto n S tre e t S ta te B a n k

H enry Vetter, Pres.
R. J. P ozorsk i, V ice Pres.
N. M. Sinske, Cash.
R. O. G aulke, A. Cash.
D irectors:
P. J. L eszczyn ski
R. J. P ozorsk i
N. M. Sinske
Theo. A. Trapp
H enry V etter
E. H. W illiam s
Aug-. Zam ka, Jr.

D irectors:
A. Szczerbinski
M artin J. D aly
John L eszczyn ski
A nton H auerw as
B. A. D ziennik
Thos. S zew czyk ow sk i
E ugene D rzycim ski
M IL W A U K E E
M arin e N a tio n a l E x c h a n g e
Bank

M IL W A U K E E
M itc h e ll S tre e t S ta te B a n k

J. M. Schneider, Pres.
A. P. K unzeim ann, V. Pres.
S. J. W a b iszew sk i, V. Pres.
R ich ard C zajkow ski, Cash.
A. A. Zaffrann, A. Cash.
J. A. Radke, A. Cash.
D irectors:
J. M. Schneider
A. P. K unzelm ann
S. J. W a b iszew sk i
R ich ard C za jk ow sk i
J. T. E sser
J. F. Schneider
H. J. B all
M ichael Schneider
F ran k W a b iszew sk i

A. H. Lindsay, Chr. o f Bd.
G. W. A u gustyn, Pres.
E. H. W illiam s, V ice Pres.
E
liot G. Fitch , V ice Pres.
M IL W A U K E E
M. B. W ells, V ice Pres.
H o m e S a v in g s B a n k
G. D. P rentice, Cash.
M IL W A U K E E
H. H. Van Male, A. Cash.
Fred Froede, Pres.
W a lter John, A. Cash.
N o rth e rn B a n k
Carl Prinz, V ice Pres.
F. V. A llen, A. Cash.
Geo. E. Trupke, Cash.
A. E. F ran cke, Pres.
J. L. K ennedy, A. Cash.
Leonard Meyer, A. Cash.
L aw ren ce Stone, V ice Pres.
Erna A. G roechel, A. Cash. D irectors:
J. F. Maertz, V ice Pres.
G odfrey W. A u gustyn
A. A. K och. V ice Pres.
D irectors:
F
ran
k
R.
B
acon
E. H. Am acher, Cash.
Fred Froede
John L. Barchard
D irectors:
Carl Prinz
H arry J. B row n
A. E. F ran ck e
Fred E itel
E liot G. F itch
L aw ren ce Stone
Chas. H ess
Grant F itch
R. J. Pieh ler
E rw in K ant
T h eodore Friedlander
R ob ert F. Jacobi
F ran k Skobis, Jr.
R ob ert E. Friend
J. F. M aertz
M. B. W ells
W illiam O. G oodrich
A. A. K och
R ob ert E. H ack ett
Carl T a ylor
A lfred F. James
M IL W A U K E E
A rthu r H. Lindsay
M IL W A U K E E
R ich ard S. P ow ell
K ilb o u r n S ta te B a n k
P a r k S a v in g s B a n k
W illiam B. Strong
J. H. W eber, Pres.
F. G. Exner, Pres.
G eorge Uihlein
Jos. Miller, V ice Pres.
W illia m D. Van D yke, Jr. R. W . R einhold, V ice Pres.
F. E. W a llb er, Cash.
P.
H. W endt, Cash.
M
ichael
B.
W
ells
E dw in Schulz, A. Cash.
H. F. Van Beckum , A. Cash.
E dw ard H. W illiam s
E rich H arder, A. Cash.
D ire cto rs :
D irectors:
F. G. E xn er
J. H. W eb er
R. W. R einhold
M IL W A U K E E
Jos. M iller
P. H. W endt
M a rsh a ll & I ls le y B a n k
F. E. W a llb e r
S. P. C roft
Charles F. Ilsley, Chr. o f
Chas. Som merfield
Peter K otv is
the Board
H. F. K oerb le
H enry H unholz
A. S. Puelicher, Pres.
F ran k Frentz
R. S. W itte
G. A. Reuss, V ice Pres.
Em il P riebe
Joseph C. Moser, V ice Pres.
W m . Esser
& T rust Officer
M IL W A U K E E
Carl R. Jeske, V. P. & Mgr., M I L W A U K E E
L a y to n P a r k S ta te B a n k
South Side Office
Joseph B. McGrath, V. Pres. S ta te B a n k o f M ilw a u k e e
E. H. Mayer, Pres.
John E. Jones, Cash.
E dw ard Furru, V. Pres.
F loy d A. R oss, Pres.
L ouis Burm eister, V. Pres. A. B. Nichols, A. V ice Pres. M erw in M. M eyer, Cash.
E dw ard J. Bauer, A. V. P.
F. C. Quaden, Cash.
R. C. Dannenhauer, A. Cash.
E dw ard Schroeder, A. V. P. D irectors:
L eo Betanski, A. Cash.
N orw ood R etzlaff, A. Cash. Gertrude M. Jacobs, A. C.
Carl G. H ayssen
A lfred G. T rim b erger, A. C.
L. E. M eidinger
D irectors:
Jacobus
K
ruyne,
A.
Cash.
M
erw in M. M eyer
E. H. M ayer
Chas. N. Christiansen, A. C.
Carl W. M oebius
E dw ard F urru
A
lfred
Scott,
A.
Cash.
Leo
F. Nohl
L ouis B urm eister
D irectors:
R ich ard Ph illipson
Joseph Bunzel
W
.
W
.
Colem
an
R
ob
ert
J. P ittelk ow
H en ry J. G ram ling
J. H. D a ggett
F loy d A. R oss
F. N. Ircin k
J.
O.
Frank
R
ich
ard
A. R yb old
N. A. Jaeger
E dw in A. Gallun
Charles F. Smith
M ichael Schneider
Charles F. Ilsley
H am pton H. Thom as
F red A. W iese
W illiam S. M arshall
W a lter S. Ott
M IL W A U K E E
A. S. P u elich er
T e u to n ia A v e n u e S tate
M IL W A U K E E
L ouis Q uarles
Bank
L in c o ln State B a n k
G. A. Reuss
H arry C. Stock. Pres.
Em m et L. R ich ardson
A. Szczerbinski, Pres.
G.
W
.
Van
D
erzee
F
ra
n k H ushek, V ice Pres.
M artin J. Daly, V ice Pres.
J. P. M ueller, Cash.
A. P. W ood son
S. E. U rbaniak, Cash.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

REPORT OF THE COMMISSIONER OF BANKING
A. W. Baivier, A. Cash.
G. P. R esch enberg, A. Cash.
D irectors:
E. H. Lichtenberg'
E. J. K autz
P ran k Spew achek
B. P. K uehlhorn
G. S. Patterson
M IL W A U K E E
W e s t Side B a n k

Chas. J. Kuhnm uench, Pres.
H erbert P eerick , V ice Pres.
Wm. P. B ackes, Cash.
John J. Dietz, A. Cash.
D irectors :
H enry N. B ills
H erbert P eerick
Fred Gettelm an
Chas. J. K uhnm uench
H enry J. Steinman, Jr.
J. A. Schw albach
W a lter A. Zinn
M IL W A U K E E
W is c o n s in S ta te B a n k

E dw in J. Larkin, Cash.
Oscar P. Tanz, A. Cash.
Edw . M. Johnson, A. Cash.
D ire cto rs :
S. B. L ock w ood
D. A. W helan
E. W. Fish er
C. E. V in cent
N ick Larson
O. B. Slettland
Zeno J. Cañar
MONDOVI
M on d o vi S ta te B a n k

H enry Moy, Pres.
E. L. E rickson , V ice Pres.
W ayne Canar, Cash.
F ran k J. Bauer, Jr., A. C.
D irectors:
H enry Moy
E. L. E rickson
Bert D eetz
G. L. B roa d foot
A u gu st Schreiner
MONROE

C. Glaus, Pres.
T h e C itize n s B a n k
Wm. H. Hasse, V ice Pres.
H arry S. P iggin s, V ice Pres. A d o lf A bplanalp, Pres.
C. A. K am be, Cash.
R o y P. Burm eister, V. Pres.
O. N. Johnson, Cash.
John U ngrodt, A. Cash.
D irectors:
G. E. Zuercher, A. Cash.
John P. Bruem m er
D irectors:
C. Glaus
A d olf Abplanalp
W m . H. H asse
R oy P. Burm eister
Julius P. H eil
O. N. Johnson
E. J. Leiser
John D eininger
H erm an W . Noll
L. A. M oore
John H. Paul
P. S. Solom on
Bdw. E. Plaum
W . A. Loveland
H erm an T. Rediske
H. B. Caradine
Aug. C. Sehrt
M IN E R A L P O IN T
F a r m e r s S a v in g s B a n k

H. D. Ludden, Pres.
H. A. W atk ins, V ice Pres.
L. K. Peterson, Cash.
H. J. B eck, A. Cash.
Bertha Anderson, A. Cash.
D irectors:
H. D. Ludden
H. A. W a tk in s
L. K. Peterson
L. N. R eddell
Chas. L. Ivey
M IN O CQ .UA
S ec u rity S ta te B a n k

A. O. D orw in, Pres.
Milan M. D orw in, V ice Pres.
S. R. Close, Cash.
Ruth M. F arrell, A. Cash.
D irectors:
A. O. D orw in
M ilan M. D orw in
C. J. Coon
Theo. M edenw aldt
S. C hristopherson
Carl R och ow
M ONDOVI
F ir s t N a tio n a l B a n k

S. B. L ock w ood , Pres.
D. A. W helan. V ice Pres.
N ick Larson, V ice Pres.


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Federal Reserve Bank of St. Louis

M ONROE
T h e C o m m e rc ia l A S a v in g s
Bank

C. W. Bennett, Pres.
R. H. W en ger, V ice Pres.
H. C. Roth, Cash.
H. W. Gordon, A. Cash.
H. J. Elm er, A. Cash.
D irectors:
C. W. Bennett
R. H. W en ger
A rthu r P. B en kert
B ruce M. Blum
John H. Elm er
Em il E scher
R a y P itzg ib b on s
Edw. T. K undert
R ob ert L. R ote
M ONROE
T h e F ir s t N a tio n a l B a n k

P. B. Lu ch sin ger, Pres.
John T. E tter, V ice Pres.
P. J. Blumer, V ice Pres.
R. W . Prien, Cash.
R. E. E rickson , A. Cash.
Marie Blum, Tr. Off.
D irectors:
F. B. L u ch sin ger
John T. E tter
F. J. Blum er
P. A. Shriner
W illis Ludlow

261

M ONTELLO
T h e M o n te ilo S tate B a n k

M. M. Smart, Pres.
A. H. W etla u fer, V; Pres.
L. W. Shurpit, Cash.
Charlene M. Barry, A. Cash,
D irectors:
M. M. Smart
A. H. W etla u fer
John W in cell
John Gardner
K. J. Callahan
W. A. F reita g
L. W. Shurpit
1IO N T F O R T
C itizen s S ta te B a n k

D avid James, Pres.
H arvey D iV all, V ice Pres.
H arvey DiVall, Cash.
R obt. W . N euendorf, A. C.
D irectors :
David James
H arvey D iV all
H en ry W. K ram er
H erm an Trankle
A. W. D iVall
M O N T IC E L L O
B a n k o f M o n tice llo

J. C. F reitag, Pres.
W. A. Loveland, V ice Pres.
J. W. B arlow , Cash.
Frieda Benkert, A. Cash.
D irectors:
J. C. F re ita g
W . A. L oveland
J. W. B arlow
John D ick
G errit K oorem an
Nie F reita g
J. C. Steinman, Sr.
M O S IN E E
M osin ee C o m m e rc ia l B a n k

M. H. A ltenbu rg, Pres.
A. G. K ernin, V ice Pres.
A. A. Lindner, V ice Pres.
Orin B oeyin k, Cash.
P. B. H elbach, A. Cash.
D irectors :
M. H. A lten b u rg
A. G. K ernin
A. A. Lindner
R a y M aguire
Ed. O’Connor
.Tames B aravetto
H. B. H anna
R. W. M onk
M T. C A L V A R Y
M t. C a lv a r y S ta te B a n k

A lbert W agn er, Pres.
A rthur H. Seibel, V ice Pres.
M. H. H aberm an, Cash.
Jos. L. Rieden, A. Cash.
R a y W agn er, A. Cash.
D irectors:
A lbert W a gn er
A rthu r H. Seibel
J. E. H ennen
H enry Steifes
L ouis Seibel
Steve M. G uelig
A lb ert C. K a rst

262

REPORT OF THE COMMISSIONER OF BANKING

M T. H O K E B
T h e S ta te B a n k o f M ount
H orelt

A ndrew H off, Pres.
R. E. Beat, V ice Pres.
I. F ossh age, Cash.
C. P. Brechler, A. Cash.
D irectors:
A n drew H off
R. E. Beat
I. Fossh age
C. P. B rechler
G eorge F. H arm on
M UKW ONAGO
C itize n s B a n k o f
M ukw onago

F. S. M cK enzie, Pres.
J. C. H arland, Vice Pres.
L. J. Swan, V ice Pres.
J. Leo Mitten, Cash.
D irectors :
F. S. M cK enzie
J. C. H arland
L. J. Swan
J. Leo Mitten
A. O. B ayley
H. C. Greeley
H. F. H offm ann

D irectors:
J. Edw . E rickson
H. M cC orm ick
L eroy A braham son
G. E. E n gebretson
C. P. H anson
O. E. H anson
H enry E n gebretson

D irectors— con tin ued
G ustav K a lfa h s
S. N. P ickard
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
at N e ills v ille

Bank

A. E. D udley, Pres.
Fred Stelloh, V ice Pres.
Jas. A. Musil, Cash.
W. H. Allen, A. Cash.
D irectors:
A. E. D udley
Fred Stelloh
Jas. A. Musil
Geo. E. C rothers
V. W. Nehs
W. B. T u fts
N E IL L S V IL L E
N e ills v ille B a n k

Mary D. H em phill, Pres.
W. J. Marh, V ice Pres.
H erm an North, 2nd V ice
Pres. & Cash.
Carl A. Juvrud, A. Cash.
D ire cto rs :
Mary D. H em phill
NECEDAH
A rthu r H. Im ig
T he N ecedah B an k
Wm. K urth
W . J. Marsh
C. C. Fuller, Pres.
H erm an North
R oy L. W are, V ice Pres.
W. J. Rush
A. W. Sorensen, Cash.
Geo. F. Zim m erm an
A gn es M. K u cirek , A. Cash.
D irectors:
C. C. F u ller
NEKO O SA
R o y L. W are
A. W . Sorensen
N e k o o sa S ta te B a n k
A gn es M. K u cirek
W. A. Radke, Pres.
J. C. Rattunde
John E. A lexander, V. P.
L. L. M ohlke, Cash.
L u cille I. K onash, A. Cash.
1V EEN AH
D irectors:
T h e F ir s t N a tio n a l B a n k
John E. A lexan der
F. E. Ballister, Pres.
Martin Brandt
C. A. B abcock, V ice Pres.
F ran k J. M cG arigle
Ad. H ennig, Cash.
Jas. J. Mlsna
E lm er J. Schultheis, A. C.
L. L. M ohlke
A m brose Owen, A. Cash.
M. J. P ow er
D ire cto rs :
W. A. R adke
John N. B ergstrom
L. E. Smith
C. B. Clark
D. K. B row n
E rnst M ahler
NESHKORO
F. J. Sensenbrenner
F a rm e rs E x c h a n g e B a n k
F. E. B allister
o f Ne.shkoro
C. A. B abcock
J. W . Johnson, Pres.
A.
C. Dahlke. V ice Pres.
NEENAH
R a y K nutson, Cash.
N a tio n a l M a n u fa c tu r e rs
H ilb ert K ru eger, A. Cash.
D ire cto rs :
Bank
J. W. Johnson
Samuel N. Pickard, Pres.
A. C. D ahlke
S. F. Shattuck, V ice Pres.
R a y K nutson
A. C. G ilbert. V ice Pres.
J.
E. R eetz
J. F. G illingham , Cash.
Stanley L osh inski
N. E. G reenw ood, A. Cash.
W . G. B row n, Chr. o f Board
D ire cto rs :
N E W AUBURN
W. G. Brow n
B a n k o f N e w A u b u rn
A. C. G ilbert
J. Edw . E rickson , Pres.
H. R. H anson
H. M cCorm ick, V ice Pres.
E. E. Jandrey
L eroy A braham son, Cash,
M. W . K ru eger


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

NEW BURG
S ta te B a n k o f N e w b u r g

John G. R eichl, Pres.
A. E. B rott, V ice Pres.
Dr. H. F. W eber, V ice Pres.
F. P. Isselm an, Cash.
D ire cto rs :
John G. R eich l
A. E. B rott
Dr. H. F. W eb er
H erm an W ilkens
F ran k K irst
NEW FRANKEN
N ew F r a n k e n S tate B a n k

A. D. G reiling, Pres.
Joshua Bodard, V ice Pres.
Constant Dequaine, Cash.
Anton D esJardins, A. C.
D ire cto rs :
A. L. G reilin g
Joshua Bodard
Sylvan V anD risse
W. B. Surplice
A ntone Allen
T h eodore D ujardin
Constant D equaine
N EW GLARUS
T h e B a n k o f N e w G la ru s

Rudolph K undert, Pres.
E. F. K aeser, V ice Pres.
E. J. H oesly, V ice Pres.
J. S. Urben, Cash.
G. F. K lassy, A . Cash.
J. J. F ig i, A. Cash.
Elm er P. F igi, A. Cash.
D ire cto rs :
R udolph K undert
E. F. K aeser
E. J. H oesly
H en ry Steussy
A lvin A. Ott
Em anuel Streiff
Fred Strahm
M. K. Peters
J. Jacob H e fty
N E W H O L S T E IN
P e o p les S ta te B a n k

Louis Erbe, Pres.
Peter Iversen, V ice Pres.
E ugene W ulff. Cash.
Else V ollstedt, A. Cash.
D ire cto rs :
L ouis Erbe
Peter Iversen
H. C. K rohn
Otto T a gg e
H. C. Timm
D. F. K aiser
Fred W oelfel, Sr.
O. H. L everenz
Jacob K rupp

REPORT OF THE COMMISSIONER OF BANKING
N E W L IS B O N
N ew L isb o n S tate B a n k

H. J. M ortensen, Pres.
W. H. F arley, V ice Pres.
H. J. Gibson, Cash.
Ida H ayes, A. Cash.
D ire cto rs :
H. J. M ortensen
W. H. F a rley
Otto G ebhart
W. L. Cure
H. J. Gibson
N E W LONDON
T h e F ir s t State B a n k of
N e w L ondon

F ran k L. Zaug, Pres.
G. A. Vandree, V ice Pres.
A. Li. Severance, Exec.
V ice Pres.
E. C. Jost, Cash.
H arvey A. R om berg,
A

O n Q Vi

O. K. Ziebur, A. Cash.
D irectors:
II. B. Cristy
Wm. Manske
F ay R. Smith
M. C. T rayser
G. A. Vandree
E. W. W endlandt
F ran k L. Zaug
N E W R IC H M O N D
B a n k o f N e w R ich m on d

M. H. M cNally, Pres.
W . T. Doar, V ice Pres.
G ilbert Nelson, V ice Pres.
W . H. Ryan, V ice Pres.
C. H. Sperbeck, Cash.
D irectors :
M. H. M cNally
W. T. D oar
G ilbert Nelson
C. H. Sperbeck
Adolph Anderson
H artford Anderson
Otto A. Olson
Ruth J. M cCoy
Lizzie R. M cCoy
G eorge Oakes
A n dy Tobin
H. M. T raiser
W. H. Casey
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

D irectors:
E dw ard Rohde
W m . Belitz
E rw in B ru ckschen
Otto Schmitz
Frank O’Neil, Jr.
Wm. Stock
Jacob P. Z ych
N IA G A R A
F ir s t N a tio n a l R an k

R. S. P ow ell, Pres.
S. F. Shattuck, V ice Pres.
A rthur Lundahl, Cash.
Oscar Durand, A. Cash.
D irectors :
Anton H ohol
C. J. Jansen
A rthu r Lundahl
R. S. P ow ell
S. F. Shattuck
E. W . Stridde
F. X. W a llen fa n 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, V ice Pres.
Jacob Hahn, Cash.
D arrel E. Hahn, A. Cash.
D ire cto rs :
A. A. Fraser
Fred D rephal
Jacob Hahn
A. Vande W alle
Louis Tackm an
J. I. M onaghan
N O R TH F O N D D U LAO
T h e F ir s t W is c o n s in R ank

S. D. W yatt, Pres.
H. M. W yatt, V ice Pres.
A. M. Plath, Cash.
D irectors:
P. B. H aber
A. J. Pullen
J. E. K oepen ick
O. E. W odsedalek
S. D. W y a tt
H. M. W y att
NORTH F R E E D O M
B a n k o f N o rth F re e d o m

W. E. Greaton, Pres.
M. Tanney, V ice Pres.
Matt Lyngaas, V ice Pres.
H. T. Soderberg, Cash.
W. B. Greaton, A. Cash.
D irectors:
W. E. Greaton
M. Tanney
Matt L yngaas
H. T. Soderberg
C. V. Pearson

R. B. D ickie, Pres.
W illiam D ickie, V ice Pres.
R. S. Lange, V ice Pres.
W. F. G reenhalgh, Cash.
Mary Moll, A. Cash.
D irectors:
R. B. D ickie
W illia m D ickie
R. S. Lange
Conrad E gerer
W. F. G reenhalgh
M ary Moll
P. D. Stackm an

NEW TON
N e w to n S tate B a n k

NORTH L A K E
B a n k o f N orth L ak e

E dw ard Rohde, Pres.
W m . Belitz, V ice Pres.
E rw in B ruckschen, Cash.

Burton M. Smith, Pres.
Dr. F. J. D onnelly, V. Pres.
Phares Peterson, Cash.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

263

G enevieve M. R eyn olds, not
active,
LaVerne W ien efeld,
A. Cash.
D irectors:
Burton M. Smith
Dr. F. J. D onnelly
Rev. L ouis N. Z irbes
Christen Sorensen
F ran k J. Janda
NORWALK
C o m m u n ity S tate B a n k

Frank W artm an, Pres.
C. F. H ornung, Ex. V. Pres,
Rosalia V. Goetz, V ice Pres.
M. O. H effernan, Cash.
B yron N. D reier, Bk. K eeper
D irectors:
F ran k W artm an
C. F. H ornu ng
R osalia V. G oetz
M. O. H effernan
Geo. A. W alz
F ran k E. F a lke
Wm. F. Vieth
O A K F IE L D
B ank o f O akfield

C. H enningsen, Pres.
Mabel E. Barber, V. Pres.
K. A. M organ, Cash.
Agnes A. H uenerberg, A. C.
A lvin M. Bristol, A. Cash.
D irectors:
C. H enningsen
F. L. Culver
F. J. Carpenter
A u gust K olterm an
K. A. M organ
Mabel E. B arber
OCONOMOWOC
B a n k o f O con o m ow oc

E. S. Thom pson, Pres.
F. J. Preston, V ice Pres.
J. A. P eacock, V ice Pres.
C. A. Frank, Cash.
M. L. H eider, A. Cash.
H. E. Tim m el, A. Cash.
D irectors:
A. D. Shannon
W. H. B rooks
A. G. T ravis
Geo. D. L aw son
C. L. Petersen
E. S. Thom pson
F. J. Preston
J. A. P ea cock
C. A. Frank
OCONOM OW OC
O con o m ow oc N a tio n a l
Bank

G. C. Johnson, Pres.
F. W. Mouso, V ice Pres.
R. E. T ollefson , Cash.
W. O. Clausen, A. Cash.
W. J. Counsell, A. Cash.
D irectors:
Fred E. A dler
N. W. Evans
G. C. Johnson

264

REPORT OF THE COMMISSIONER OF BANKING

D irectors— continued
F. W . M ouso
A. D. L yke
G. E. Palm er
J. B. W e ix
J. F. W ilk in son
E. C. Theobald
O CONTO
F ir s t N a tio n a l B a n k

R. G. Flanders, Pres.
F ran k J. Lauerm an, Jr.,
V ice Pres.
T. G. Bailey, Cash.
H. H. M ayberry, A. Cash.
D irectors:
R. G. Flanders
F ran k J. Lauerman, Jr.
W . M. C om stock
Louis A m ore
T. A. Pam perin
A. L. M erritt
O CONTO F A L L S
O con to C o u n ty S ta te B a n k

John L iegeois, Pres.
W. A. F la tley, V ice Pres.
Edd Speaker, Cash.
C. V. M orrisey, A. Cash.
E arl D ionne, A. Cash.
F ra n k Just, A. Cash.
D irectors:
Gust F a lk
W m . F eld t
F. J. Huss
F red L. K oehne
A. J. Peterson
OM RO
F a r m e r s B a n k o f O m ro

H. B. W in slow , Pres.
C. E. Jones, V ice Pres.
A. J. Marble, Cash.
L. E. Shelp. A. Cash.
R. A. D iestler, A. Cash.
D ire cto rs :
H. B. W in slow
C. E. Jones
A. J. M arble
L. E. Shelp
C. E. K in g
O. H. W a gn er
C. I. Smith
J. W. Thrall
A. L. M iller
O N T A R IO
B a n k o f O n ta rio

C. M. Low er, Pres.
G. C. Devine, V ice Pres.
Ira C. K ritz, Cash.
D irectors:
C. M. L ow er
G. C. D evine
A. F. Luetke
J. H. Tim m erm an
John F . Sullivan
J. S. R esch
F. J. R ice
OO STBU RG
O o stb u r g S ta te B a n k

John B rethou w er, Pres.
B. Brethouw er, V ice Pres.
James De M unck, Cash.
H arvey Brill, A. Cash.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D irectors:
John B rethou w er
B. B rethou w er
Jam es De M unck
Ed. Faas
M. Daane
J. W. H esselin k
Ed. Daane
L. B. G rotenhuis
Isaac Le Mahieu
OREGON
B a n k o f O rego n

R. R. Pease, Pres.
E. F. K ram er, V ice Pres.
O. E. R ichards, Cash.
D ire cto rs :
W. J. A llan
N. T. Am es
Duane Bow m an
E. F. K ram er
R. R. Pease
O. E. R ich ards
F. R. Sw eeney
O R F O R D V IL L E
F a rm e rs & M e rc h a n ts
Bank

O. A. Peterson, Pres.
P. E. Gaarder, V ice Pres.
A. C. Gaarder, Cash.
A lice R ossiter, A. Cash.
Cora C. Rim e, A. Cash.
D irectors:
O. A. P eterson
A. C. G aarder
P. E. Gaarder
Cora C. Rim e
L. M. Cleophas
A. S. Peterson
F. E. Gaarder
OSCEOLA
B a n k o f O sceola

H enry C. Oakey, Pres.
B. J. Zim m erm an, V. Pres.
Iver M. H agen. Cash.
E ugene L. B eyl, A. Cash.
D ire cto rs :
H enry C. Oakey
B. J. Zim m erm an
Iver M. H agen
L. O. Sim enstad
F. W . G ruenew ald
Jens P. H ansen
OSH KOSH
F ir s t N a tio n a l B a n k

Louis Schriber, Pres.
E. R. W illiam s, V ice Pres.
E. R. D ickm ann, V ice Pres.
Edw. H eisinger, Cash.
E. H. B ecker, A. Cash.
Miss E. M. Steinke, A. Cash
D irectors:
L ouis Schriber
E. R. W illiam s
J. E. M organ
W m . H. H atton
D. N. Cameron
R. A. H ollister
G eorge L. G ilkey
Chas. P. B ray
J. G. M orris
C. A. C arver
Phil. H. Saw yer

D irectors— continued
P. C. W aite
E. J. D em psey
R. P. Boardm an
J. H. W all
OSHKOSH
F ir s t T r u s t C o m p a n y

Louis Schriber, Pres.
R. P. Boardm an, V. Pres.
G eorge G reeley, S ecy .Treas.
M artha M ack, Asst. Secy.
D irectors:
C. P. B ray
D. N. Cameron
C. A. C arver
E. J. D em psey
G eorge L. G ilkey
W. H. H atten
R. A. H ollister
J. E arl M organ
J. G. M orris
Louis Schriber
J. H arry W all
P h ilip C. W aite
E. R. W illiam s
R. P. Boardm an
OSH KOSH
T h e N e w A m e ric a n B a n k

G eorge H ilton, Pres.
Chas. M. B oiler, V ice Pres.
R ob ert W . Brand, V. Pres.
T. R. Frentz, Cash.
H erbert D. W itzel, A. Cash.
T h eodore G. Frentz, A. C.
D irectors:
G eorge H ilton
Chas. M. B oiler
R ob ert W . Brand
T. R. F rentz
F. H. H ull
T. G. Brow n
Ed. T. Cole
A. H. G ruenew ald
H u go Merk
E. O. V og el
E. J. K law un
OSH KOSH
O sh k o sh N a tio n a l B a n k

A. C. K in gston , Pres.
A. A. Abraham , V ice Pres.
Dr. C. J. Combs, V. Pres.
H enry Zentner, Cash.
E. W . N egendank, A. Cash.
D irectors:
O. J. H ardy
A. C. K in gston
A. A. Abraham
Dr. C. J. Combs
F. B. K eefe
H enry A uler
F. L. C on roy
F. M. Spellm an
F. J. Sullivan
OSHKOSH
S e c u rity B a n k o f O sh k o sh

L. A. Gunz, Pres.
O. C. Laabs, V ice Pres.
E. A. Binder, A. Cash.
H arold Z w eifel, A. Cash.

REPORT OF THE COMMISSIONER OF BANKING
D irectors:
Li. A. Gunz
M. C. Mertz
O. C. Laabs
F. S. Menzel
F. W. M ueller
E. M. Schneider
Ernst Raddatz
E. S. B aranow ski

D irectors:
S. D. W ood w ard
J. H. Stibbe
O scar J. B artels
Fred P eterson
A lbin P eterson
A. Cullen
E. J. D eH art

O SSEO
B a n k o f O sseo

P E S H T IG O
P e s h tig o S ta te B a n k

E. H agen, Pres.
O. C. Nessa, V ice Pres.
T. S. H ulberg, Cash.
S. T. Thom pson, A. Cash.
R. E. G ilbert, A. Cash.
E. A. Nelson, A. Cash.
D irectors:
T. R. Dean
E. H agen
T. S. H u lb erg
H. A. Indrebo
Fred Johnson
Nels L. Johnson
R. N. Leasum
O. C. Nessa
H. A. Stubbe
PALMYRA
P a lm y r a S ta te B a n k

E arl G arbutt, Pres.
P. H. M eister, V ice Pres.
W. R. N orris, Cash.
Ada Seamon, A. Cash.
D irectors:
E arl G arbutt
P. H. M eister
W . R. N orris
R. W . B a rth olf
M elvin Mason
W. J. K etterh agen
A. J. Steinhoff
PAR K FALLS
T h e F ir s t N a tio n a l B a n k

Guy W aldo, Pres.
Jake R abenow ich , V. Pres.
E. O. Gehrman, Cash.
Jos. J. Stauber, A. Cash.
D irectors:
G uy W aldo
Jake R aben ow ich
E. O. Gehrman
J. B. Saunders
John E sterl
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.
L. J. A schenbrener, Cash.
S. A. Erdman, A. Cash.
D ire cto rs :
A. E. K aiser
G ilbert L. Nordal
Dr. J. D. Leahy
A lb ert Steinacker
L. J. A schenbrener
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.
J. H.
O scar
E. L.

W ood w ard, Pres.
Stibbe, V ice Pres.
J. Bartels, Cash.
LeBlond, A . Cash.


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Federal Reserve Bank of St. Louis

M orris R. Smith, Pres.
W illard J. H arper, V. Pres.
R o y J. Rabe, Cash.
A lice C. Sw eningson, A. C.
D irectors:
E. A. M eyer
M orris R. Smith
W illard J. H arper
Christ J. Thom pson
H erm an H a rtw ig
Fred Sw eningson
Sew ard Skow lund
PEW AUKEE
P e w a n k e e S ta te B a n k

J. B. E ly, Pres.
E dw in B. Stillman, V. P.
C. R. R ich ardson , Cash.
R etta S. Larson, A. Cash.
F red A. Staus, A. Cash.
D irectors:
J. B. E ly
E dw in B. Stillman
Otto C. Laabs
W m . F. E vert
M. D. Barry
PHELPS
P h e lp s S ta te B a n k

C. M. Christiansen, Pres.
E arl A. K orth, V ice Pres.
E lm er A. Olson, Cash.
D irectors:
C. M. Christiansen
Earl A. K orth
E lm er A. Olson
Chas. E. H azen
K. Martin Thom pson
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 N iebauer, Pres.
G eorge R. F oster, V. Pres.
F. M. Linderm an, Cash.
D irectors:
H enry N iebauer
R. I. Baumann
G eorge R. F oster
K a rl Mess
Jerry 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. Cham berlain, V. P.
D. K. Tyler, Cash.
D irectors:
N. E. Lane
G. M. Cham berlain
D. K. T y ler
J. A. De Bardeleben

265

P IC K E T T
P ic k e tt S ta te B a n k

Jasper G. P ickett, Pres.
H enry M iller, V ice Pres.
H. C. K loth , Cash.
D ire cto rs :
Jasper G. P ick ett
H enry M iller
J. F. Shea
M. E. M ackie
Levi Jones
A. P arks
H erbert Anklam
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, Pres.
E. B. Christophersen, V. P.
O. B. Sletteland, Cash.
E. M. Frem stad, A. Cash.
D irectors:
H. A. A nderson
E. B. Christophersen
J. F. Johnson
J. J. Staff
O. B. Sletteland
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, V ice Pres.
J. W . D unegan, V ice Pres.
F. H. W a gn er, Cash.
D irectors:
H. E. P ratt
G. D. Sargent
J. W . D unegan
F. H. W a gn er
F. B. R aw son
P L A T T E V IL L E
F ir s t N a tio n a l B a n k o f
P la tte v ille

A. W. K em ler, Pres.
A. W . K opp, V ice Pres.
O. E. Gray, Cash.
C. A. A lexander, A. Cash.
F. O. W h itcher, A. Cash.
D irectors :
W . Cunningham
O. E. G ray
A. W. K em ler
A. W . K opp
W . N. Smith
Geo. S. W h itch er
F. W ien b ergen
P L A T T E V IL L E
M ound C ity B a n k

W. F. K nebel, Pres.
H. R. Andrew . V ice Pres.
H al M urley, Cash.
H. C. Steffens, A. Cash.
F. H. P russing, A. Cash.
D ire cto rs :
W . F. K nebel
H. R. A ndrew
J. W . Burris, Jr.
R. S. H eer
H arry Mueler
Gus N odolf
E. H. Steffens
F. E. Stephens
G eorge Thom as

266

REPORT OF THE COMMISSIONER OF BANKING

PL A T T E V IL L E
S ta te B a n k o f P la tte v ille

W. H. D oyle, Pres.
John K ettler, V ice Pres.
M. J. K am la, Cash.
Ira O. P oller, A. Cash.
W. A. Bantz, A. Cash.
D irectors:
R. E. Balliette
W. A. Bentz
W. H. D oyle
G eorge H arm s
John K ettler
Am os K ies
Ira O. P oller
Bert R eiter
W. W . Shepherd
POPLAR
P o p la r S ta te B a n k

R ob ert Olson, Pres.
Wm. Lundberg, V ice Pres.
C. R. Olson, Cash.
M arion Lundberg, A. Cash.
D irectors :
R ob ert Olson
W m . Lu ndberg
C. R. Olson
C. T. Peterson
Edw . Niemi
PORTAGE
C ity B a n k o f P o r ta g e

Wm. LI. Breese, Pres.
H. B. R ogers, V ice Pres.
T. N. H alvorson, Cash.
E. J. C roqley, A. Cash.
D irectors :
Wm. LI. Breese
LI. Breese
H. B. R ogers
A. C. T a ylor
John F. C arroll
PORTAGE
F ir s t N a tio n a l B a n k

A rthu r J. Batty, Pres.
R. G. Stotzer, V ice Pres.
R. O. K lenert, V. Pres. &
Cash.
E. J. Murphy, A. Cash.
D irectors:
W . E. N ichols
A rthu r J. B atty
R. G. Stotzer
R. O. K len ert
T. H. Sanderson
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 to n

N. E. H enze, Pres.
W. J. U bbink, V ice Pres.
H. L. Lauters, Cash.
W . H. K ru ke, A. Cash.
Ed. N. Uselding, A. Cash.
D irectors:
N. E. H enze
O laf E lton
W. J. U bbink
H. L. Lauters
M, E. Schm it


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Federal Reserve Bank of St. Louis

P O R T W A S H IN G T O N
P ort W a s h in g t o n S ta te
Bank

C larence H ill, Chr. o f Bd.
C. D onald H ill, Pres.
Otto E. M oeser, V ice Pres.
A rn o V. Dix, Cash.
Anna J. Ubbink, A. Cash.
A dolph Ansay, A. Cash.
D irectors :
Clarence H ill
C. D onald H ill
W illia m F. Schanen
Otto E. M oeser
Em il P. B iever
PO RT W IN G
F ir s t S ta te B a n k o f
P ort W in g

S. Swanson Ogren, Pres.
John T. H elsing, V ice Pres.
Dan J. Daly, Cash.
Norma T. H elsing, A. Cash.
D ire cto rs :
S. Swanson Ogren
John T. H elsin g
S. L. O gren
J. H. K lovsta d
H arry Jardine
P O T O SÍ
P oto si S ta te B a n k

Adam Schum acher, Pres.
A ndrew Bode, V ice Pres.
C. J. R agatz, Cash.
D. H. R ein ecke, A. Cash.
D irectors :
Adam Schum acher
A ndrew Bode
John Menne, Sr.
W m . Zenz
A rthur R in gland
W . A. Schum acher
C. J. R aga tz
POTTER
F a r m e r s S tate B a n k of
P o tte r

Geo. H. D uchow , Pres.
Chas. W enzel, V ice Pres.
G. C. Riedel, Cash.
D ire cto rs :
A. H. S ch w alenberg
W m . W u n row
Geo. H. D uchow
Chas. W enzel
G. C. R iedel
POUND
F a r m e r s S ta te B a n k

R. J. B rooks, Pres.
W. A. Seils, V ice Pres.
A. P. Chase, V ice Pres.
E. A. Kussm ann, Cash.
L. H. Culver, A. Cash.
D irectors:
R. J. B rooks
W . A. Seils
A. P. Chase
E. A. K ussm ann
L. H. Culver
L. H. G raner
A. G. Seils

POYNETTE
R an k o f P o y n e tte

A. J. Jam ieson, Pres.
Junius W. Jam ieson, V. P
A rthur A. Jam ieson, A. C.
D irectors:
A. J. Jam ieson
Junius W. Jam ieson
J. R. Jam ieson
A rthu r A. Jam ieson
P O Y S IP P I
F a r m e r s S tate B a n k

C. W. Colt, Pres.
F ran k B laisdell, V. Pres.
T. S. Jorgensen, Cash.
Grant Godson, A. Cash.
D irectors:
C. W. C olt
F ran k B laisdell
F. H. Pu fah l
F. W . L in deku gel
T. S. Jorgensen
P R A I R I E D U C H IE N
P eop les S ta te B a n k

James Fisher, Pres.
J. O’Neil, V ice Pres.
Em m anuel Rod, Cash.
Wm. H. Scheibel, A. Cash.
D irectors:
James Fisher
J. O’Neil
Em m anuel R od
Jos. D oll
W . J. Graff
T. C. B onzer
Dr. T. E. F arrell
P R A I R I E D U C H IE N
P ra irie C ity B a n k

W . R. Graves, Pres.
Fred W . G relle, V ice Pres.
T. E. Gander, Cash.
Jos. J. Dunne, A. Cash.
Edith DuCharme, A. Cash.
D irectors:
W . R. G raves
Fred W . Grelle
T. E. Gander
F. H. P oeh ler
J. H. P ea cock
R. C. Grelle
Paul H. Schmidt
P R A IR IE D U SAC
B a n k o f P ra irie du Sac

I. C. Evans, Chairman
H. J. Steeps, V ice Pres.
J. L. P. A ccola , Cash.
W. A. Schreiber, A. Cash.
G. W in term antel, A. Cash.
D irectors :
A. G. A ccola
J. L. P. A ccola
J. P. D oll
I. C. Evans
J. P. K in dschi
J. U. Schm idt
C. H. Schoephorster
W. A. Schreiber
H.
J. Steeps
A u gust Unke
I G. W in term antel

REPORT OF THE COMMISSIONER OF BANKING
P R A IR IE F A R M
F ir s t S ta te R a n k of
P ra irie F a r m

C. W. Mau, Pres.
Geo. R. Borum, V ice Pres
W illa rd F. Mau, Cash.
D ire cto rs :
C. W. Mau
Geo. R. Borum
W illard F. Mau
F . B. Van Sickle
Am elia E. Mau
PRESCOTT
F ir s t N a tio n a l B a n k

E dw ard Long-worth, Pres.
Geo. M. Dill, V ice Pres.
A nton B. Rieland, Cash.
L ester B. Fiedler, A. Cash.
D irectors:
A nton B. R ieland
Geo. M. D ill
G. E. H ollister
C. B. L on gw orth
E dw ard L on gw orth
P R IN C E T O N
F a r m e r s —M e rc h a n ts N a t’1
B a n k in P rin ceton

H ym an Swed, Pres.
J. B. Zodrow , V ice Pres.
E. H.-Mevis, Cash.
C. A. Miller, A. Cash.
D ire cto rs :
H yman Swed
J. B. Z od row
H erm an W eber
Otto Zanto
F. W. Schm idt
P R IN C E T O N
P rin c e to n S ta te B a n k

Frank L. Giese, Pres.
H. J. M axw ell, V ice Pres.
H. J. M axw ell, Cash.
A. J. Beyer, A. Cash.
D ire cto rs :
Frank L. Giese
H. J. M axw ell
A rnold C. D ahlke
Dr. C. H. A ffeldt
Dr. G. G. M ueller
H enry Prieve
W a lter Losinski

R A C IN E
A m e ric a n B a n k and T r u s t
Com pany

R A C IN E
N orth Side B a n k

A rthur R. Janes, Pres.
Anton Sm erchek. V. Pres.
G. C. W eyland, Pres.
R
oy F. Ruland, V ice Pres.
A. B. Modine, V ice Pres.
H. F. Johnson, Jr., V. Pres. R oy F. Ruland, Cash.
Otto
Crouch, Jr., A. Cash.
W. G. A schenbrener, V. P.
T. J. L osin ski, A. Cash.
L. S. Bowne, Cash.
D
irectors:
L. C. R ow an, A. Cash.
A rthur R. Janes
H. J. Graham, A. Cash.
A n ton Sm erchek
G. T. Ryan, A. Cash.
A. E. H aum ersen
D irectors:
H enry Gloede, Jr.
W. G. A schenbrener
Fred R adew an
David M. A verill
Chas. V eselik
P. H. Batten
E.
J. Simanek
P eter C. B eck
W . H. Bell
L. S. Bow ne
R A C IN E
A n gus R. Callender
W e s t R a c in e B a n k
C. E. D iercksm eier
E. J. G ittins
O. P. Graham, Chr. of Brd.
F. W . Gunther
Chas. C. Nelson, Pres.
H. F. Johnson, Jr.
F. J. McNeill, V. P. & Cash.
A. B. M odine
A. F. Rasm ussen, A. Cash.
M. E. W a lk er
D ire cto rs :
W. H. W a lk er
J. A. Christensen
G. C. W eyland
O. P. Graham
J. W iech ers
R oy H ilker
H. E. W ilson
W illia m Jensen
Edm und K in g
F. J. McNeill
P. E. M ogensen
R A C IN E
Chas. C. Nelson
F a rm e rs & M e rc h a n ts
A. M. Sewell
Bank

J. W iechers, Pres.
Jens Jensen, V ice Pres.
Frank A. Olson, Cash.
W. C. W illiam son, A. Cash.
D irectors:
W. S. D ooley
W m . E. F itzgerald
Jens Jensen
G. C. W eylan d
J. W iech ers
J. C. W iech ers
R A C IN E
F ir s t N a tio n a l B a n k and
T r u s t C o m p a n y o f R a c in e

O. P. Graham, Pres.
B. J. B leakley, V ice Pres.
G. C. Peters, Vice Pres.
J. H. Martin, V ice Pres.
L. F. Nelson, V ice Pres.
A. R. Janes, V ice Pres.
J. A. Geyer, Cash.
G. Danek, A. Cash.
E. U. Eitler, A. Cash.
PU LASKI
D irectors :
P u la s k i S ta te B a n k
B. J. B leakley
H arry T. Peplinski, Pres.
T. G. D ickinson
G eorge H anson, V. Pres.
M. E. Erskine
T on y E fta, Cash.
O. P. Graham
Ed. Goska, A. Cash.
G. M. G uilbert
B. J. L o n tk ow sk i, A. Cash.
E. B. Hand
D irectors:
R. P. H ow ell
H arry T. P eplinski
A. R. Janes
J. A. P eplinsk i
J. H. Martin
L aw ren ce Szym anski
T. B. M yers
G eorge H anson
L. F. Nelson
H erm an C hlebow ski
W. H. Pugh
Mike L yons
E. W. Rapps
Stanley B aksalerski
W. D. Thom pson
V in cent K ry g e r
L. T. Vance
E. H. W adew itz
T on y E fta


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Federal Reserve Bank of St. Louis

267

R A D IS S O N
C h ip p ew a V a lle y B a n k

E. G. Kuehl, Pres.
C. M. Olson, V ice Pres.
H. C. Lebeau, Cash.
G. E. Phillips, A. Cash.
I. E. Lebeau, A. Cash.
D irectors:
E. G. K uehl
C. M. Olson
B. C. C row ell
H. C. Lebeau
L. J. B aldridge
F rank K ies
John Z ercherle
RANDOLPH
D a ir y m a n 's S ta te B a n k

R. E. G oodhouse, Pres.
H enry J. H ughes, V. Pres.
C. G. B loch w itz, Cash.
F. L. Smith, A. Cash.
A. L. D obbratz, A. Cash.
D irectors:
R. E. G oodhouse
H. J. H ughes
O. A. Sasada
O. J. Jones
B. C. O’L aughlin
Wm. W illiam s
J. W . Jung
W m . E. R oberts
A u gu st Sadoski
RANDOM L A K E
S ta te B a n k o f R a n d o m
Lake

W. E. H oelz, Pres.
Oswald V oigt, V ice Pres.
A. J. Mueller, Cash.

268

REPORT OF THE COMMISSIONER OF BANKING

D irectors:
W. E. H oelz
O sw ald V o ig t
A. J. M ueller
Dr. T. E. M alloy
Dr. Ira M. Bemis
F ran k K oop
F ran k W in ter
REEDSBURG
F a rm e rs an d M e rc h a n ts
Bank

Conrad G. W iesler, Pres.
D. G. Schw eke, V. Pres.
Conrad G. W iesler, Cash.
L u cille A. Siem andel, A. C.
R. J. T oepfer, A. Cash.
D irectors:
Dr. F. A. F ik e
Peter J. H orkan
G. W. Oehlers
W m . Reines
D. G. Schw eke
H. J. V oigts
Conrad G. W ie sler
REEDSBURG
T he R eed sbu rg B ank

Gus Fondrie, Pres.
P. R. Schw eke, V. Pres.
H. C. M iller, Cash.
E lm er A. K utzbach, A. C.
Paul S. Schultz, A. Cash.
Theresa M. Tim lin, A. Cash.
D irectors:
A lfred W. Bernien
E. J. Donahue
Gus F on drie
W. H. Hahn
C. E. Ph illips
P. R. Schw eke
H en ry Thiemann
R E E D S V IL U E
R e e d s v ille S ta te B a n k

A. F. Zuehlke, Pres.
Edw. Reinem ann, V. Pres.
J. G. O’R ou rk, Cash.
Anna K oleru s, A. Cash.
D ire cto rs :
A. F. Z uehlke
B. J. Z uehlke
Edw. Reinem ann
R. A. P iepenbu rg
J. G. O’R ou rk
R E E S E V IL U E
S tate B a n k o f R e e s e v ille

E. J. H ughes, Pres.
W. F. H ick ey, V ice Pres.
H. J. Yauman, Cash.
H. M. M ilitzer, A. Cash.
M eta K. H agm an, A. Cash.
D ire cto rs :
E. J. H ughes
W. F. H ick ey
H. J. Yaum an
F. E. O’R ou rk e
W . T. N euberger
E. R. Y erges
W. C. Young


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

R H IN E L A N D E R
F ir s t N a tio n a l B a n k

R IC H F I E L D
R ich field S ta te B a n k

S. D. Sutliff, Pres.
S. D. Nelson, V ice Pres.
C. A. R ichards, V ice Pres.
F. A. H yland, Cash.
E. G. Nylund, A. Cash.
D irectors:
M. R. Jeffris
S. D. Nelson
C. A. R ich ards
S. D. Sutliff
J. S. Daniels

Adam E bling, Pres.
Wm. D. W olf, V ice Pres.
R ichard H ackbarth, Cash.
D irectors:
Adam E b lin g
Wm. D. W o lf
R ich ard H ackbarth
Fred K lippel
W m . A. Bauer
E ugene Stuesser
H arry H. P ickhard

R H IN E L A N D E R
M e rc h a n ts S ta te B a n k

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

F olke B ecker, Pres.
A lex McRae, V ice Pres.
H. H. Martin, V ice Pres.
M. W . Leary, Cash.
P. J. P eterson, A. Cash.
B arto S. H ow ard, A. Cash.
D irectors:
F olk e B ecker
W . D. Brow n
R. L. C aldw ell
G eorge D eByle
A lex M cRae
A. J. O’Melia
Chas. B. Peterson
A. Schauder
H. F. Steele
R IB L A K E
F ir s t N a tio n a l B a n k

Jas. Upjohn, Pres.
W . E. F reiberg, V. Pres.
Clifford B. Curran, Cash.
M. E. T ran tow , A. Cash.
D irectors:
Jas. Upjohn
W. E. F reiberg
C lifford L. Curran
V icto r K ohn
Fred Curran

E lm er E. Me Collum , Pres.
A lbert Grassman, V. Pres.
C. J. Lunenschloss, V. Pres.
C. A. Cutter, Cash.
H. J. Gochenaur, A. Cash.
D ire cto rs :
E lm er E. Me Collum
Dr. G. H. Benson
C. J. L unenschloss
A lbert Grassman
J. M. Q ualy
T. M. Pease
C. A. Cutter
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, V ice Pres.
T. J. Martin, Cash.
E leanore LeH ew , A. Cash.
D irectors:
A. V. Pier
M. A. Goplin
T. J. Martin
F. P. Law rence
Grant R oss
H. F. Groh
T. S. Truesdale

R IC E L A K E
F ir s t N a tio n a l B a n k
R ID G E L A N D
F a r m e r s S ta te B a n k

O. M. Sattre, Pres.
W. D. Leary, V ice Pres.
H arry F. M oors, Cash.
D. T. M itchell, A. Cash.
C. E. O verby, A. Cash.
P. Peterson, A. Cash.
D irectors:
O. M. Sattre
N. W . H eintz
W . D. L eary
J. P. Schneider
Chas. B u gher

Chas. Bilse, V ice Pres.
J. E. W esslen, Cash.
H. J. H anson, A. Cash.
D irectors:
Chas. Bilse
J. E. W esslen
H enry H. Jorstad
J. R. F ergus
Fannie M. R andall

R IC E L A K E
S ta te B a n k o f R ic e L a k e

R IO C R E E K
T h e B a n k o f R io C reek

Allan S. W hite, Pres.
C. E. Soderberg, V. Pres.
E. J. Y oung, Cash.
E thel M. Bates, A. Cash.
D irectors:
Allan S. W h ite
C. E. S oderberg
E. J. Y ou n g
Ethel M. Bates
Wm. B. R ydell

Fred J. D eVillers, Pres.
Joe J. K oss, V ice Pres.
John P roku pek, V ice Pres.
Carl E. F abry, Cash.
D ire cto rs :
Fred J. D eV illers
Joe J. K oss
John P rok u pek
Carl E. F a b ry
Fred E. M ueller

REPORT OF THE COMMISSIONER OF BANKING
R IP O N
T h e F ir s t N a tio n a l B a n k o f
R ip on

Jas. L. Stone, Pres.
J. W . W righ t, V ice Pres.
R. B. Grout, V ice Pres.
N. F. K uether, Cash.
A. B. Carter, A. Cash.
Li. F. M ow ers, A. Cash.
D ire cto rs :
J. B. B arlow
B. J. Burnside
H. A. Cody
H. A. D iedrich
R. B. G rout
B. C. Johnson
S. N. P ick ard
J. A. Schrader
J. G. Seelig
Jas. L. Stone
J. W. W rig h t
R IP O N
R ip o n S ta te B a n k

R. C. Stuart, Pres.
A, D. Bice, V ice Pres.
G. W. Lam bert, Cash.
A. J. N ovtzeske, A. Cash.
F. B. H enslin, A. Cash.
D irectors:
R. C. Stuart
A. D. Bice
G. W . Lam bert
F. C. B uchholz
O. C. Turner
R. E. Shave
A. W. Stew art
R IV E R F A L L S
F ir s t N a tio n a l B a n k

J. F. Smith, Pres.
J. F. Mack, V ice Pres.
R. G. Swanson, Cash.
Geo. C. Kind, A. Cash.
M. M cLaughlin, A. Cash.
D ire cto rs :
B. F. Benson
J. F. M ack
J. F. Smith
R. G. Swanson
K. S. W h ite
ROBERTS
S ta te B a n k o f R o b e r ts

Dr. A. M. Ford, Pres.
C. H. Stouffer, V ice Pres.
H. T. Jensen, Cash.
A. O. Garlid, A. Cash.
D irectors:
W . T. D oar
Dr. A. M. F ord
A. O. Garlid
H ow ard Greenfield
P eter M öllers
John L. O’Connell
John Snoeyenbos
C. H. Stouffer
Clark W ebb
ROSENDALE
R o s e n d a le S ta te B a n k

L. A. Salisbury, Pres.
H erbert A. Bluem ke. V. P.
Raym ond A. K oehntop,
Cash
Ethel j . Z ick ert, A. Cash.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D irectors:
L. A. Salisbury
H erbert A. Bluem ke
M. L. W elles
H arry W . Sw anke
H arvey Sharratt
R OSHOLT
S ta te B a n k o f R o s h o lt

269

S A U K C IT Y
F a rm e rs & C itize n s B a n k

Peter E. L eykau f, Pres.
Aug. E. M arquardt, V. P.
Geo. J. Trauten, Ex. V. P.
G eorge E. M arzolf, Cash.
D irectors:
P eter E. L ey k a u f
Aug. E. M arquardt
Geo. E. M arzolf
F e lix F erber
M ichael M ack

Dr. Jens R osholt, Pres.
Norm an R osholt, V ice Pres.
Carl R osholt, Cash.
Lester Peterson, A. Cash.
S C A N D I N A V IA
V ernon R osholt, A. Cash.
C o m m e rc ia l S ta te B a n k
D irectors:
F. J. A nderson, Pres.
Carl R osh olt
Orin O. Jorgens, V ice Pres.
Jens R osholt, M. D.
H arry E. B rooks, V ice Pres.
Norm an R osh olt
J. L. Nelson, Cash.
V ernon R osh olt
J. A. Jorgens, A. Cash.
Lester Peterson
D irectors:
F. J. Anderson
RUDOLPH
Orin O. Jorgen s
R. M. H anson
F a rm e rs & M e rc h a n ts
O. P. N ygaard
Bank
And. H olteb eck
Simon Joosten, Pres.
F ran k M iller, V ice Pres.
SEN ECA
Louis Joosten, Cash.
F a r m e r s & M e rc h a n ts
D ire cto rs :
S ta te B a n k
Simon Joosten
Frank M iller
Thos. P . G arvey, Pres.
Louis Joosten
K nu te Olson, V ice Pres.
B. M. Slattery
Clarence Paulson, Cash.
A. J. K u ja w a
E lizabeth D agnon, B o o k ­
keeper
D irectors:
ST . C L O U D
Thos. P. G arvey
S ta te B a n k o f St. C loud
K nute Olson
R ob ert L aw ler
L. B. K ohlm an, Pres.
John Iverson
Dr. L. CL Martin, V ice Pres.
Clarence Paulson
A. A. Schmitz, Cash.
D irectors:
S
E
YMOUR
Val Baus
A lfred D iedrich
F ir s t N a tio n a l B a n k
Jos. G uelig
A lb ert B ru gger, Pres.
B. B. K ohlm an
Charles Freund, V ice Pres.
Dr. L. C. Martin
Edm und W iese, Cash.
Thom as Ott
L en ora Baker, A. Cash.
A. A. Schmitz
D irectors:
A lb ert B ru gger
Charles Freund
ST. C R O IX F A L L S
W illiam F. Piehl
T h e F ir s t N a tio n a l B a n k
Fred K rahn
H elen R. Cobb, Pres.
F ran k L eisga n g
J. M. Fast, Cash, and V. P.
W m . F. B eck
C. C. Peterson, A. Cash.
Edm und W iese
E va Pray, A. Cash.
D irectors:
SEYM OUR
H elen R. Cobb
S e y m o u r S ta te B a n k
D. I. Cobb
Chas. R. Prosser, Pres.
H ow ard C layton
H arvey P. Muehl, V. Pres.
D ora Clayton
T. A. N ickodem , Cash.
J. M. F ast
D irectors:
Chas. R. P rosser
ST . N A Z IA N Z
H arvey P. Muehl
T.
A. N ickodem
St. N a z ia n z S ta te B a n k
A. G. K eune
Nie Filz, Pres.
A.
P.
Lehner
Carl Fessier, V ice Pres.
A. M. F a lck
Theresa Filz, Cash.
Julius Bubolz
D irectors :
Nic F ilz
SHARON
M. N. F ilz
Sharon S ta te B a n k
Carl F essier
Joseph K oen ig
G eorge C. Mansfield, Pres.
Joseph Schuler
A ndrew C. Pond, V. Pres.
Joseph Salm
A n drew C. Pond, Cash.
A nton S ch w oerer
Vance Spear, A. Cash.

270

REPORT OF THE COMMISSIONER OF BANKING

D irectors:
G eorge C. Mansfield
A n drew C. Pond
Y an ce Spear
H attie G. Searl
John L. Chester

D irectors :
J. W. H ansen
D. W. H uenink
O. H. Clark
C. E. G arton
Otto Jung

SH AW AN O
C itiz e n s S ta te B a n k

SHEBOYGAN
M e rc h a n ts S tate B a n k

John B. Gordon, Pres.
P. J. W in ter, V ice Pres.
M. F. Brener, Cash.
A lfred Moede, A. Cash.
D irectors:
John B. Gordon
P. J. W in ter
M. P. Brener
E. J. B uettner
P. A. Jaeck el
A. H. K lebesadel
E. A. K leem an
C. C. M oede
Chas. Piehl
SH AW AN O
S lia w a n o N a tio n a l B a n k

Curtis Black, Pres.
R. C. C antw ell, V ice Pres.
H erbert J. Rose, Cash.
C. P. W ilk e, A. Cash.
D irectors:
Curtis B lack
R. C. Cantw ell
H erbert J. R ose
John R. K adletz
P ran k P. Martin
SHEBOYGAN
B an k o f Sheboygan

O. L. H all, Pres.
P. S. R odg er, V ice Pres.
J. R. Schils, V ice Pres.
R. A. Baumann. Cash.
M. H alverson, A. Cash.
Leo K alk , A. Cash.
C. J. K atte, A. Cash.
D irectors:
O. L. H all
P. S. R od g er
J. R. Schils
E. R. B ow ler
H. P. R oen itz
P. W . Nause
R. H. K roos
SH E BO YG AN
C itize n s S ta te B a n k

J. W . H ansen, Pres.
O. H. Clark, V ice Pres.
D. W. H uenink, Cash.
Fred W ilk e, A. Cash.
P. A. Trier, A. Cash.
G eorge K nuth, A. Cash.
A. C. Andersen, A. Cash.
Leon Griese, Sheb. Falls
Office Mgr.
Con Poppe, Cedar G rove
Office Mgr.
O. A. Scheibe, Plym outh
Office Co.—Mgr.
O. H oeppner, Plym outh
Office C o.-M gr.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D irectors:
Otto H einecke
R oland J. H err
W . A. K naak
Aug. J. Ram m er
P ran k C. Ries
SHELL L A K E
Sh ell L a k e S ta te B a n k

F. P. M aersch, Pres.
Wm. C. H ildebrand, V. P.
G eorge Siegel, Cash.
Fred M. M aersch, A. Cash.
D irectors:
Wm. C. H ildebrand
H ugo T rillin g
L. P. C. N eum eister
G ustav H elm in g
F. P. M aersch

R. L. T arbox, Pres.
E. R. H ering, V. Pres.
E. R. Miller, Cash.
H ilda Braun, A. Cash.
D irectors:
L. W. Allen
E. R. H ering
C. L. Lew is, Jr.
E. R. M iller
A. J. Plahn
R. L. T a rb ox
M onroe Todd

SHEBOYGAN
N orth Side S tate B a n k

SHERW OOD
S h erw oo d S ta te B a n k

J. W. H ansen, Pres.
A. J. Schm idler, V ice Pres.
W . A. M ueller, Cash.
D ire cto rs :
L ouis H erziger
D. W. H uenink
Dr. G. J. Juckem
C. H. W ehrm ann
H. R. E benreiter
A. J. Schm idler
J. W . Hansen

Joseph Spang, Pres.
H ugo W ittm ann, V ice Pres.
J. C. H allett, Cash.
E. L. Ew y, A. Cash.
D ire cto rs :
Joseph Spang
H ugo W ittm ann
J. C. H allett
Adolph Otte
A rw in A. Schulz

SH EBO YG AN
T h e S e c u rity N a tio n a l
B ank of Sheboygan

Daniel H. Cooney, Pres.
Otto E. K aufm ann, V. P.
Joseph M. Schilder, V. Pres.
J. P. K raus, Cash.
M. H. K ilton, A. Cash.
R. R. Robinson, A. Cash.
J. H. Pitschler, A. Cash.
O. T. Schmidt, A. Cash.
D irectors:
W a lter J. K ohler, Chr.
D aniel H. Cooney
Jerry D onohue
Otto E. K aufm ann
H erbert V. K oh ler
Joseph M. Schilder
H. Carl Prange
W illiam A. Reiss
K onrad T estw uide
SHEBOYGAN
Sheboygan T ru st Com pany

SHULLSBURG
F a r m e r s and M e rc h a n ts
Bank

John F lem in g, Pres.
W. A. McGreane, V ice Pres.
J. M. Lehr, Cash.
Wm. M etcalf, A. Cash.
P. A. Doll, A. Cash.
D irectors:
John F lem in g
W . A. M cGreane
J. M. Lehr
C. M. Thom pson
W m . M etcalf
S IL V E R L A K E
S ilver L a k e S tate B a n k

John Evans, Pres.
Geo. W . H iggin s, V ice Pres.
E rik H ansen, Cash.
C lifford L. Janke, A. Cash.
D irectors:
John Evans
Geo. W . H iggin s
E rik H ansen
C. V. Cook
C lifford L. Janke

John M. D etling, Pres.
M ilton P illin g, V. P. & Sec.
E ugene W ilbert, A ss’ t Sec’ y S L IN G E R
S tate B a n k o f S lin g e r
D irectors:
John M. D etlin g
P eter Schuck, Pres.
M ilton P illin g
Jac. R othenbach, V ice Pres.
H. E. Boldt
Wm. G. K ratz, Cash.
G ustav M oenning
M. T'heisen, A. Cash.
Johp H. Peters
D ire cto rs :
P eter Schuck
Jac. R othen bach
SHEBOYGAN
H en ry K ram er
Sou th W e s t S tate B a n k
A lb ert H. Thiel
Fred J. M ayer
R oland J. Herr, Pres.
W m . G. K ratz
Otto H einecke, V ice Pres.
P eter Schuck, Jr.
Jos. P. Baumann, Cash.

REPORT OF THE COMMISSIONER OF BANKING
SOM ERSET
B a n k o f S o m e rse t

H. J. LaGrandeur, Pres.
A lex Parnell, Vice Pres.
A lice V. LaGrandeur, Cash.
M uriel W. Parnell, A. Cash.
E lla V. Cloutier, A. Cash.
D irectors:
A. J. La Grandeur
L aw ren ce P arnell
SO U TH M IL W A U K E E
T h e H o m e S ta te B a n k

Joseph Saxler, Pres.
A. J. R ick er, V ice Pres.
H. Z. Logan, V ice Pres.
L. M. S a ksefski, Cash.
J. A. K a cza n ow sk i, A. Cash.
D irectors:
Joseph Saxler
A. J. R ick e r
H. Z. L ogan
W. E. F itzgerald
R. A. K uehne
H. M. Lew is
G. A. M orison
SO U TH M IL W A U K E E
S ou th M ilw a u k e e B a n k

Wm. G robschm idt, Pres.
Geo. H. K ru eck , V ice Pres.
W. H. Lyon, Cash.
D ire cto rs :
W m . G robschm idt
Geo. H. K ru eck
W. H. Lyon
Julius Quentin
R a y A. H ook
Cyrus C. Thiem e
R ich ard J. SchaUer
SOUTH W A Y N E
B a n k o f Sou th W a y n e

F. E. Tree, Pres.
Ethel Olson, Vice Pres.
C lifford L. Simmons, Cash.
D irectors:
F. E. Tree
E thel Olson
M ary A. Tree
M. J. Olson
SPARTA
B a n k o f S p arta

A. W. Barney, Pres.
Louis T. H ill, V ice Pres.
T y ler D. Barney, V. Pres.
A. N. W all, Cash.
D irectors:
A. W. Barney
Louis T. H ill
T y ler D. Barney
A. N. W a ll
M yron B ra ck ett
W. H. H anchett
John E. L loyd
SPARTA
F a r m e r s N a tio n a l B a n k

H. J. Masters, Pres.
A. N. W all, V ice Pres.
H. M. N ew ton, V ice Pres.
W. W . H inton, Cash.
Verna A. Smith, A. Cash.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D irectors:
H. J. M asters
A. N. W a ll
H. M. Newton
Dr. C. M. Beebe
W. W. H inton
SPARTA
M on roe C o u n ty B a n k

W. R. Crosby, Pres.
J. E. L everich, Vice Pres.
Geo. J. W einer, V ice Pres.
R. G. Lahm, Cash.
R. C. Kemp, A. Cash.
M. C. Balliett, A. Cash.
H erbert Kuehn, A Cash.
D irectors:
W. R. Crosby
J. E. L everich
Geo. J. W ein er
J. P. R ice
Paul Schaller
S. K. D ickinson
R. G. Lahm
SPENCER
Spencer S tate B a n k

Jonas Ayer, Pres.
Chas. H aslow , V ice Pres.
Arthur L. Boock, Cash.
A. J. M cllhattan, A. Cash.
D irectors:
Jonas A yer
Carl Anderson
S. E. G raves
Chas. H aslow
H. F. Seefeld
R. J. T a ck
G. V. W eyh em iller
SPOONER
B a n k o f S pooner

C. L. Applem an, Pres.
Geo. L. P etry, Sr., V. Pres.
A. E. W ittek , Cash.
G eraldine Applem an, A. C.
D irectors:
C. L. Applem an
Geo. L. P etry, Sr.
A. E. W ittek
A. E. Pearson
Louise Applem an
S P R IN G G R E E N
T h e F a r m e r s S ta te B a n k
o f S p rin g G reen

B. D. Sherw ood, Pres.
John C. Evans, V ice Pres.
H. L. Gray, Cash.
Norman Schoenm ann, A. C
D irectors:
J. H. Diehl
John C. Evans
H. L. Gray
S. T. Peck
A lb ert R ich ardson
B. D. Sherw ood
S P U IN G G R E E N
S ta te B a n k o f S p rin g
G reen

F. R. Hyland, Pres.
Joseph Lins, Vice Pres.
Thom as W. K ing, Cash.

271

Erna B esitsky, A. Cash.
R. D. K ing, A. Cash.
D ire cto rs :
F. R. H yland
Joseph Lins
Thom as W. K in g
R. D. K in g
Thom as M cNulty
G. A. W eg n er
F ran k Nee
S P R IN G V A L L E Y
T h e B a n k o f S p rin g V a lle y

Otto Sieberns, Pres.
F. K am ke, V ice Pres.
J. H. Graslie, Cash.
H. M. W aller, A. Cash.
Minnard Olsen, A. Cash.
D ire cto rs :
Otto Sieberns
F. K am ke
J. H. G raslie
H. M. W aller
C. E. F ox
Thos. M. Casey
H. P. C onw ay
M. J. Olsen
H arris H ovde
STAN LEY
F a rm e rs & M e rc h a n ts
State B a n k

W. M. M iller, Pres.
E ly P rovost, Vice Pres.
S. P. Lien, Cash.
D irectors:
W . M. M iller
E ly P rovost
S. P. Lien
Math. G ruber
Stephen Len gyel
Jos. W a lsd orf
W m . Stuttgen
S T E T S O N V IL L E
F a r m e r » S tate B a n k

Frank Storch. Pres.
John K adon sky, V ice Pres.
A. J. Greiner, Cash.
W. F. Pueschner, A. Cash.
D ire cto rs :
Frank Storch
John K adon sky
V in cent Jakel
Bernard P faff
A. J. G reiner
S T E V E N S P O IN T
C itize n s N a tio n a l B a n k

E. A. O berw eiser, Pres.
A. C. K in gston , V ice Pres
C. W . Nason, Cash.
A. C. Larson, A. Cash.
D ire cto rs :
E. A. O berw eiser
A. C. K in gston
B. B. Park
A. M. Copps
J. M. Pfiffner
J. H. M iller
W. E. A tw ell
C. A. Joerns

272

REPORT OF THE COMMISSIONER OF BANKING

S T E V E N S P O IN T
T h e F ir s t N a tio n a l B a n k o f
S te v e n s P o in t

J. W. D unegan, Pres.
H. G. H otch kiss, V ice Pres.
H. H. Pagel, V ice Pres.
J. V. Berens, Cash.
Leo C. Larsen, A. Cash.
D irectors:
O. A. Crow ell
J. W. D unegan
W. E. Fish er
H. H. P agel
H. A V etter
S T O C K B R ID G E
S ta te B a n k o f S to c k b rid g e

A. H. F latley, Pres.
N icholas Franzen, V. Pres.
W in ifre d F latley, Cash.
John Moehn, A. Cash.
D irectors:
A. H. F la tley
N icholas Franzen
W in ifre d F la tley
John Moehn
D. C. F la tle y
L. P. F o x
STO D D ARD
F a r m e r s & M e rc h a n ts S tate
Bank

John M cD onald, Pres.
C. J. M cClellan, V ice Pres.
Jas. A. W all, Cash.
A. E. Lam prech, A. Cash.
D irectors:
R. J. B eitlich
John M cD onald
C. J. M cClellan
A nton O. Nelson
Chas. Stellner
STO U G H TO N
F ir s t N a tio n a l B a n k

John H oltan, Pres.
J. F. Melaas, V ice Pres.
N. A. N yhagen, Cash.
E. J. E verson, A. Cash.
M. Evenson, A. Cash.
D ire cto rs:
John H oltan
J. F. Melaas
F. C. H enderson
E lver O scar
N. A. N yhagen
STO U G H TO N
S to u g h to n S ta te B a n k

Giles D ow , Pres.
E. S. A nderson, V ice Pres.
R obe D ow , Jr., Cash.
F. B. H overson, A. Cash.
D irectors:
E. S. Anderson
R obe Dow, Jr.
G iles D ow
Clara M. D ow
J. A. Sim pson
STRATFO R D
S tra tfo rd S ta te B a n k

M. M ortenson, Pres.
Theo. W . H offm ann, V. Pres.
Theo. W . H offm ann, Cash.
E. C. Brunner, A. Cash.


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Federal Reserve Bank of St. Louis

D irectors:
G eorge D avel
F. C. K roeplin
John Gorm an
John Spindler
W. S. Van R yzin
M. M ortenson
Theo. W. H offm ann
STURGEON B A Y
B a n k o f S tu r g e o n B a y

J. M. K ennedy, Cash.
A. E. E rickson , A. Cash.
D irectors:
John L. Banks
B. A. G alleher
R ob ert L. Banks
J. A. M urphy
Lym an T. P ow ell
W m . B. Banks, Jr.
J. M. K ennedy

J. R. Minahan, Pres.
S U P E R IO R
H enry Fetzer, Chr. o f Bd.
J. H. Stew art, V ice Pres.
T h e N a tio n a l B a n k o f
W . E. W agen er, V ice Pres.
C o m m erce
Asa Thom as, E xeo. V. Pres.
Philip G. Stratton, Chr. of
J. C. W eiterm ann, Cash.
the Board
B. J. K eith, A. Cash.
E dw ard L. Cass, Pres.
H. B. Conlon, A. Cash.
J.
M. C raw ford, V ice Pres.
C. E. Teske, A. Cash.
R ich ard J. Oyaas, Cash.
D ire cto rs :
D ire cto rs :
J. R. Minahan
E. S. Berthiaum e
H enry F etzer
H. S. Butler
R alph Jenquin
E. L. Cass
W illia m Jess
J. M. C raw ford
W. A. M acEacham
B. S. Loney
R o g e r C. Minahan
W ilb u r R oss
W. E. W a gen er
P. G. Stratton
W.
H. W in slow
S U L L IV A N
T h e F a r m e r s S ta te B a n k

A lb ert J. Vinz, Pres.
G ordon P ethick, V ice Pres.
P. F. Smith, Cash.
M. L. H anf, A. Cash.
D irectors:
A lb ert J. Vinz
G ordon P eth ick
P. F. Smith
R oy a l H anf
Otto Zahn
R udolph W enzel
E dw ard L. Vinz
Owen Runyard
SUN P R A I R I E
B a n k o f Sun P ra irie

Geo. T. M itchell, Pres.
F. W . Chase, V ice Pres.
A. A. W einand, Cash.
H. R. Tw iton, A. Cash.
D irectors:
Geo. T. M itchell
F. W . Chase
J. P. Chase
A. A. W einand
W a lter Y elk
S U P E R IO R
C o m m u n ity S a v in g s B a n k

C. E. K inney, Pres.
A n drew E kstrom , V. Pres.
R ob ert V. Tierney, Cash.
H en rietta D roege, A. Cash.
D ire cto rs :
C. E. K in ney
A n drew E kstrom
G. M orley Smith
Carl H. D aley
A aron Siegel
S U P E R IO R
T h e F ir s t N a tio n a l B a n k

J. L. Banks, Pres.
R ob ert L. Banks, V ice Pres.
J. M. K ennedy, V ice Pres.

S U P E R IO R
S u p erior S ta te B a n k

B. M. Peyton, Chr. o f Exec.
Comm.
C. A. Gray, V ice Pres.
F. I. D unning, Cash.
J. E. W alker, A. Cash.
D irectors:
C. A. G ray
F. I. D unning
W . J. Arseneau
H. W . Erlanson
A. W. E lm green
F. A. R obbins
R. D. M cEw en
S U P E R IO R
T h e U n ion N a tio n a l B a n k
o f Sup erior

J. S. Gates, Pres.
F. J. Jeppesen, V ice Pres.
F. J. Jeppesen, Cash.
A. E. Forstrom , A. Cash.
D irectors:
R. C. Buck
J. T. Dolan
J. S. Gates
F. J. Jeppesen
R. W . Springer
S U P E R IO R
W is c o n s in S ta te B a n k

J. A. Cam pbell, Pres.
O. Seiden, V ice Pres.
F. S. Cam pbell, Cash.
W. A. F ürst, A. Cash.
D irectors:
J. A. Cam pbell
F. S. Cam pbell
O. Seiden
T. J. O’L eary
H. B. G allin ger

REPORT OF THE COMMISSIONER OF BANKING
S U P E R IO R
T h e W o r k e r s ’ M u tu a l
S a v in g s R a n k

Chas. K ary, Pres.
Ivari W iita, V ice Pres.
F ran k Levanpaa, V. Pres.
Umar K auppinen, Cash.
D irectors:
Chas. K ary
Ivari W iita
F ran k Levanpaa
Ilm ar K auppinen
W m . F. Lundeen
Jack H eino
M artin M attila
Geo. H alonen
Joe Aho
S U R IN G
T h e S u r in g S tate B a n k

M. L. B rock, Pres.
R. F. Zuehlke, V ice Pres.
J. P. Smith, Cash.
H. F. Bartz, A. Cash.
M. G. D ieck, A. Cash.
D irectors:
A. C, A rveson
M. L. B rock
John D ieck
H ans P. Hanson
E m il Schuettpelz
F ran k E. Schuettpelz
R. F. Zuehlke
SUSSEX
S u sse x S ta te B a n k

W. H. E dw ards, Pres.
R. W . Malsch, V ice Pres.
J. W . Cannon, Cash.
P. L. D earborn, A. Cash.
Eleanore C. Motz, A. Cash.
D ire cto rs :
W . H. E dw ards
R. W . Malsch
J. W . Cannon
W. E. R ussell
C. A. Busse
THERESA
T h e re s a S ta te B a n k

G ustav R u ecker, Pres.
W m . F. K och , V ice Pres.
F. A. Bandlow , Cash.
C. H. Bodden, A. Cash.
D irectors:
G ustav R u eck er
W m . F. K och
F. A. B andlow
Chas. H. G utensch w ager
E rn est Bodden
T H IE N S V IL L E
T h ie n s v ille S ta te B a n k

THORP
P e o p les E x c h a n g e B a n k

Geo. Zillm ann, Pres.
W. H. K rause, V ice Pres.
R. G. Law rence, Cash.
W m . J. K louda, A. Cash.
A. S. K enney, A. Cash.
D irectors:
Geo. Zillm ann
W. H. K rause
R. G. L aw ren ce
W. R. M cCutcheon
Joseph K louda
John A. Schmidt
John N. Boie
R ich ard Coates
THREE LAKES
P e op les S ta te B a n k

F. H. D obbs, Pres.
W. L. M urray, V ice Pres.
H. M. O lkow ski, Cash.
L. M. K oenig, A. Cash.
D irectors:
F. H. D obbs
L. A. Bishop
B. M. Louk
W . L. M urray
H. M. O lkow ski
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. R adtke, V ice Pres.
M. J. Brunner, Cash.
R ob ert B. W ay, A. Cash.
D ire cto rs :
L. C. Buchsieb
A. R. R adtke
J. S. Sw anke
H arry H irt
Gust E. B ublitz
TOMAH
Bank o f Tom ah

L. W. D rew , Pres.
C. B. D row a tzk y, V. Pres.
F. H. D rew , Cash.
D ire cto rs :
L. W. D rew
E. W . D rew
F. H. D rew
C. B. D row a tzk y
E. E. D row a tzk y
TOMAH
F arm ers
Bank

& M e rc h a n ts

John Reinehr, Pres.
R u dolph Andres, V ice Pres.
R. G. Tiegs, Cash.
D irectors:
T . P. D onovan
F red K ress
Tom Finucan
R. A. Garman
John R einehr
R u dolph Andres
R. G. T iegs

John F. Nieman, Pres.
E. W . W iese, V ice Pres.
Clara L. Plautz, Cash.
V iola S. G ruenew ald, A. C.
D irectors:
TOMAHAW K
John F. Nieman
B r a d le y B a n k
A. P. G ilbert
A. H. C. Carthaus
S. B. B u gge, Pres.
Otto H. Bublitz
E. M. M acD onald, V ice Pres
E. W . W iese
W . I. M acfarlane, V. Pres.

18

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Federal Reserve Bank of St. Louis

273

J. L. Extrom , Cash.
J. L. Smith, A. Cash.
D irectors:
S. B. B u gge
E. M. M acD onald
W . I. M acfarlane
J. L. E xtrom
H a rry L. W akefield
H. A. H erm an
Carl Theiler
TREM PEALEAU
C itize n s S ta te B a n k

W. N icholls, Pres.
H. E. Clark, V ice Pres.
Jas. J. Robinson, Cash.
D oris Ryder, A. Cash.
D irectors:
A. F. Giere
Martin Severson
Ira Lehmann
W. N icholls
H. E. Clark
A. R. Eichm an
W . E. Sparling
TURTLE LAKE
B a n k o f T u r tle L a k e

L. T. R ich ardson , Pres.
Geo. H. Bunker, V ice Pres.
W. E. Nuesse, Cash.
F. G. M cK enzie, A. Cash.
D irectors:
L. T. R ich ardson
Geo. H. Bunker
W . E. Nuesse
K a tie B unker
T W O R IV E R S
B a n k o f T w o R iv e r s

J. E. H am ilton, Pres.
W m . R. K ah len berg, V. P.
H. C. W ilk e, V ice Pres.
H. C. W ilk e, Cash.
H. R. Schw ake, A. Cash.
R. C. Bleser, A. Cash.
D irectors:
J. E. H am ilton
Ed. P. H am ilton
W m . R. K a h len b erg
C. F. K irst
P. C. B leser
H. C. W ilk e
E. R. M ueller
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 T. Tadych, Pres.
R andolph Stehn, V ice Pres.
Edw. A. K outnik, Cash.
D irectors:
John T. T adych
R andolph Stehn
Edw . A. K outnik
Lym an F isch er
Wm. P rign itz
D avid Le Clair
Dr. C. J. S kw or
M ike K irst
Ben U rbanek
R udolph Stangel

274

REPORT OF THE COMMISSIONER OF RANKING

U N IO N G R O V E
S ta le B a n k o f U nion G rove

O. P. Graham, Pres.
W . E. Stone, V ice Pres.
W. E. Stone, Cash.
E lin ore I. Schw artz, A. C.
D irectors:
O. P. Graham
W . E. Stone
E. H. Skew es
H enry V yvyan
W m . M urdock
VALDERS
V a ld e r s S ta te B a n k

W m . F. Christel, Pres.
Otto G. B erge, V ice Pres.
F loy d R. E venson, Cash.
Otto G. Berge, A. Cash.
D irectors:
W m . F. Christel
Otto G. Berge
Otis I. Berge
John E. Cisler
A u gu st H. V o ig t
VERONA
B a n k o f V e ro n a

J. L. M iller, Pres.
W m . L. D avidson, V. I ’res
A. D. M iller, Cash.
C. H. Stampfl, A. Cash.
D irectors:
J. L. M iller
Wm. L. D avidson
A. D. M iller
W m . J. M iller
A lb ert R h iner
A dolph U rw eider
A. J. D ettw iler
VESPER
V e sp e r —A rp in S ta te B a n k

G. H. H orn, Pres.
Otto Zieher, V ice Pres.
G. C. R itchie, Cash.
D ire cto rs :
G. H. H orn
Otto Zieher
G. C. R itch ie
A. P. Bean
Max Leopold
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, V ice Pres.
A. B. Schroeder, Cash.
O. E. Sanford, A. Cash.
D irectors:
E. E. Reed
E. D. H ill
A. R. L aw ton
H obert G roves
Fred G. M atthes
V IR O Q .U A
F ir s t N a tio n a l B a n k
in V ir o q u a

C.
L.
V.
H.
A.

F. Dahl, Pres.
C. B oyle, V ice Pres.
R. Schaefer, A. to Pres.
E. Packard, Cash.
T. Fortun, A< Cash.


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Federal Reserve Bank of St. Louis

D irectors :
C. F. Dahl
L. C. B oyle
A. E. Surenson
C. H. Ostrem
F. S. R ogers
V IR O Q U A
T h e S tate B a n k o f V iroq u a

F. P. M cIntosh, Pres.
F. E. Dyson, V ice Pres.
E. A. Schipper, Cash.
M. F. M cIntosh, A. Cash.
D irectors:
F. P. M cIntosh
F. E. D yson
W. D. D yson
R alph Nuzum
Conrad A llness
W ABENO
S tate B a n k o f W a b e n o

James Wm. Squire, Pres.
F ran k J. K opeck y , V. Pres.
V. H. John, Cash.
Theodore L. H uettl, A. C.
D irectors :
Jam es Wm. Squire
F ran k J. K op eck y
H arry E. M cGraw
John V. Quinlan
Curtis Cheney
T. F. Sch lafke
G eorge J. H uettl
W ALDO
W a ld o S ta te B a n k

Wm. J. Leverenz, Pres.
Carl M anneck, V ice Pres.
C. W. Cross, Cash.
C. T. H arrison, A. Cash.
D irectors:
W m . J. L everenz
Carl M anneck
E. S. W ierm an
Geo. Phalen
C. W . Cross
W ALW ORTH
W a lw o r th S ta te B a n k

F. E. Law son, Pres.
W . D. Church, V ice Pres.
T obias Steivang, Cash.
M. M. W alters, A. Cash.
D irectors:
F. E. Law son
W. D. Church
T obias S teivang
R. N. Belland
G. E. L oftu s
W ASHBURN
T h e F ir s t N a tio n a l B a n k

N. P. Swanson, Pres.
W. A. G ustafson, V ice Pres
M. F. Jacobs, Cash.
Edith E. Pearson, A. Cash.
D irectors:
N. P. Swanson
W . A. G ustafson
M. F. Jacobs
Oscar C. Anderson
Edw. H, B ratley

W ATERFORD
NoIPs B a n k

Bessie Noll, Pres.
Oswald Noll, V ice Pres.
H. F. Cole, Cash.
A lfred Noll, A. Cash.
M. W. R eb stock , A. Cash.
D ire cto rs :
Bessie Noll
Oswald Noll
A lfred Noll
M. W . R eb stock
H erbert W eltzien
W ATERFORD
S tate B a n k o f W a te r fo r d

Wm. Sanders, Pres.
L. J. Quinn, V. Pres.
Josephine Sanders, Cash.
J. C. Sanders, A. Cash.
D irectors:
W m . Sanders
L. J. Quinn
Josephine Sanders
John A. Anderson
II. J. Naber
W ATERLOO
F a rm e rs & M e rc h a n ts
S ta te B a n k

E. H. Fischer, Pres.
L. G. Shepard, V ice Pres.
O. M. B oock, Cash.
D ire cto rs :
E. H. F isch er
O. M. B oock
L. G. Shepard
F. J. Springer
F. J. D obberstein
E. J. M cCracken
Chas. F. H aseleu
W ATERTOW N
B a n k o f W a te r to w n

H. M ulberger, Pres.
J. F. PrentisSj V ice Pres.
L. J. Lange, Cash.
H L. Schumann, Tr, Off.
D ire cto rs :
A lex B uchheit
L. J. Lange
H. M ulberger
E. A. P ratt
J. F. Prentiss
H. L. Schumann
W. H. W oodard
W ATERTOW N
F a rm e rs & C itize n s B a n k

A. D. Platz, Pres.
H. E. V olckm ann , V. Pres.
R. J. H oge, Cash.
D ire cto rs :
A. D. P latz
H. E. V olckm ann
F. J. Sabin
Fred Smith
Fred Siegler
W ATERTOW N
M erch an ts N a tio n a l B a n k

Max Rohr, Pres.
Ferd. Schm utzler. V . Pres.
.T. W. Sproesser, Cash.
C. A. W allm ann, A. Cash.

REPORT OF THE COMMISSIONER OF BANKING
D irectors:
E. L. Grady
O. C. Hahn
E. J. H oerm ann
L. H. N ow ack
Max R oh r
Ferd. Schm utzler
J. W. Sproesser
Wm. Sproesser
W ATERTOW N
T h e W is c o n s in N a t’ l B a n k
in W a t e r t o w n

A. F. Solliday, Pres.
E. Brinkm an, V ice Pres.
F. J. K aercher, Cash.
E. C. B lock, A. Cash.
D ire cto rs :
W AUKESHA
W a u k e s h a N a tio n a l B a n k

E. R. E stberg, Pres.
W. R. Fram e, V ice Pres.
H. J. Fram e, V ice Pres.
R. A. Tassell, V ice Pres.
C. H. Jacob, Cash.
E. M. Junemann, A. Cash.
J. D. H athw ay, A. Cash.
D irectors:
E. R. E stb erg
W. R. Fram e
H. J. Fram e
R. A. T assell
C. H. Jacob
H. E. Blair
Chas. E. Nelson
B. C. B ugbee
WAUMANDEE
W a u m a n d e e S tate B a n k

F ran k R euter, Pres.
L ouis Zeller, V ice Pres.
John E rick son , Cash.
D irectors:
F ran k R euter
Louis Z eller
C. W. Senty
R. R. H enry
L. J. R osen ow
M. L. F u gin a
C. A. K irch ner
WACNAKEE
F a r m e r s S ta te B a n k

G. Schunk, Pres.
H enry Bernards, V ice Pres.
Fred G. Schunk, Cash.
Mary Schunk, A. Cash.
V era A. Schunk, A. Cash.
D ire cto rs :
J. J. M cM anamy
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

C. J. Schmidt, Pres.
J. H. K oltes, V ice Pres, and
Chr. o f Board
A. P. K enney, Cash.
Hy, L. Spahn, A. Cash.


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Federal Reserve Bank of St. Louis

D irectors :
F. C. Raem isch
Math P. Pape
J. H. K oltes
C. J. Schm idt
A. P. K enney
W AUPACA
T h e F a r m e r s S ta te B a n k
of W au paca

J. F. Jardine, Pres.
S. P. G odfrey, V ice Pres.
H arry W. R aw son, Cash.
R. S. Barber, A. Cash.
D irectors:
J. F. Jardine
S. P. G odfrey
H arry W . R aw son
R. S. Barber
M. B. Scott
H. C. Johnson
H. C. F rihart
W AUPACA
F ir st N a tio n a l

C. H. B enlick, Pres.
Col. W. A. Holden, V. Pres.
R. D. Luther, Cash.
Guy Schmahl, A. Cash.
D ire cto rs :
C. H. Benlick
Col. W . A. Holden
C. N. Nelson
L. D. Smith
F. O. Stratton
W AUPUN
T h e N a tio n a l B a n k o f
W anpun

W. E. Graham, Pres.
Ben K astein, V ice Pres.
Ben K astein, Cash.
Louis Schultz, A. Cash.
D ire cto rs :
W. E. Graham
E. W. H ooker
Ben K astein
B. K loosterb oer
E. A. Marsh
H. S. N orthrup
W . F. Pautsch

275

W . A. K och, Cash.
R. A. Johannes, A. Cash.
W. A. Pautz, A. Cash.
D irectors:
O. C. Lem ke
Fred W . Genrich
John A. K leinheinz
Fred Brand
Wm. F. Beilke
Fred K rause
W AUSAU
F ir s t A m e ric a n S ta te B a n k

F. K. M cPherson, Pres.
J. S. A lexander, V. Pres.
W . G. W hyte, V ice Pres.
W. G. W hyte, Cash.
O. J. Juers, A. Cash.
O. H. Jahns, A. Cash.
D irectors:
J. S. A lexan der
R. C. Deutsch
Geo. E. F oster
H. J. H agge
A. C. H einzen
Carl Lotz
M. P. M cCullough
F. K. M cPherson
John R in gle, Jr.
W. R. Scholfield
C. H. W eg n er
W . G. W h yte
C. C. Y aw k ey
W AUSAU
W is c o n s in V a lle y T r u s t
Com pany

A ytch P. W ood son, Pres.
Otto G. Fehlhaber, V. Pres.
F. J. D vorak, V ice Pres.
M. P. M cCullough, V. Pres.
Geo. E. Foster, Secy.
J. S. A lexander, Treas.
D ire cto rs :
A ytch P. W ood son
Otto G. Feh lh aber
M. P. M cCullough
Geo. E. F oster
J. S. A lexan der
P. M. W ilson
J. J. O koneski

W AUPUN
S tate B a n k o f W a u p n n

W AUSAUKEE
P e m b in c -W a u s a u k e e

H. J. H artgerin k, Pres.
J. S. M orris, V ice Pres.
W. E. Rank, V ice Pres.
Fred W. Luck, Cash.
Merle Ihde, A. Cash.
D irectors:
Oscar H anisch
H. J. H artgerin k
A lb ert Lem m enes
Fred W . Luck
J. S. M orris
W . E. R ank
R ich Zim m erm an

Dr. D. E. Thom as, Pres.
Carl D ixon, V ice Pres.
E. B. W h eelock , Cash.
Lloyd K. M orris, A. Cash.
D ire cto rs :
Dr. D. E. Thom as
Carl D ixon
H enry G. Laun
Geo. L. M cNeely
E. B. W h eelock

Bank

W AUTOM A
T h e U n ion S ta te B a n k

A. G. H olt, Pres.
H. W. Belter, V ice Pres.
G. D. Sargent, V ice Pres.
O. C. Lem ke, Pres.
J. L. K ossel, Cash.
Fred W . Genrich, V ice Pres. R. M. A nderson, A. Cash.
John A. K leinheinz, V. P.
K. H. Jones, A. Cash.
W AUSAU
C itizen s S ta te B a n k

276

REPORT OF THE COMMISSIONER OF BANKING

H ow ard Simon, Mgr. W . R. W E S T A L L I S
Sta.
M ilw a u k e e C o u n ty B a n k
M. F. Chipman, Mgr.
L. M. Fidler, Pres.
R edg ra n ite Sta.
H.
J. D riessel, V ice Pres.
D ire cto rs :
(D eceased)
A. G. H olt
H. J. D riessel, Cash.
J. L. K ossel
(D eceased)
G. D. Sargent
H. A. Polanis, A. Cash.
H. W . B elter
D
irectors:
F. W . Ocain
H. J. D riessel (D eceased)
G. M. Dopp
L. M. F idler
A. E. B lader
H en ry H onrath
W. H. M cFadzen
Samuel D. Stern
W AUW ATOSA
Joseph B la zejew ski
T h e F ir s t N a tio n a l B a n k in
H. E. W elb ou rn e
(R esign ed )
W a u w a to sa
G. H. Schroeder, Pres.
E. W . K aiser, V ice Pres.
W E S T A L L IS
Chas. A. W a lk er, Jr., Cash.
W e s t A llis S ta te B a n k
Paul Danielsen, A. Cash.
D ire cto rs :
Chas. H. H athaw ay, Pres.
G. H. Schroeder
F ran k L. Biw er, V ice Pres.
E. W . K aiser
R. A. Gruber, A. Cash.
E. H. G räber
L. M. F rigge, A. Cash.
D ire cto rs :
Otto Lentz
Oscar Schields
Chas. H. H ath a w a y
F ran k L. B iw er
Wm. C. F roelich
C.
W . V elser
W AUW ATOSA
John W eitzer
W a u w a t o s a S ta te B a n k
Ferd G lojek
F ran k Olson, Pres.
Otto Blanke
Jos. M. Guentner, V ice Pres.
G. J. D avelaar, V ice Pres.
A rthur B. K oh a sk y, Cash.
W E ST BEND
Mabel P. R oh loff, A. Cash. T h e F ir s t N a tio n a l B a n k of
D ire cto rs:
W e s t Bend
G. J. D avelaar
B. C. Z iegler, Pres.
J. A. D iedrich
L ouis K uehlthau, V ice Pres.
E dw ard F. Geske
C. A. Collins, V ice Pres.
L. L. G ridley
H. E. Schacht, Cash.
Jos. M. Guentner
Matt. W eiss, A. Cash.
A rthu r B. K oh a sk y
G. C. Schmidt, A. Cash.
Jos. G. K onop
D irectors:
F ran k Olson
B. C. Z iegler
Geo. H. R einders
Martin W a lter
Louis K uehlthau
W illia m W a rn k ey
W AUZEKA
F. E. W o o d fo rd
Bank of W auzeka
Otto E. Lay
A. J. Feldm ann, Pres.
H. B. K a em p fer
W m . Sillge, V ice Pres.
H ow ard E. Schacht
H. A. Vaughan, Cash.
W . E. Malzahn
V. L. M ohoney, A. Cash.
D ire cto rs :
A. J. Feldm ann
W EST BEND
W m . Sillge
T h e F ir s t S tate B a n k
J. C. Feldm ann
E. J. A ltend orf, Pres.
R. W . G eisler
Chas. W . W alter, V. Pres.
Jos. D oll
W. J. Gumm, Cash.
J. P. Mills
E. G. K irch er, A. Cash.
D irectors :
E. J. A lten d orf
W A Y S ID E
Chas. W . W a lter
W a y s id e S ta te B a n k
W . J. Gumm
F. W . P in gel, Pres.
Thos. O’M eara
W m . Saenger, V ice Pres.
Carl P ick
A. A. Blauert, Cash.
H enry O. R egn er
E. C. R osenbaum , A. Cash.
D irectors:
F. W. P in gel
W E S T F IE L D
W m . Saenger
W e s tfie ld S tate B a n k
A. A. B lauert
John A. Conant, Pres.
J. S. Sullivan
Fred L. W aldo, V ice Pres.
L. N atzke
G. J. Schw ark, Cash.
L. H afem ann
C. G. B orsack, A. Cash.
W . H. K asten


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D irectors:
John A. Conant
A. E. F ran k
A lbert M iller
J. O. M ortenson
James R u ssell
G. J. Schw ark
Fred L. W ald o
W E S T SALEM
U nion S tate B a n k o f
W e s t S alem

John M eyer, Pres.
B. A. Mau, V ice Pres.
G. F. W akefield, V ice Pres.
S. A. Sylvester, Cash.
Alm a A. R unge, A. Cash.
D irectors :
John M eyer
B. A. Mau
G. F. W akefield
S. A. Sylvester
F. L. G ullickson
O. G. Storandt
John W . M cK in ley
W EYAUW EGA
F a rm e rs & M e rc h a n ts
Bank

E. H. Jones, Pres.
J. C. R itchie, V ice Pres.
A. C. Ew ald, Cash.
K. P. Van Epps, X. Cash.
L. A. Rossey, A. Cash.
D irectors:
E. H. Jones
J. C. R itch ie
A. C. E w ald
H. B. P om eroy
Chas. Schneider
W H IT E F IS H B A Y
W h ite fls h B a y S ta te B a n k

N. J. K lein, Pres.
J. P. K eatin g, V ice Pres.
H. S. Swan, Cash.
D irectors.
E. B. Gute
W . G. Isen rin g
J. P. K ea tin g
N. J. K lein
W . A. H ayes
W H IT E H A L L
John O. M e lb y & Co. B a n k

Anton O. Melby, Pres.
W. J. W ebb, V ice Pres.
C. B. Melby, Cash.
O. W . Elstad, A. Cash.
D ire cto rs :
A nton O. M elby
W. J. W ebb
C. B. M elby
A. J. Lam berson
E. J. K idder
W H IT E W A T E R
F ir s t C itiz e n s S ta te B a n k

H. G. Andersen, Pres.
John C. K achel, V ice Pres.
C. W . Tratt, V ice Pres.
R. G. O’Connor, Cash.

REPORT OF THE COMMISSIONER OF BANKING
D irectors:
H. G. Andersen
John C. K achel
Geo. M. P erris
D. L. H alverson
Olaf Johnson
Chas. S p ra ck lin g
E. W. T a ylor
Ralph Tratt
W H IT E W A T E R
W h it e w a t e r C o m m e rc ia l
an d S a v in g s B a n k

Jerom e Baker, Pres.
C. M. Y oder, V ice Pres.
Wm. Ivan K yle, Cash.
E arl Cox, A. Cash.
D irectors:
Jerom e B aker
C. M. Y oder
W m . Ivan K yle
E aston Johnson
J. P. H enderson
G eorge W. H ull
P red M. L aw ton
W IS C O N S IN D E L L S
F a r m e r s & M e rch an ts
S ta te B a n k

H. M. T ofson, Pres.
J. P. D ougherty, V ice Pres
E. C. Am ann, Exec. V. Pres.
John J. K elly, Cash.
D irectors:
H. M. T ofson
H. L. Sarrington
J. P. D ougherty
John J. K rem er
John J. K elly
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

R. M. Stroud, Pres.
A. W. L u ettgerodt, V. Pres.
O. L. H etzel, V ice Pres.
L. N. Coapman, Cash.
L. A. R ussell, A. Cash.
G. E. H elland, A. Cash.
D irectors:
R. M. Stroud
A. W. L u ettgerod t
O. L H etzel
L. N. Coapman
L. A. R u ssell
W IS C O N S IN R A P ID S
F ir s t N a tio n a l B a n k

Isaac P. W itter, Pres.
W J. T aylor, E xec. V. Pres.
E. B. R edford , V ice Pres.
H enry C. Demitz, Cash.
W. G. Schroedel, A. Cash.
Edw. C. Brenner, A. Cash.
D irectors :
G eorge W. Mead
Isaac P. W itter
C. D. Searles
R. P. Johnson
E. B. R ed ford
W . J. T a ylor
H enry C. Demitz


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

W IS C O N S IN R A P ID S
W o o d C o u n ty N a tio n a l
Bank

Guy O. B abcock, Pres.
John E. A lexander, V. P.
E. C. W ittig , Cash.
P. H. M uehlstein, A. Cash.
Fred P. H aertel, A. Cash.
Chas. V. Stark, A. Cash.
D ire cto rs :
John E. A lexander
A. E. Bennett
J. A. A u chter
A. P. G ottschalk
G. R. W ood
Guy O. B abcock
E. C. W ittig
W IT H E R
S ta te B a n k o f W it h e e

John Christensen, Pres.
Chas. Buss, V ice Pres.
C. H. B eilfuss, Cash.
N atalie P. Scherf, A. Cash.
D irectors:
A. C. A lten b u rg
C. H. B eilfuss
Chas. Buss
John Christensen
F. W . Sample
W IT T E N B E R G
C itize n s S ta te B a n k

Rud. Puchner, Pres.
Dr. L. Rothm an, V. Pres.
Geo. A. Voelz, Cash.
Lew is A. Liesch, A. Cash.
D irectors:
Rud. P uchner
Dr. L. Rothm an
Geo. A. V oelz
W. L. A rnold
Louis H aupt
W. D. H aseltine
Fred K ersten
WONEWOC
S ta te B a n k o f W o n e w o c

Carl Ilerrew ig , Pres.
E. G. Law sha, V ice Pres.
Muriel W ilkin son , Cash.
H arold L. H ochm uth, A. C.
D irectors:
Carl H errew ig
E. G. Law sha
Geo. W. Bell
E. P. W hite
H arold L. H ochm uth
W illiam Peters
U. S. M atteson
W OODFORD
W o o d fo r d S ta te B a n k

Carl L ovelace, Pres.
H enry Y ou n gb lood, V. Pres.
Wm. Steffen, Cash.
M. J. In gw ell, A. Cash.
D irectors:
Carl L ovelace
H enry Y ou n gb lood
Fred R. Cam pbell
C. O. G ilm ore
A. E. Peterson

277

W OODMAN
W o o d m a n S ta te B a n k

M. K elley, Pres.
John P. K elley, V ice Pres.
W. K. Lull, Cash.
E. C. Lull, A. Cash.
L. C. Lull, Sec’ y
D irectors:
J. E. B arnett
John P. K elley
M. K elley
E. C. Lull
L. C. Lull
W. K. Lull
W OODRUFF
W o o d r u ff S ta te B a n k

J. J. M cDonald, Pres.
B. O. W righ t, V ice Pres.
E arl B. Cronkrite, Cash.
D irectors:
J. J. M cD onald
B. O. W rig h t
R. P. K napstein
W a lter S. F ish er
Glenn L. E rickson
W O O D V IL L E
C itize n s S ta te B a n k

J. C. Johnson, Pres.
A. H anson, V ice Pres.
R. J. M ulvaney, Cash.
E sther W ernlund, A. Cash.
D irectors:
J. C. Johnson
A. H anson
R. J. M ulvaney
H. A lb rigtson
A lfred H elgeson
Guy M. N elson
John V rieze
W R IG H T S T O W N
T h e F a r m e r s an d T ra d e rs
Bank

Lew is K nuth, Pres.
Chas. Schroeder, V. Pres.
R. L. Buboltz, Cash.
Irene E. M ueller, A. Cash.
D ire cto rs :
Lew is K nuth
A. W. Mattes
L. C. M eulemans
Chas. Schroeder
Max H. Strehlow
F ran k Vanderheiden
G ustav Z ittlow
ZACH O W
F a r m e r s S ta te B a n k

R ob ert R adtke, Pres.
A. H. G raf, V ice Pres.
D onald A. Proper, Cash.
P. T. Proper, A. Cash.
D irectors:
R ob ert R adtke
A. H. G raf
D onald A. P roper
Wm. H anstedt
W. P. R eisner
A dolph Spengler